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This book describes the fundamental concepts, methods, and applications of risk analysis and management. Containing contemporary case studies, such as protecting hurricane-prone regions and critical infrastructure, the second edition covers risk finance, predictive risk management, and performance segregation and aggregation within a risk framew
The third edition of this bestselling text presents probability, statistics, reliability, and risk methods with an ideal balance of theory and applications. It places increased emphasis on simulation, particularly as a modeling tool, applying it progressively with projects that continue in each chapter. This edition also features expanded discussions of the analysis of variance and a thorough treatment of Monte Carlo simulation. The authors not only clearly establish the limitations, advantages, and disadvantages of each method, but also show that data analysis is a continuum rather than the isolated application of different methods.
Abonner på vårt nyhetsbrev og få rabatter og inspirasjon til din neste leseopplevelse.
Ved å abonnere godtar du vår personvernerklæring.