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Foundations of Risk Analysis

Autor Terje Aven
en Limba Engleză Hardback – 16 mar 2012
Foundations of Risk Analysis presents the issues core to risk analysis - understanding what risk means, expressing risk, building risk models, addressing uncertainty, and applying probability models to real problems. The author provides the readers with the knowledge and basic thinking they require to successfully manage risk and uncertainty to support decision making. This updated edition reflects recent developments on risk and uncertainty concepts, representations and treatment. New material in Foundations of Risk Analysis includes: * An up to date presentation of how to understand, define and describe risk based on research carried out in recent years. * A new definition of the concept of vulnerability consistent with the understanding of risk. * Reflections on the need for seeing beyond probabilities to measure/describe uncertainties. * A presentation and discussion of a method for assessing the importance of assumptions (uncertainty factors) in the background knowledge that the subjective probabilities are based on * A brief introduction to approaches that produce interval (imprecise) probabilities instead of exact probabilities. In addition the new version provides a number of other improvements, for example, concerning the use of cost-benefit analyses and the As Low As Reasonably Practicable (ALARP) principle. Foundations of Risk Analysis provides a framework for understanding, conducting and using risk analysis suitable for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and the physical sciences, as well as for managers facing decision making problems involving risk and uncertainty.
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Specificații

ISBN-13: 9781119966975
ISBN-10: 1119966973
Pagini: 240
Ilustrații: Illustrations
Dimensiuni: 152 x 229 x 14 mm
Greutate: 0.49 kg
Ediția:2nd Revised edition
Editura: Wiley
Locul publicării:Chichester, United Kingdom

Public țintă

Risk analysts and undergraduates and postgraduate students in risk management (econometrics, engineering applications etc.); Advanced undergraduates , graduates, and analysts from statistics, engineering and the physical sciences, as well as specialists dealing with risk analysis

Descriere

This book presents the issues core to risk analysis: understanding what risk means, expressing risk, building risk models, addressing uncertainty, and applying probability models to real problems. The author provides readers with the knowledge and basic thinking they require to successfully manage risk and uncertainty to support decision making.