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模拟库存和异质性在自然灾害经济成本评估中的作用

Modeling the Role of Inventories and Heterogeneity in the Assessment of the Economic Costs of Natural Disasters.

作者信息

Hallegatte Stéphane

机构信息

The World Bank, Sustainable Development Network, Washington, DC, USA.

Centre International de Recherche sur l'Environnement et le Développement, Paris, France.

出版信息

Risk Anal. 2014 Jan;34(1):152-67. doi: 10.1111/risa.12090. Epub 2013 Jul 8.

DOI:10.1111/risa.12090
PMID:23834029
Abstract

Estimates of the cost of potential disasters, including indirect economic consequences, are an important input in the design of risk management strategies. The adaptive regional input-output (ARIO) inventory model is a tool to assess indirect disaster losses and to analyze their drivers. It is based on an input-output structure, but it also (i) explicitly represents production bottlenecks and input scarcity and (ii) introduces inventories as an additional flexibility in the production system. This modeling strategy distinguishes between (i) essential supplies that cannot be stocked (e.g., electricity, water) and whose scarcity can paralyze all economic activity; (ii) essential supplies that can be stocked at least temporarily (e.g., steel, chemicals), whose scarcity creates problems only over the medium term; and (iii) supplies that are not essential in the production process, whose scarcity is problematic only over the long run and are therefore easy to replace with imports. The model is applied to the landfall of Hurricane Katrina in Louisiana and identifies two periods in the disaster aftermath: (1) the first year, during which production bottlenecks are responsible for large output losses; (2) the rest of the reconstruction period, during which bottlenecks are inexistent and output losses lower. This analysis also suggests important research questions and policy options to mitigate disaster-related output losses.

摘要

对潜在灾害成本的估计,包括间接经济后果,是风险管理策略设计的重要输入。适应性区域投入产出(ARIO)清单模型是一种评估间接灾害损失并分析其驱动因素的工具。它基于投入产出结构,但还(i)明确表示生产瓶颈和投入稀缺,并且(ii)将库存作为生产系统中的额外灵活性引入。这种建模策略区分了(i)无法储存的基本物资(如电力、水),其稀缺会使所有经济活动陷入瘫痪;(ii)至少可以暂时储存的基本物资(如钢铁、化学品),其稀缺仅在中期造成问题;以及(iii)生产过程中不必要的物资,其稀缺仅在长期存在问题,因此很容易用进口替代。该模型应用于卡特里娜飓风在路易斯安那州的登陆,并确定了灾后的两个时期:(1)第一年,在此期间生产瓶颈导致大量产出损失;(2)重建期的其余时间,在此期间不存在瓶颈且产出损失较低。该分析还提出了减轻与灾害相关的产出损失的重要研究问题和政策选择。

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