Risk Management in Post-Trust Societies
Autor Ragnar E. Löfstedten Limba Engleză Paperback – 13 mai 2005
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Specificații
ISBN-13: 9781349525942
ISBN-10: 1349525944
Ilustrații: XVIII, 165 p.
Dimensiuni: 140 x 216 mm
Greutate: 0.24 kg
Ediția:1st ed. 2005
Editura: Palgrave Macmillan UK
Colecția Palgrave Macmillan
Locul publicării:London, United Kingdom
ISBN-10: 1349525944
Ilustrații: XVIII, 165 p.
Dimensiuni: 140 x 216 mm
Greutate: 0.24 kg
Ediția:1st ed. 2005
Editura: Palgrave Macmillan UK
Colecția Palgrave Macmillan
Locul publicării:London, United Kingdom
Cuprins
Introduction and Overview A Review of the Four Risk Management Strategies Germany and the Waste Incinerator in the North Blackforest Risk Management in the United States: The Case of International Paper's Hydro-Dam Re-Licensing Procedure Sweden: Barsebäck, Risk Management and Trust Risk Management in the U.K: The Case of Brent Spar Conclusions: Integrating Trust into Risk Management
Recenzii
'Risk Management in Post-Trust Societies highlights the difficult balancing task facing risk regulators. Regulatory inaction against real risks can undermine public trust. However, exaggerated responses to risks can also jeopardize regulators' credibility. The diverse international case studies developed by Ragnar Lofstedt provide guidance for how regulators can navigate these and other frequently competing concerns.' - W. Kip Viscusi, Cogan Professor of Law and Economics, Harvard University, USA
'In democracies, government policies cannot succeed without public acceptance. Yet complex risk management requires technical expertise. How to reconcile these competing needs? Ragnar Lofstedt provocatively challenges recent research claiming that risk managers must engender public trust via deliberative dialogue. He uses four case studies to argue that the reasons for distrust vary and demand different responses; that in some cases trust can flow from technical competence without public deliberation; and that in others public deliberation can actually aggravate distrust. Trust me: Lofstedt's book will add spice to the debate over risk, experts, the public, and trust.' - Jonathan B. Wiener, Perkins Professor of Law and Environmental Policy, Duke University, USA
'Professor Ragnar Löfstedt has once again produced a most interesting book on risk management and trust, well-based in theory and build on empirical findings. Löfstedt presents a number of importantand thought-provoking conclusions on how to integrate trust into risk management, conclusions that once implemented might not only contribute to restored trust in society, but also to decreased risk.' - Mikael Karlsson, President, Swedish Society for Nature Conservation
'This is a thought provoking and invaluable book for anyone who cares about risk communication and management in the 21st century. Professor Löfstedt, via a number of case studies and the latest theoretical analysis, offers new insights on how regulators and policy makers can best win back the public's trust in the era of post trust.' - Anna Jung, Director General, European Food Information Council
'Ragnar Löfstedt's book is about the need to re-establish public trust in policy making for our modern societies. Understanding and communicating risk is essential for politicians and regulators in Europe and worldwide. In an increasingly diverse and interrelated world, a sophisticated risk management system will be the essential tool to re-establish trust. Professor Löfstedt's deep and profound scientific knowledge and his political insight into the various cases will help us to develop more appropriate risk management strategies.' - Erika Mann MEP, Germany
'In democracies, government policies cannot succeed without public acceptance. Yet complex risk management requires technical expertise. How to reconcile these competing needs? Ragnar Lofstedt provocatively challenges recent research claiming that risk managers must engender public trust via deliberative dialogue. He uses four case studies to argue that the reasons for distrust vary and demand different responses; that in some cases trust can flow from technical competence without public deliberation; and that in others public deliberation can actually aggravate distrust. Trust me: Lofstedt's book will add spice to the debate over risk, experts, the public, and trust.' - Jonathan B. Wiener, Perkins Professor of Law and Environmental Policy, Duke University, USA
'Professor Ragnar Löfstedt has once again produced a most interesting book on risk management and trust, well-based in theory and build on empirical findings. Löfstedt presents a number of importantand thought-provoking conclusions on how to integrate trust into risk management, conclusions that once implemented might not only contribute to restored trust in society, but also to decreased risk.' - Mikael Karlsson, President, Swedish Society for Nature Conservation
'This is a thought provoking and invaluable book for anyone who cares about risk communication and management in the 21st century. Professor Löfstedt, via a number of case studies and the latest theoretical analysis, offers new insights on how regulators and policy makers can best win back the public's trust in the era of post trust.' - Anna Jung, Director General, European Food Information Council
'Ragnar Löfstedt's book is about the need to re-establish public trust in policy making for our modern societies. Understanding and communicating risk is essential for politicians and regulators in Europe and worldwide. In an increasingly diverse and interrelated world, a sophisticated risk management system will be the essential tool to re-establish trust. Professor Löfstedt's deep and profound scientific knowledge and his political insight into the various cases will help us to develop more appropriate risk management strategies.' - Erika Mann MEP, Germany
Notă biografică
RAGNAR E. LÖFSTEDT is Professor and Director of the King's Centre for Risk Management, King's College London and Adjunct Professor at Carnegie Mellon, Harvard and Gothenburg Universities. He is the editor and chief of the Journal of Risk Research and he has published/edited nine books and more than forty peer-reviewed articles. In December 2000 he was the first non-American awarded the Chauncey Starr award for exceptional contributions to the field of risk analysis for someone under the age of 40, by the Society for Risk Analysis.