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Risk Analysis in Engineering and Economics

Autor Bilal M. Ayyub
en Limba Engleză Paperback – 14 oct 2024
Risk Analysis in Engineering and Economics is required reading for decision making under conditions of uncertainty. The author describes the fundamental concepts, techniques, and applications of the subject in a style tailored to meet the needs of students and practitioners of engineering, science, economics, and finance. Drawing on his extensive experience in uncertainty and risk modeling and analysis, the author covers everything from basic theory and key computational algorithms to data needs, sources, and collection. He emphasizes practical use of the methods presented and carefully examines the limitations, advantages, and disadvantages of each to help readers translate the discussed techniques into real-world solutions.
This Second Edition:
  • Introduces the topic of risk finance
  • Incorporates homeland security applications throughout
  • Offers additional material on predictive risk management
  • Includes a wealth of new and updated end-of-chapter problems
  • Delivers a complementary mix of theoretical background and risk methods
  • Brings together engineering and economics on balanced terms to enable appropriate decision making
  • Presents performance segregation and aggregation within a risk framework
  • Contains contemporary case studies, such as protecting hurricane-prone regions and critical infrastructure
  • Provides 320+ tables and figures, over 110 diverse examples, numerous end-of-book references, and a bibliography
Unlike the classical books on reliability and risk management, Risk Analysis in Engineering and Economics, Second Edition relates underlying concepts to everyday applications, ensuring solid understanding and use of the methods of risk analysis.
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Specificații

ISBN-13: 9781032918006
ISBN-10: 1032918004
Pagini: 640
Ilustrații: 200
Dimensiuni: 178 x 254 mm
Greutate: 1.18 kg
Ediția:2
Editura: CRC Press
Colecția Chapman and Hall/CRC
Locul publicării:Boca Raton, United States

Public țintă

Postgraduate

Cuprins

Introduction. Risk Analysis Methods. System Definition and Structure. Reliability Assessment. Failure Consequences and Severity. Engineering Economics and Finance. Risk Control Methods. Data for Risk Studies. Fundamentals of Probability and Statistics. Failure Data. References and Bibliography. Index.

Notă biografică

Bilal M. Ayyub is professor of civil and environmental engineering at University of Maryland, College Park and director of the Center for Technology and Systems Management at A. James Clark School of Engineering. Highly decorated and widely published, he holds degrees from Kuwait University and the Georgia Institute of Technology. A fellow of ASCE, ASME, SRA, and SNAME, as well as a senior member of IEEE, he has completed research and development projects for entities including the National Science Foundation, U.S. Air Force, U.S. Coast Guard, Army Corps of Engineers, Navy, Department of Homeland Security, and private insurance and engineering firms.

Recenzii

Praise for the First Edition
"This book ambitiously tackles risk analysis from the ground up. … an excellent reference for individuals studying in a variety of risk-related disciplines. … enlightening [examples]…attractive to students approaching risk studies from a variety of substantive backgrounds. … Advanced students are likely to find Ayyub's treatments…exceedingly valuable."
Journal of the American Statistical Association, June 2004, Vol. 99, No. 466
"… a good textbook and reference. The mix of engineering and economics is well balanced. … Valuable for students after college and useful for professional engineers."
Technometrics, August 2004, Vol. 46, No. 3
Praise for the Second Edition
"… one of a kind in the market. … I am not aware of books that cover the subject in as comprehensive a manner."
—Professor Nii O. Attoh-Okine, University of Delaware, Newark, USA

Descriere

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