Adaptive and integrative governance on risk and uncertainty
The article will conceptualize procedural mechanisms and structural configurations of risk governance with adaptive and integrative capacity in a general and comprehensive manner in order to better grasp the dynamics, structures, and functionality of risk-handling processes. Adaptive and integrative risk governance is supposed to address challenges raised by three characteristics that result from a lack of knowledge and/or competing knowledge claims about the risk problem: complexity, scientific uncertainty, and socio-political ambiguity. Adaptive and integrative capacity are broadly seen as the ability of politics and society to collectively design and implement a systematic approach to organizational and policy learning in institutional settings that are conducive to resolve cognitive, evaluative and normative problems, and conflicts of risks. For this purpose, we propose a risk governance model that augments the classical model of risk analysis (risk assessment, management, communication) by including steps of pre-estimation, interdisciplinary risk estimation, risk characterization and evaluation, risk management as well as monitoring and control. This new risk governance model also incorporates expert, stakeholder and public involvement as a core feature in the stage of communication and deliberation. A governance decision tree finally allows a systematic step-by-step procedure for the more inclusive risk-handling process.
Year of publication: |
2012
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Authors: | Klinke, Andreas ; Renn, Ortwin |
Published in: |
Journal of Risk Research. - Taylor & Francis Journals, ISSN 1366-9877. - Vol. 15.2012, 3, p. 273-292
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Publisher: |
Taylor & Francis Journals |
Saved in:
Online Resource
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