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Post-Disaster Housing Recovery  

Anuradha Mukherji

Rapid urbanization and growing populations have put tremendous pressures on limited global housing stocks. As the frequency of disasters has increased with devastating impacts on this limited stock of housing, the discourse on postdisaster housing recovery has evolved in several ways. Prior to the 1970s, the field was largely understudied, and there was a narrow understanding of how households and communities rebuilt their homes after a catastrophic event and on the effectiveness of housing recovery policy and programs designed to assist them. Early debates on postdisaster housing recovery centered on cultural and technological appropriateness of housing recovery programs. The focus on materials, technology, and climate missed larger socioeconomic and political complexities of housing recovery. Since then, the field has come a long way: current theoretical and policy debates focus on the effect of governance structures, funding practices, the consequences of public and private interventions, and socioeconomic and institutional arrangements that effect housing recovery outcomes. There are a number of critical issues that shape long-term postdisaster housing recovery processes and outcomes, especially in urban contexts. Some of them include the role of the government in postdisaster housing recovery, governance practices that drive recovery processes and outcomes, the challenges of paying for postdisaster housing repair and reconstruction, the disconnect between planning for rebuilding and planning for housing recovery, and the mismatch between existing policy programs and housing needs after a catastrophic event—particularly for affordable housing recovery. Moreover, as housing losses after disasters continue to increase, and as the funding available to rebuild housing stocks shrinks, it has become increasingly important to craft postdisaster housing recovery policy and programs that apply the limited resources in the most efficient and impactful ways. Creating housing recovery programs by employing a needs-based approach instead of one based solely on loss could more effectively focus limited resources on those that might need it the most. Such an approach would be broad based and proportional, as it would address the housing recovery of a wide range of groups based upon their needs, including low-income renters, long-term leaseholders, residents of informal settlements and manufactured homes, as well as those with preexisting resources such as owner-occupant housing.

Article

Urban Planning and Natural Hazards Governance  

Ricardo Marten, Theresa Abrassart, and Camillo Boano

The establishment of effective linkages between institutional urban planning and disaster risk strategies remains a challenge for formal governance structures. For governments at all administrative scales, disaster resilience planning has required systemic capacities that rely on structures of governance, humanitarian frameworks, and budgetary capacities. However, with growing urbanization trends, humanitarian responses and Disaster Risk Management (DRM) frameworks have had to adapt their operations in contexts with high population density, complex infrastructure systems, informal dynamics, and a broader range of actors. Urban areas concentrate an array of different groups with the capability of contributing to urban responses and strategies to cope with disaster effects, including community groups, government agencies, international organizations and humanitarian practitioners. In addition, cities have running planning structures that support their administration and spatial organization, with instruments that supply constant information about population characteristics, infrastructure capacity and potential weaknesses. Processes and data ascribed to urban planning can provide vital knowledge to natural hazard governance frameworks, from technical resources to conceptual approaches towards spatial analysis. Authorities managing risk could improve their strategic objectives if they could access and integrate urban planning information. Furthermore, a collaborative hazard governance can provide equity to multiple urban actors that are usually left out of institutional DRM, including nongovernmental organizations, academia, and community groups. Traditional top-down models can operate in parallel with horizontal arrangements, giving voice to groups with limited access to political platforms but who are knowledgeable on urban space and social codes. Their still limited recognition is evidence that there is still a disconnect between the intentions of global frameworks for inclusive governance, and the co-production of an urban planning designed for inclusive resilience.

Article

Children, Youth, and Disaster  

Alice Fothergill

Children and youth are greatly affected by disasters, and as climate instability leads to more weather-related disasters, the risks to the youngest members of societies will continue to increase. Children are more likely to live in risky places, such as floodplains, coastal areas, and earthquake zones, and more likely to be poor than other groups of people. While children and youth in industrialized countries are experiencing increased risks, the children and youth in developing countries are the most at risk to disasters. Children and youth are vulnerable before, during, and after a disaster. In a disaster, many children and youth experience simultaneous and ongoing disruptions in their families, schooling, housing, health and access to healthcare, friendships, and other key areas of their lives. Many are at risk to separation from guardians, long-term displacement, injury, illness, and even death. In disaster planning, there is often an assumption that parents will protect their children in a disaster event, and yet children are often separated from their parents when they are at school, childcare centers, home alone, with friends, and at work. Children do not have the resources or independence to prepare for disasters, so they are often reliant on adults to make evacuation decisions, secure shelter, and provide resources. Children also may hide or have trouble articulating their distress to adults after a disaster. In the disaster aftermath, it has been found that children and youth—no matter how personally resilient—cannot fully recover without the necessary resources and social support. Social location—such as social class, race, gender, neighborhood, resources, and networks—prior to a disaster often determines, at least in part, many of the children’s post-disaster outcomes. In other words, age intersects with many other factors. Girls, for example, are at risk to sexual violence and exploitation in some disaster aftermath situations. In addition, a child’s experience in a disaster could also be affected by language, type of housing, immigration status, legal status, and disability issues. Those living in poverty have more difficulties preparing for disasters, do not have the resources to evacuate, and live in lower quality housing that is less able to withstand a disaster. Thus, it is crucial to consider the child’s environment before and after the disaster, to realize that some children experience cumulative vulnerability, or an accumulation of risk factors, and that disasters may occur on top of other crises, such as drought, epidemics, political instability, violence, or a family crisis such as divorce or death. Even as children and youth are vulnerable, they also demonstrate important and often unnoticed capacities, skills, and strengths, as they assist themselves and others before and after disaster strikes. Frequently, children are portrayed as helpless, fragile, passive, and powerless. But children and youth are creative social beings and active agents, and they have played important roles in preparedness activities and recovery for their families and communities. Thus, both children’s vulnerabilities and capacities in disasters should be a research and policy priority.

Article

Natural Hazards Governance in Democratic States With Developed Economies  

Patrick S. Roberts

Natural hazards have evolved from being the responsibility of subnational governments—if the government intervened all—to become a core function of national governments. The cost of disaster losses has increased over time in states with developed economies, even as fewer lives are lost. Increasing losses are caused by an increasing number of extreme weather events, which wreak havoc on urbanizing populations that build expensive structures in vulnerable locations. Hazards governance attempts to use political and organizational tools to mitigate or prevent damage and bounce back when disasters occur. In large and developed states, authority for hazards governance is fragmented across levels of government, as well as the private sector, which controls much of the infrastructure and property that is subject to losses. The political consequences of disaster losses are mixed and depend on contextual factors: sometimes politicians, government agencies, and nonprofit and voluntary organizations are blamed for failures on their watch, and sometimes they are rewarded for coming to the rescue. The study of disasters has become more interdisciplinary over time as scholars seek to integrate the study of natural hazards with socio-political systems. The future of hazards governance research lies in improving understanding of how to manage multiple, overlapping risks over a period of time beyond next election cycle, and across levels of government and the private sector.

Article

Collaboration and Cross-Sector Coordination for Humanitarian Assistance in a Disaster Recovery Setting  

David Sanderson

While known to be important and essential for improved effectiveness and efficiency, cross-sector coordination and collaboration among different actors engaged in postdisaster recovery is fraught with complications. Among the challenges are (a) who leads, and how; (b) the capacity and roles of the host government; (c) governance structures within organizations (which may differ a great deal); (d) assumptions of power; (e) the trade-off between valuing relationships and “getting the job done”; and (f) the varying constraints (and opportunities) of accountability. Recognizing the need to improve joint actions for a better response, the Humanitarian Reform Agenda (HRA), begun in 2005, led to the remolding of collective models of disaster response and the adoption of the global cluster system, which is essentially organized around the delivery of goods and services (sectors) by traditional aid actors such as the United Nations (UN), nongovernmental organizations (NGOs), and the International Red Cross and Red Crescent Movement. While the cluster system has largely been acknowledged as an improvement in collaboration among actors, a perennial challenge of cross-sector coordination remains. One of the opportunities for improvement lies in better and more predictable leadership, one of the key areas identified by the HRA. Another opportunity lies in changing the focus from a supply-driven approach of prioritizing what aid providers deliver to a demand-driven understanding, such as that offered by area-based approaches, wherein sectors are more closely aligned. A common form of collaboration within aid is partnership between various actors (e.g., the United Nations or NGOs). Partnerships assume more than a constructing relationship: Effective partnerships emphasize the need for transparency and equity, along with being results-oriented and competent. Recognizing this, the Grand Bargain, resulting from the World Humanitarian Summit, noted that aid providers should engage with local and national responders in a spirit of partnership and aim to reinforce rather than replace local and national capacities. Partnerships, however, fall short all too often, especially when one partner has power over the other, which is often the case. The report Time to Let Go, by the Overseas Development Institute (ODI), notes, for instance, that “the relationships between donor and implementer, aid provider and recipient, remain controlling and asymmetrical, and partnerships and interactions remain transactional and competitive, rather than reciprocal and collective.” The challenge remains to achieve the task at hand, while at the same time engaging in effective collaborative mechanisms that value the nature of the relationship. If this is not achieved, effective postdisaster recovery can be jeopardized.

Article

Fiscal Implications of Managing Natural Disasters for National and Subnational Governments  

Qing Miao

Natural disasters cause massive social disruptions and can lead to tremendous economic and human losses. Given their uncertain and destructive nature, disasters invariably induce significant governmental responses and typically pose severe financial challenges for jurisdictions across all levels of government. From a public finance perspective, disasters cause governments to incur additional spending on various emergency management activities, and by disrupting normal business activities they also affect tax base robustness and cause revenue losses. The question is: How significant are these fiscal effects and how do they affect hazards governance more generally? Understanding the fiscal implications of natural disasters is essential to evaluating the size of the economic costs of disasters as well as forecasting governments’ financial exposure to future shocks. Furthermore, how disaster costs are shared among different levels of government is another important question concerning the intergovernmental dynamics of disaster management. In the US federal system, the direct fiscal costs of natural disasters (i.e., increased government expenditures due to disaster shocks) are largely borne by the federal government. It is estimated that Hurricane Katrina cost the federal government approximately $120 billion while Hurricane Sandy cost $60 billion. Even in the years without large-scale disaster events, federal disaster spending is between $2 billion and $6 billion annually. Under the Stafford Act, the federal government plays a critical role in funding disaster-related programs (e.g., direct relief, mitigation grants, and subsidized insurance programs) and redistributing the actual costs of natural hazards, meaning that a considerable portion of the local disaster burden is shifted to all US taxpayers. This raises a set of issues concerning the equity and efficiency of the US disaster policy framework. Managing disasters involves multiphased activities to mitigate, prepare for, respond to, and recover from disaster shocks. There is a common belief that the federal government inappropriately spends far more on ex post disaster response, relief, and recovery than what it spends on ex ante mitigation and preparedness, often driven by political motivations (e.g., meeting voters’ preferences for postdisaster aid) and the current budget rules. As pointed out by many others, federal disaster relief and assistance distort the subnational incentive to invest in local disaster prevention and mitigation efforts. Furthermore, given the mounting evidence on the cost-effectiveness of disaster mitigation programs in reducing future disaster damages, the current practice of focusing resources on postdisaster assistance means substantial public welfare losses. In recent years there has been a call for the federal government to shift its disaster policy emphasis toward mitigation and preparedness and also to facilitate local efforts on mitigation. To achieve the goal requires a comprehensive reform in government budgeting for emergency management.

Article

Public Sector Agencies and Their Formal Legal and Administrative Responsibilities  

Ashley D. Ross

Public sector agencies at all levels of government work to mitigate risk, prepare for and respond to emergencies and disasters, and recover from catastrophic events. This action is guided by a national emergency management system that has evolved over time and was most recently reformed post–Hurricane Katrina. There is an extensive set of federal guidelines by the Department of Homeland Security and the Federal Emergency Management Agency that serve to structure the national system of hazard management. These include: the National Preparedness Goal; the National Preparedness System; National Planning Frameworks and accompanying Federal Interagency Operational Plans (FIOPs); the National Preparedness Report; and the Campaign to Build and Sustain Preparedness. Despite the considerable institutional and administrative guidance, there remain critical gaps in public-agency natural hazard management. These include lack of quality planning on the subnational level, insufficient local fiscal and human capital, and inconsistent regulation of the recovery process. While stricter implementation of federal mandates may partly address some of these issues, others will require greater political will in order to enact zoning regulations, create a shift in the acceptance of risk, and ensure that solutions are afforded by partnerships between civil, economic, and public entities.

Article

Disaster and Response in an Experiment Called New Orleans, 1700s–2000s  

Richard Campanella

As an urbanized river-dominated delta, New Orleans, Louisiana, ranks among the most experimental of cities, a test of whether the needs of a stable human settlement can coexist with the fluidity of a deltaic environment—and what happens when they do not. That natural environment bestowed upon New Orleans numerous advantages, among them abundant fresh water, fertile soils, productive wetlands and, above all, expedient passage between maritime and continental realms. But with those advantages came exposure to potential hazards—an overflowing Mississippi River, a tempestuous Gulf of Mexico, sinking soils, eroding coasts, rising seas, biotic invasion, pestilence, political and racial discord, conflagration—made all the worse by the high levels of social vulnerability borne by all too many members of New Orleans’ population. More so than any other major metropolis on the North American continent, this history of disaster and response is about the future of New Orleans as much as it is about the past. This article examines two dozen disasters of various types and scales, with origins oftentimes traceable to anthropogenic manipulation of the natural environment, and assesses the nature of New Orleans’ responses. It frames these assessments in the “risk triangle” framework offered by David Crichton and other researchers, which views urban risk as a function of hazard, exposure, and vulnerability. “Hazard” implies the disastrous event or trauma itself; “exposure” means human proximity to the hazard, usually in the form of settlement patterns, and “vulnerability” indicates individuals’ and communities’ ability to respond resiliently and adaptively—which itself is a function of education, income, age, race, language, social capital, and other factors—after having been exposed to a hazard.