No image availableNo image available

The financial management of flood risk: an international review - lessons learned from flood management programs in G8 countries


Published by
Year published
2015
Summary

This paper examines best practices and available models for managing the financial impact of floods. The paper (i) identifies key issues specific to flood risk management, (ii) evaluates international experience with public and private flood insurance programs, and (iii) draws out lessons for Canada’s approach to the financial management of flood risk and the role of insurance.

Language of publication
English
Number of pages
0 p.
Format
Digital
Material type
Associated URL
Topics
Permalink