close
Scenario Logic and Probabilistic Management of Risk in Business and Engineering | Zookal Textbooks | Zookal Textbooks
  • Author(s) Evgueni D. Solojentsev
  • Edition
  • Published07212006
  • PublisherSpringer Nature
  • ISBN9781402029783
In this volume the methodological aspects of the scenario logic and probabilistic (LP) non-success risk management are considered. The theoretical bases of scenario non-success risk LP-management in business and engineering are also stated. Methods and algorithms for the scenario risk LP-management in problems of classification, investment and effectiveness are described. Risk LP- models and results of numerical investigations for credit risks, risk of frauds, security portfolio risk, risk of quality, accuracy, and risk in multi-stage systems reliability are given. In addition, a rather large number of new problems of estimation, analysis and management of risk are considered. Software for risk problems based on LP-methods, LP-theory, and GIE is described too.

Scenario Logic and Probabilistic Management of Risk in Business and Engineering

Format
Get it instantly

Zookal account needed

$189.00
Add Zookal Study FREE trial and save a further 10% 

NEW PRICE

$170.10 + free shipping

(10% off - save $18.90)

Zookal Study Free trial

14-day FREE trial. $14.95/mo after. Cancel anytime.

*Discount will apply at checkout.

 See terms and conditions

You will get a further 10% off for this item ($170.10 after discount) because you have added Zookal Study Premium Free Trial to your bag.

For this discount to apply, you will need to complete checkout with the Zookal Study Premium Free Trial in your bag.

-
+
  • Author(s) Evgueni D. Solojentsev
  • Edition
  • Published07212006
  • PublisherSpringer Nature
  • ISBN9781402029783
In this volume the methodological aspects of the scenario logic and probabilistic (LP) non-success risk management are considered. The theoretical bases of scenario non-success risk LP-management in business and engineering are also stated. Methods and algorithms for the scenario risk LP-management in problems of classification, investment and effectiveness are described. Risk LP- models and results of numerical investigations for credit risks, risk of frauds, security portfolio risk, risk of quality, accuracy, and risk in multi-stage systems reliability are given. In addition, a rather large number of new problems of estimation, analysis and management of risk are considered. Software for risk problems based on LP-methods, LP-theory, and GIE is described too.
translation missing: en.general.search.loading