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"Упреждающее" Государственное Управление И Оценка Рисков Национальной Безопасности

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  • Зарочинцев С. В.

Abstract

В настоящей статье рассматриваются вопросы формирования новых подходов к государственному управлению в контексте оценки рисков национальной безопасности государства и развития информационных технологий. На анализе международной и российской научной литературы дается обзор эволюции теоретических представлений об использовании расширенных количественных методов применительно к стратегическим оценкам и планированию в сфере национальной безопасности и обороны.Делается вывод о возрастающей роли индикаторов и показателей в государственном управлении и его трансформации в сторону предупреждения ключевых рисков и угроз безопасности государства. "Предвидение" будущего становится новым элементом и фактором качества государственного управления. Процесс принятия решений все больше опирается на большие объемы данных, сформированные по результатам оценок состояния индикаторов и показателей различного уровня.

Suggested Citation

  • Зарочинцев С. В., 2021. ""Упреждающее" Государственное Управление И Оценка Рисков Национальной Безопасности," Вопросы государственного и муниципального управления // Public administration issues, НИУ ВШЭ, issue 3, pages 200-218.
  • Handle: RePEc:scn:vgmu00:2021:i:3:p:200-218
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    References listed on IDEAS

    as
    1. Daniel Bilusich & Steven Lord & Rick Nunes-Vaz, 2015. "The implications of empirical data for risk," Journal of Risk Research, Taylor & Francis Journals, vol. 18(4), pages 521-538, April.
    2. Eirik Bjorheim Abrahamsen & Kenneth Pettersen & Terje Aven & Mareile Kaufmann & Tony Rosqvist, 2017. "A framework for selection of strategy for management of security measures," Journal of Risk Research, Taylor & Francis Journals, vol. 20(3), pages 404-417, March.
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