This article considers how corruption affects the management of disaster mitigation, relief, and recovery. Corruption is a very serious and pervasive issue that affects all countries and many operations related to disasters, yet it has not been studied to the degree that it merits. This is because it is difficult to define, hard to measure and difficult to separate from other issues, such as excessive political influence and economic mismanagement. Not all corruption is illegal, and not all of that which is against the law is vigorously pursued by law enforcement. In essence, corruption subverts public resources for private gain, to the damage of the body politic and people at large. It is often associated with political violence and authoritarianism and is a highly exploitative phenomenon. Corruption knows no boundaries of social class or economic status. It tends to be greatest where there are strong juxtapositions of extreme wealth and poverty.
Corruption is intimately bound up with the armaments trade. The relationship between arms supply and humanitarian assistance and support for democracy is complex and difficult to decipher. So is the relationship between disasters and organized crime. In both cases, disasters are seen as opportunities for corruption and potentially massive gains, achieved amid the fear, suffering, and disruption of the aftermath. In humanitarian emergencies, black markets can thrive, which, although they support people by providing basic incomes, do nothing to reduce disaster risk. In counties in which the informal sector is very large, there are few, and perhaps insufficient, controls on corruption in business and economic affairs.
Corruption is a major factor in weakening efforts to bring the problem of disasters under control. The solution is to reduce its impact by ensuring that transactions connected with disasters are transparent, ethically justifiable, and in line with what the affected population wants and needs. In this respect, the phenomenon is bound up with fundamental human rights. Denial or restriction of such rights can reduce a person’s access to information and freedom to act in favor of disaster reduction. Corruption can exacerbate such situations. Yet disasters often reveal the effects of corruption, for example, in the collapse of buildings that were not built to established safety codes.
The immediate aftermath of a great urban earthquake is a dramatic and terrible event, comparable to a massive terrorist attack. Yet the shocking impact soon fades from the public mind and receives surprisingly little attention from historians, unlike wars and human atrocities. In 1923, the Great Kanto earthquake and its subsequent fires demolished most of Tokyo and Yokohama and killed around 140,000 Japanese: a level of devastation and fatalities comparable with the atomic bombing of Hiroshima and Nagasaki in 1945. But the second event has infinitely more resonance in public consciousness and historical studies than the first. Indeed, most people would be challenged to name a single earthquake with an indisputable historical impact, including even the most famous of all earthquakes: the San Francisco earthquake and fire of 1906.
In truth, however, great earthquakes, from ancient times—as recorded by Greek and biblical writers—to the present day, have had major cultural, economic, and political consequences—often a combination of all three—some of which were beneficial. Thus, the current prime minister of India owes his election in 2014 to an earthquake that devastated part of his home state of Gujarat in 2001, which led to its striking economic growth. The martial law imposed on Tokyo and Yokohama after the 1923 earthquake gave new authority to the Japanese army, which eventually took over the Japanese government and led Japan to war with China and the world. The destruction of San Francisco in 1906 produced a boom in rebuilding and financial and technological development of the surrounding area on the San Andreas Fault, including what became Silicon Valley. A great earthquake in Venezuela in 1812 was the principal cause of the temporary defeat of its leader Simon Bolivar by the Spanish colonial regime, but his subsequent exile led to his permanent freeing of Bolivia, Colombia, Ecuador, Peru, and Venezuela from Spanish rule. The catastrophic Lisbon earthquake of 1755—as well known in the early 19th century as the 1945 atomic bombings are today—was a pivotal factor in the freeing of Enlightenment science from Catholic religious orthodoxy, as epitomized by Voltaire’s satirical novel Candide, written in response to the earthquake. Even the minor earthquakes in Britain in 1750, the so-called Year of Earthquakes, produced the earliest scientific understanding of earthquakes, published by the Royal Society: the beginning of seismology.
The long-term impact of a great earthquake depends on its epicenter, magnitude, and timing—and also on human factors: the political, social, intellectual, religious, and cultural resources specific to a region’s history. Each earthquake-struck society offers its own particular lesson, and yet, taken together, such earth-shattering events have important shared consequences for the history of the world.
Earthquakes involve sudden shear sliding motion between large rock masses across internal contact surfaces called faults. The slip on the fault releases strain energy previously stored in the surrounding rock that accumulated due to frictional resistance to sliding. Most earthquakes are directly caused by plate tectonics, and locate in the cool, brittle rock near Earth’s surface. Events with seismic magnitude measured 8.0 or greater are called great earthquakes and involve slip of from several to tens of meters across faults with lengths from 100 to more than 1,000 kilometers. These huge ruptures tend to occur on or near plate boundaries; the largest are on shallow-dipping plate boundary faults (megathrusts) found in compressional regions called subduction zones, where one tectonic plate is thrusting under another. Some great earthquakes occur within bending or detaching plates as they deform seaward of or below a subduction zone. Yet others occur on plate boundary strike-slip faults where two plates are shearing horizontally past one another, or within deforming plate interiors. Elastic wave energy released during the fault sliding is recorded and studied by seismologists to determine the fault location, orientation and sense of sliding motion, amount of radiated elastic wave energy, and distribution of slip on the fault during the event (co-seismic slip). Geodetic methods measure elastic strain accumulation prior to an earthquake, co-seismic slip, and afterslip on the fault that occurs without earthquakes, along with viscous deformation of the mantle as it responds to the fault offset. Great earthquakes commonly locate under the ocean, and the sudden motion of the seafloor generates tsunami—gravitational water waves that can be recorded with ocean floor pressure sensors (these waves are also used to determine co-seismic slip). As seismic, geodetic. and tsunami modeling methods have progressed over the past 50 years, our understanding of great earthquake rupture processes and earthquake interactions has advanced steadily in the context of plate tectonics and improved understanding of rock friction. All faults have heterogeneous frictional properties inferred from non-uniform sliding during each event, with areas of large slip instabilities called asperities having slip-velocity weakening friction and other areas having slip-velocity strengthening friction that results in stable sliding. The seismic wave shaking and tsunami waves can cause great devastation for humanity, so efforts are made to anticipate future earthquake hazards. As plate tectonics steadily move Earth’s plates, elastic strain around plate boundary faults accumulates and releases in a repeated stick-slip sliding process that causes a limited degree of regularity of faulting. Given the history of prior earthquakes on a given fault, we can identify seismic gaps where future slip events are likely to occur. With geodesy we can also now measure locations of accumulating slip deficit relative to plate motions, as well as variation in seismic coupling, which characterizes the fraction of plate motion accounted for by earthquake failure.
Abdelghani Meslem and Dominik H. Lang
In the fields of earthquake engineering and seismic risk reduction the term “physical vulnerability” defines the component that translates the relationship between seismic shaking intensity, dynamic structural uake damage and loss assessment discipline in the early 1980s, which aimed at predicting the consequences of earthquake shaking for an individual building or a portfolio of buildings. In general, physical vulnerability has become one of the main key components used as model input data by agencies when developinresponse (physical damage), and cost of repair for a particular class of buildings or infrastructure facilities. The concept of physical vulnerability started with the development of the earthqg prevention and mitigation actions, code provisions, and guidelines. The same may apply to insurance and reinsurance industry in developing catastrophe models (also known as CAT models).
Since the late 1990s, a blossoming of methodologies and procedures can be observed, which range from empirical to basic and more advanced analytical, implemented for modelling and measuring physical vulnerability. These methods use approaches that differ in terms of level of complexity, calculation efforts (in evaluating the seismic demand-to-structural response and damage analysis) and modelling assumptions adopted in the development process. At this stage, one of the challenges that is often encountered is that some of these assumptions may highly affect the reliability and accuracy of the resulted physical vulnerability models in a negative way, hence introducing important uncertainties in estimating and predicting the inherent risk (i.e., estimated damage and losses).
Other challenges that are commonly encountered when developing physical vulnerability models are the paucity of exposure information and the lack of knowledge due to either technical or nontechnical problems, such as inventory data that would allow for accurate building stock modeling, or economic data that would allow for a better conversion from damage to monetary losses. Hence, these physical vulnerability models will carry different types of intrinsic uncertainties of both aleatory and epistemic character. To come up with appropriate predictions on expected damage and losses of an individual asset (e.g., a building) or a class of assets (e.g., a building typology class, a group of buildings), reliable physical vulnerability models have to be generated considering all these peculiarities and the associated intrinsic uncertainties at each stage of the development process.
Maria Papathoma-Köhle and Dale Dominey-Howes
The second priority of the Sendai Framework for Disaster Risk Reduction 2015–2030 stresses that, to efficiently manage risk posed by natural hazards, disaster risk governance should be strengthened for all phases of the disaster cycle. Disaster management should be based on adequate strategies and plans, guidance, and inter-sector coordination and communication, as well as the participation and inclusion of all relevant stakeholders—including the general public. Natural hazards that occur with limited-notice or no-notice (LNN) challenge these efforts.
Different types of natural hazards present different challenges to societies in the Global North and the Global South in terms of detection, monitoring, and early warning (and then response and recovery). For example, some natural hazards occur suddenly with little or no warning (e.g., earthquakes, landslides, tsunamis, snow avalanches, flash floods, etc.) whereas others are slow onset (e.g., drought and desertification). Natural hazards such as hurricanes, volcanic eruptions, and floods may unfold at a pace that affords decision-makers and emergency managers enough time to affect warnings and to undertake preparedness and mitigative activities. Others do not. Detection and monitoring technologies (e.g., seismometers, stream gauges, meteorological forecasting equipment) and early warning systems (e.g., The Australian Tsunami Warning System) have been developed for a number of natural hazard types. However, their reliability and effectiveness vary with the phenomenon and its location. For example, tsunamis generated by submarine landslides occur without notice, generally rendering tsunami-warning systems inadequate.
Where warnings are unreliable or mis-timed, there are serious implications for risk governance processes and practices. To assist in the management of LNN events, we suggest emphasis should be given to the preparedness and mitigation phases of the disaster cycle, and in particular, to efforts to engage and educate the public. Risk and vulnerability assessment is also of paramount importance. The identification of especially vulnerable groups, appropriate land use planning, and the introduction and enforcement of building codes and reinforcement regulations, can all help to reduce casualties and damage to the built environment caused by unexpected events. Moreover, emergency plans have to adapt accordingly as they may differ from the evacuation plans for events with a longer lead-time. Risk transfer mechanisms, such as insurance, and public-private partnerships should be strengthened, and redevelopment should consider relocation and reinforcement of new buildings. Finally, participation by relevant stakeholders is a key concept for the management of LNN events as it is also a central component for efficient risk governance. All relevant stakeholders should be identified and included in decisions and their implementation, supported by good communication before, during, and after natural hazard events.
The implications for risk governance of a number of natural hazards are presented and illustrated with examples from different countries from the Global North and the Global South.