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1.
Wildlife deaths associated with cyanide-bearing mine waste solutions have plagued the gold mining industries for many years, yet there is little published data showing the relationship between wildlife mortality and cyanide toxicity. A gap of knowledge exists in monitoring, understanding the causal relationships and managing risks to wildlife from cyanide-bearing waste solutions and tailings. There is a need for the gold industry to address this issue and to meet the International Cyanide Management Code (ICMC) guidelines. The perceived extent of the issue varies, with one study finding the issue inadequately monitored and wildlife deaths grossly underestimated. In Nevada, USA during 1990 and 1991, 9512 carcasses were reported of over 100 species, although there was underestimation due to reporting being voluntary. Of these, birds comprised 80-91% of vertebrate carcasses reported annually. At Northparkes, Australia in 1995, it was initially estimated that 100 bird carcasses were present by mine staff following a tailings incident; when a thorough count was conducted, 1583 bird carcasses were recorded. Eventually, 2700 bird deaths were documented over a four-month period. It is identified that avian deaths are usually undetected and significantly underestimated, leading to a perception that a risk does not exist. Few guidelines and information are available to manage the risks of cyanide to wildlife, although detoxification, habitat modification and denying wildlife access have been used effectively. Hazing techniques have proven ineffective. Apparently no literature exists that documents accurate wildlife monitoring protocols on potentially toxic cyanide-bearing mine waste solutions or any understanding on the analysis of any derived dataset. This places the onus on mining operations to document that no risk to wildlife exists. Cyanide-bearing tailings storage facilities are environmental control structures to contain tailings, a standard practice in the mining industry. Cyanide concentrations below 50 mg/L weak-acid-dissociable (WAD) are deemed safe to wildlife but are considered an interim benchmark for discharge into tailings storage facilities (TSFs). Cyanide is a fast acting poison, and its toxicity is related to the types of cyanide complexes that are present. Cyanide in biota binds to iron, copper and sulfur-containing enzymes and proteins required for oxygen transportation to cells. The accurate determination of cyanide concentrations in the field is difficult to achieve due to sampling techniques and analytical error associated with loss and interferences following collection. The main WAD cyanide complexes in gold mine tailings are stable in the TSF environment but can release cyanide ions under varying environmental conditions including ingestion and absorption by wildlife. Therefore distinction between free, WAD and total cyanide forms in tailings water for regulatory purposes is justified. From an environmental perspective, there is a distinction between ore bodies on the basis of their copper content. For example, wildlife deaths are more likely to occur at mines possessing copper-gold ores due to the formation of copper-cyanide complexes which is toxic to birds and bats. The formation of copper-cyanide complex occurs preferentially to gold cyanide complex indicating the relative importance of economic vs. environmental considerations in the tailings water. Management of cyanide to a perceived threshold has inherent risks since cyanide has a steep toxicity response curve; is difficult to accurately measure in the field; and is likely to vary due to variable copper content of ore bodies and ore blending. Consequently, wildlife interaction needs to be limited to further reduce the risks. A gap in knowledge exists to design or manage cyanide-bearing mine waste solutions to render such facilities unattractive to at-risk wildlife species. This gap may be overcome by understanding the wildlife behaviour and habitat usage of cyanide-bearing solutions.  相似文献   

2.
Causal inference of exposure-response relations from data is a challenging aspect of risk assessment with important implications for public and private risk management. Such inference, which is fundamentally empirical and based on exposure (or dose)-response models, seldom arises from a single set of data; rather, it requires integrating heterogeneous information from diverse sources and disciplines including epidemiology, toxicology, and cell and molecular biology. The causal aspects we discuss focus on these three aspects: drawing sound inferences about causal relations from one or more observational studies; addressing and resolving biases that can affect a single multivariate empirical exposure-response study; and applying the results from these considerations to the microbiological risk management of human health risks and benefits of a ban on antibiotic use in animals, in the context of banning enrofloxacin or macrolides, antibiotics used against bacterial illnesses in poultry, and the effects of such bans on changing the risk of human food-borne campylobacteriosis infections. The purposes of this paper are to describe novel causal methods for assessing empirical causation and inference; exemplify how to deal with biases that routinely arise in multivariate exposure- or dose-response modeling; and provide a simplified discussion of a case study of causal inference using microbial risk analysis as an example. The case study supports the conclusion that the human health benefits from a ban are unlikely to be greater than the excess human health risks that it could create, even when accounting for uncertainty. We conclude that quantitative causal analysis of risks is a preferable to qualitative assessments because it does not involve unjustified loss of information and is sound under the inferential use of risk results by management.  相似文献   

3.
The current increase in the number of development projects in Malawi is leading to loss of natural resources and the general degradation of the environment. Both the Malawi Environmental Management Act of 1996 and the Guidelines for Environmental Impact Assessment of 1997, prescribe a list of infrastructural projects that must undergo environmental impact assessment (EIA) before their implementation. This study identifies the key limitations of EIA application to infrastructural projects in Malawi. A desktop study used to gather information in this study involved a review of several documents such as EIA reports, policies and laws, books, journals and internet articles. Primary data was obtained from policymakers, contractors, EIA practitioners and the general public using both structured and unstructured interviews, as well as through questionnaires. Focus group discussions and direct observations were employed wherever necessary in the study. Major limitations to successful EIA in infrastructural projects in Malawi include: (1) limited experience and practice of EIA practitioners; (2) cost of EIA process; (3) limited links between EIA and urban planning procedures; (4) lack of political will; (5) project delays; (6) lack of effective monitoring and auditing, (7) lack of data, especially those to be used in predictive models. This violates the principles of sustainability science and the international best practices for EIA that were developed by the International Association for Impact Assessment. It is recommended that active environmental management should actively involve the interests of all stakeholders, and that follow up of predicted environmental impacts resulting from any project should entail monitoring, auditing and reporting.  相似文献   

4.
Environmental monitoring has been conducted at the South African National Nuclear Research Facility (Necsa site) for the past 38 years. Included in this monitoring programme was the assessment of water, fish and sediment samples. The objective of this project was to review the data of these assessments to establish if the Necsa activities had any impact on the environment. An assessment of the management of discharge limits was included in the review. Fluctuations in the data reviewed can partly be ascribed to errors in sampling techniques and analysis methods, but mostly to external factors. Two main external factors identified during the review were: dilution effects based on the flowrate in the Crocodile River and the percentage of full capacity of the Hartbeespoort Dam, and the atmospheric fallout from nuclear weapons testing. In this project, the impact of these factors were investigated with the help of correlation coefficient calculations and graphs. It was concluded that the flowrate of the Crocodile River and percentage full capacity of the Hartbeespoort Dam did have an impact on the beta activity measured in water and fish samples, and the (nat)U activities measured in water samples. The measured fallout from nuclear weapons testing in the southern hemisphere also had an impact on the beta activity in water. The assessment of the environmental monitoring data also showed that accidental releases were measurable in the environment. The added routine impact to a member of the public downstream from Necsa was on average an annual dose of 0.54 microSv more than that to a person living upstream from Necsa, which is considered insignificant in international radiation protection norms. The conclusion can be made that the monitoring programme is successful in satisfying its main objective, which is to determine the effects of the discharges on the environment and the immediate population.  相似文献   

5.
The EU Water Framework Directive (WFD) is novel because it integrates water quality, water resources, physical habitat and, to some extent, flooding for all surface and groundwaters and takes forward river basin management. However, the WFD does not explicitly mention risks posed by climate change to the achievement of its environmental objectives. This is despite the fact that the time scale for the implementation process and achieving particular objectives extends into the 2020s, when climate models project changes in average temperature and precipitation. This paper begins by reviewing the latest UK climate change scenarios and the wider policy and science context of the WFD. We then examine the potential risks of climate change to key phases of the River Basin Management Process that underpin the WFD (such as characterisation of river basins and their water bodies, risk assessments to identify pressures and impacts, programmes of measures (POMs) options appraisal, monitoring and modelling, policy and management activities). Despite these risks the WFD could link new policy and participative mechanisms (being established for the River Basin Management Plans) to the emerging framework of national and regional climate change adaptation policy. The risks are identified with a view to informing policy opportunities, objective setting, adaptation strategies and the research agenda. Key knowledge gaps have already been identified during the implementation of the WFD, such as the links between hydromorphology and ecosystem status, but the overarching importance of linking climate change to these considerations needs to be highlighted. The next generation of (probabilistic) climate change scenarios will present new opportunities and challenges for risk analysis and policy-making.  相似文献   

6.
借鉴发达国家对污染物场地的管理方法,探索了我国污染场地分类管理的程序:从疑似污染场地的申报建档、疑似污染场地的初步调查、场地的危害分级、污染场地的详细调查、污染场地风险评估,到污染场地的治理修复,以及贯穿场地管理始终的环境监测.在上述管理程序中还缺失危害分级的方法,其他步骤已有相关技术文件支持.本文进一步构建了其中场地危害分级的方法:即根据污染源是否存在,污染物的性质、赋存状态、迁移性、含量水平,周围是否有敏感目标及其类型,分成不同的危害级别和管理级别,并实施不同的管理措施.以江苏省八家氯丹、灭蚁灵生产企业场地为例,经初步调查和危害分级,将8个场地分为3类:B类场地(有1个场地)环境介质中无超标污染物检出,但场地上的有害废弃物需要处置;C类场地(包括3个场地)局部有超标污染物检出,但场地不具备详细调查采样和修复的条件,需要对污染区进行隔离处置,以降低人体健康风险;还有D类场地(包括4个场地)需要详细采样以确定污染范围并进行风险评估.根据最后一类4个场地进一步调查评估的结果,并考虑到场地实施修复的经费、技术可行性及场地相关利益方的意见,决定优先对其中1个场地实施修复治理.  相似文献   

7.
A systemic health risk assessment for the chromium cycle in Taiwan   总被引:4,自引:0,他引:4  
Health risk assessment (HRA) has been recognized as a useful tool for identifying health risks of human activities. In particular, this method has been well applied to spatially defined units, such as a production plant, a treatment facility, and a contaminated site. However, the management strategies based on the risk information will be more efficient if the comprehensive picture of total risks from all kinds of sources is depicted. In principle, the total risks can be obtained when all risk sources are assessed individually. Apparently, this approach demands huge amount of efforts. This study develops a methodology that combines substance flow and risk estimation to facilitate examination of risk in a systemic way and provide comprehensive understanding of risk generation and distribution corresponding to flows of substances in the anthroposphere and the environment. Substance flow analysis (SFA) and HRA method is integrated to produce a systemic risk assessment method, from which substance management schemes can be derived. In this study, the chromium cycle in Taiwan is used as an example to demonstrate the method, by which the associated substance flow in the economy and the risk caused by the substance in the environmental system is determined. The concentrations of pollutants in the environmental media, the resultant risks and hazard quotients are calculated with the widely-used CalTOX multimedia model.  相似文献   

8.
Air quality is managed in Great Britain via an effects-based, risk management process designed to provide a dynamic solution to public health issues associated with elevated concentrations of seven specified air pollutants. This paper is concerned with an examination and evaluation of the process of Local Air Quality Management (LAQM) in Great Britain from the late 1980s to date as a risk management process. The statutory basis of LAQM process is provided by the Environment Act 1995. The Act provides a framework in which national and local actions are required to identify and remediate areas of poor air quality. Within this framework, the implementation of the process at national and local levels is considered, leading to an identification and assessment of risks in the formulation and implementation of air quality management policy and practice. Local Authorities began the process of Review and Assessment in 1999 and the first round of the process concluded in 2001. Following this, some 129 Local Authorities declared one or more Air Quality Management Areas (AQMAs). The Review and Assessment elements of the framework were subjected to an evaluation in 2001 and the essential elements of it were confirmed as fit for purpose. The evaluation led to a confirmation of the process of LAQM but also a simplification based on the experience of Round 1. Now, a two step process is required comprising of an Updating and Screening Assessment and, where a risk of exceeding an Air Quality Objective (AQO) is identified, a Detailed Assessment follows. The Government has identified a time scale for Review and Assessment through to 2010 and also introduced the requirement of a regular Progress Report in order that a Local Authority is able to address routine matters of air quality management. The risks inherent in epidemiological or scientific uncertainty are factored into the LAQM process at an early stage of the process and, by identifying the risks and subjecting them to regular review, the process provides a 'level playing field' across spatial and temporal scales. Whilst the process of LAQM described in this paper has been developed for Great Britain, the generic elements of the process are applicable to other countries challenged by air pollution problems which require both national and local action to resolve them.  相似文献   

9.
Gyps vulture populations across the Indian subcontinent are declining rapidly and evidence indicates that veterinary use of the non-steroidal anti-inflammatory drug (NSAID) diclofenac is the major cause. Exposure of vultures to diclofenac is likely to arise from the consumption of livestock carcasses that have been treated shortly before death, however, detailed information regarding the prevalence and residual levels of diclofenac in carcasses available to vultures in India remains unreported. Here, we present data on diclofenac residues in 1848 liver samples taken from carcasses of dead livestock sampled at 67 sites in 12 states within India, between May 2004 and July 2005. Diclofenac residues were detected in carcasses in all states except Orisa, where only one site was sampled. The overall prevalence of detectable diclofenac (>10 microg kg(-1)) across all states was 10.1% and varied significantly among states, with up to 22.3% prevalence determined in Bihar. The geometric mean concentration of diclofenac found in samples in which the drug was detected was 352 microg kg(-1). The prevalence of carcasses containing diclofenac is similar to that previously proposed to be required to have caused the observed Gyps vulture declines in India. On the 11th of May 2006, the Drug Controller General (India) ordered the withdrawal of all licenses granted for the manufacture of diclofenac for veterinary use within India. However, if Gyps vultures are to be protected, potentially substantial existing stocks now need to be quickly and effectively removed from the Indian veterinary market.  相似文献   

10.
The effects of agricultural activities on the environment can be presented by suitable pressure indicators. These pressure indicators can also be used as control variables to achieve a desired environmental state. Therefore, pressure indicators can play a decisive role in the elaboration of agri-environmental measures. This paper deals with the use of pressure indicators to assess the sustainability of agricultural land use on the one hand, and their contribution to the development of agri-environmental measures on the other hand. After the illustration of the general political background on the CAP evolution and the information needed for monitoring, control and ex-post assessment, the methodological approach of the AEMBAC project to provide this information is presented. Experiences in applying pressure indicators in assessing the agri-environmental measures are discussed and their applicability for the identification of environmental impacts, management and monitoring is evaluated.  相似文献   

11.
Some 44% of the world's population lives within 150 km of the coast and mass migration towards the coast will continue in the decades ahead. Degrading and exhaustive uses of land, water and other coastal resources and disruption of environmental processes through degradation of environmental quality and loss of critical terrestrial and aquatic habitats can lead to serious deleterious impacts on the health and productivity of coastal ecosystems. Following the Arusha Resolution (1993), the Seychelles Statement (1996) and the Colombo CZM Workshop (1999), the need for integrated coastal zone management has become critical because of the limited land resources and unproportional domination of coastal areas in the wider Caribbean and Indian Ocean/ Pacific island states. The coastal zone of Mauritius (1,850 km2, 20°S, 58°E, south-western Indian Ocean, 1.12 million inhabitants) was redefined in 1997 in the Environmental Protection Act of 1991 [Part VII (Act 34)] to include all islets within the Exclusive Economic Zone (EEZ; 1.7 million km2). During the 1980s, the Mauritian economy underwent major structural changes successfully, with a rapid phase of industrialization diversifying into two major activities, textiles and tourism. Existing reports and data in a common framework have to be synthesized and organized to fill existing gaps in knowledge with data collection and scientific inquiries, to identify social and economic drivers and to relate socioeconomic change to demands for environmental resources (land use, water resources, marine systems) and environmental impacts as proposed under the MERMAID (Mauritius Environmental Resource Management and Industrial Development) project. Nutrient flux and sediment trace metal contamination studies are currently underway to investigate different watersheds impacted by agricultural, urban and industrial activities in the north-west of the island. There is a pressing need to integrate the natural sciences with socioeconomic disciplines as proposed by the International Human Dimensions Program (IHDP) for an integrated management of coastal zones. Three integrated pilot projects in the Pacific-Indian Ocean and wider Caribbean as identified by Land Ocean Interaction in the Coastal Zone (LOICZ) in the future, including current status and changes in material fluxes from drainage basins, transboundary impacts from the ocean and atmospheric inputs, could elucidate the land–sea interactions and human dimensions of change on small islands. The sustainability of marine resources and the conservation of biological diversity will depend on a critical understanding of linkages between human activities and ecological responses and upon a citizenry that assumes ownership of these regions. Case studies would also help in investigating how humans affect transport pathways and biogeochemical cycles in small island states. Electronic Publication  相似文献   

12.
Radioactive particles present a novel exposure pathway for members of the public. For typical assessments of potential doses received by members of the public, habit surveys and environmental monitoring combine to allow the assessment to occur. In these circumstances it is believed that the probability of encounter/consumption is certain. The potential detriment is assessed through sampling the use of environmental monitoring data and dose coefficients such as that in ICRP 60 [ICRP, 1990. 1990 Recommendations of the international commission on radiological protection. Publication 60. Annals of the ICRP 21 (1-3)]. However, radioactive particles often represent a hazard that is difficult to quantify and where the probability of encounter is less than certain as are the potential effects on health. Normal assessment methodologies through sampling and analysis are not appropriate for assessing the impact of radioactive particles either prospectively or retrospectively. This paper details many of the issues that should be considered when undertaking an assessment of the risk to health posed by radioactive particles.  相似文献   

13.
Large scale (e.g. regional or national) assessments of contaminated sites may be very costly in terms of investigation and methodological (i.e. risk assessment procedures) requirements and may produce a quantity of information that usually discourages examination by decision-makers. Moreover, most of the existing tools effectively support local environmental risk assessment and management, but lack the capabilities of larger scale analysis, not mentioning the absence of the relevant component of socio-economic prioritization. To respond to the concerns and the management needs of experts and decision makers, the Spatial decision support sYstem for Regional rIsk Assessment of Degraded land (SYRIADE DSS) was developed and is presented according to its three modules: Regional Risk Assessment, Socio-economic Assessment and Integrated Assessment, respectively. The system allows to rank potentially contaminated sites for priority of investigation, when no information on characterization and risk by site specific methodologies is available. This GIS-based system embeds an innovative spatial and relative risk assessment procedure, and proposes the integrated analysis of different data (environmental and socio-economic) for the concerned sites, eliciting when necessary experts' knowledge and stakeholders' values (through Multi Criteria Decision Analysis, MCDA, methodologies). The application to a Polish case-study shows the performance and the flexibility of the system in investigating and mapping (potentially) contaminated sites at the regional scale.  相似文献   

14.
Environmental management, for which environmental and human health risk assessment is the first stage, is a requirement for industries both before construction and during operation in order to sustain improved quality of life in the ecosystem. Therefore, the aim of this study is to propose an approach that integrates environmental and human health risk assessment for industries using hazardous materials in order to support environmental decision makers with quantitative and directive results. Analytic hierarchy process and fuzzy logic are used as tools to handle problems caused by complexity of environment and uncertain data. When the proposed approach is implemented to a scenario, it was concluded that it is possible to define risk sources with their risk classes and related membership degrees in that classes which enable the decision maker to decide which risk source has priority. In addition, they can easily point out and rank the factors contributing those risk sources owing to priority weights of them. As a result, environmental decision makers can use this approach while they are developing management alternatives for unfounded and on-going industrial plants using hazardous materials.  相似文献   

15.
To examine the factors that support adaptation within a regional and sectoral context, this article explores five climate-sensitive sectors in North and South Carolina (Forestry, Government Administration, Tourism, Water Management, and Wildlife Management) and the role of partnerships, collaborations, and networks in facilitating climate adaptation and related activities. Drawing from 117 online questionnaires and interviews with sector leaders across the Carolinas, the article highlights several key functions of networks in regard to supporting adaptation—intra-sector information sharing; monitoring, data collection, and research; and education and outreach. Furthermore, the analysis examines how climate networks in the region have facilitated the development of bonding, bridging, and linking social capital while also noting factors that have constrained the growth and success of both intra- and cross-sector collaboration. Although no formal, or discrete, state or regional cross-sector climate change network exists in the Carolinas, climate adaptations and capacity-building efforts have been supported by ad hoc and decentralized networks, emerging collegial partnerships within and across sectors, and collaborative efforts to pool expertise and resources. The role of different forms of social capital within these networks is discussed in the context of a contentious political environment where support for activities designed to address climate change is limited. These findings enhance our understanding of the social factors and relational processes that shape and influence capacity to adapt to climate change.  相似文献   

16.
International Disaster Risk Reduction Frameworks and Indian Plans advocate shared responsibility for reducing disaster risk, in which community vulnerability and resilience conditions are central. This paper presents a case study from the Indian Himalaya (Kullu District) of community vulnerability and resilience conditions following damaging floods, primarily the 1994 Phojal Nalla flood, through the concepts of community heritage and capital. Data were collected in the period 2013–2016, using semi-structured interviews (n?=?129), village reconnaissance and archival/contemporary data searches. The connections between heritage, capital, vulnerability and resilience are complex, but results demonstrate ‘knowledge’ is the principal driver of resilience conditions, via facets of heritage (e.g. religious infrastructure and activities, traditional architectural vernacular, and multi-generational attachments to place) and capital (e.g. income diversification, access to communication technologies, societal welfare measures and positive interactions with water). Persisting vulnerabilities stem from differential access to and implementation of best practice knowledge, governed by social, economic and political conditions. Further improvements in risk reduction require greater consideration of the following: (1) the integration of community local knowledge into the overall disaster management process; (2) the opportunities offered by mobile phone and other technologies for generating and sharing knowledge across society; and (3) the value of under-utilised knowledge of past disaster events, assembled from a systematic evaluation of oral, documentary and landscape evidence, to risk reduction.  相似文献   

17.
Production volumes and the use of engineered nanomaterials in many innovative products are continuously increasing, however little is known about their potential risk for the environment and human health. We have reviewed publicly available hazard and exposure data for both, the environment and human health and attempted to carry out a basic risk assessment appraisal for four types of nanomaterials: fullerenes, carbon nanotubes, metals, and metal oxides (ENRHES project 2009(1)). This paper presents a summary of the results of the basic environmental and human health risk assessments of these case studies, highlighting the cross cutting issues and conclusions about fate and behaviour, exposure, hazard and methodological considerations. The risk assessment methodology being the basis for our case studies was that of a regulatory risk assessment under REACH (ECHA, 2008(2)), with modifications to adapt to the limited available data. If possible, environmental no-effect concentrations and human no-effect levels were established from relevant studies by applying assessment factors in line with the REACH guidance and compared to available exposure data to discuss possible risks. When the data did not allow a quantitative assessment, the risk was assessed qualitatively, e.g. for the environment by evaluating the information in the literature to describe the potential to enter the environment and to reach the potential ecological targets. Results indicate that the main risk for the environment is expected from metals and metal oxides, especially for algae and Daphnia, due to exposure to both, particles and ions. The main risks for human health may arise from chronic occupational inhalation exposure, especially during the activities of high particle release and uncontrolled exposure. The information on consumer and environmental exposure of humans is too scarce to attempt a quantitative risk characterisation. It is recognised that the currently available database for both, hazard and exposure is limited and there are high uncertainties in any conclusion on a possible risk. The results should therefore not be used for any regulatory decision making. Likewise, it is recognised that the REACH guidance was developed without considering the specific behaviour and the mode of action of nanomaterials and further work in the generation of data but also in the development of methodologies is required.  相似文献   

18.
生态系统评价对于生态系统的可持续经营以及社会可持续发展具有重要意义。本文简要介绍了在生态区域评价的发展过程中具有重要意义的一系列事件,阐述了生态系统评价在北美和全球的发展过程、生态系统评价的有关概念、内容及其对于生态系统可持续经营的重要意义,同时还介绍了我国参与新千年生态系统评估的一些行动,并对中国的生态系统评价提出看法。  相似文献   

19.
Toxic risk of surface water pollution--six years of experience   总被引:1,自引:0,他引:1  
Assessment of an ecological quality of surface water is necessary for effective protection, abatement and successive revitalisation of river ecosystems. This quality is primarily given by biological impact of surface water pollution. Substances contained in pollution are frequently toxic to aquatic organisms. Risk of chronic impact of surface water pollution is very often underestimated due to hidden long time action of pollutants. Proper estimation of the risk is not possible from results of chemical analyses and data of substances' toxicity. Chemical analyses are not able to detect all substances presented in water including the products of reactions between them. In addition, a simultaneous presence of substances can modify their final effect on aquatic organisms. Therefore, a complex method of assessment of toxic risk of surface water pollution based on ecotoxicological approach was developed. The toxic risk of surface water pollution is determined from results of evaluation of toxic risk of organic part and inorganic part of surface water pollution. Resultant degree of toxic risk of total pollution is given by the highest degree detected in any part of the water pollution. Presented method, which is routinely used for monitoring in the Czech part of the Odra river basin, was fully standardised and published in the form of the Czech branch technical norm of water management (TNV) in the year 2000.  相似文献   

20.
Decision making for zoonotic disease management should be based on many forms of appropriate data and sources of evidence. However, the criteria and timing for policy response and the resulting management decisions are often altered when a disease outbreak occurs and captures full media attention. In the case of waterborne disease, such as the robust protozoa, Cryptosporidium spp, exposure can cause significant human health risks and preventing exposure by maintaining high standards of biological and chemical water quality remains a priority for water companies in the UK. Little has been documented on how knowledge and information is translated between the many stakeholders involved in the management of Cryptosporidium, which is surprising given the different drivers that have shaped management decisions. Such information, coupled with the uncertainties that surround these data is essential for improving future management strategies that minimise disease outbreaks. Here, we examine the interplay between scientific information, the media, and emergent government and company policies to examine these issues using qualitative and quantitative data relating to Cryptosporidium management decisions by a water company in the North West of England. Our results show that political and media influences are powerful drivers of management decisions if fuelled by high profile outbreaks. Furthermore, the strength of the scientific evidence is often constrained by uncertainties in the data, and in the way knowledge is translated between policy levels during established risk management procedures. In particular, under or over-estimating risk during risk assessment procedures together with uncertainty regarding risk factors within the wider environment, was found to restrict the knowledge-base for decision-making in Cryptosporidium management. Our findings highlight some key current and future challenges facing the management of such diseases that are widely applicable to other risk management situations.  相似文献   

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