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MAP20230023921Financial management of earthquake risk. — Paris : OECD, 2018108 p.Sumario: The Financial Management of Earthquake Risk applies the lessons from the OECD's analysis of disaster risk financing practices and the application of its guidance to the specific case of earthquakes. The report provides an overview of the approaches that economies facing various levels of earthquake risk and economic development have taken to managing the financial impacts of earthquakes1. Gerencia de riesgos. 2. Catástrofes naturales. 3. Riesgos extraordinarios. 4. Terremotos. 5. Gestión financiera. 6. Desarrollo económico. 7. Evaluación de impacto. I. OECD. II. Title.