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This volume contains 28 papers by renowned international experts on
the latest advances in structural reliability methods and
applications, engineering risk analysis and decision making, new
optimization techniques and various applications in civil
engineering. Moreover, several contributions focus on the
assessment and optimization of existing structural systems. All
contributions were presented at the 15th Working Conference of the
International Federation of Information Processing (IFIP) Working
Group 7.5 on Reliability and Optimization of Structural Systems,
held at the Oskar von Miller Forum in Munich, Germany, April 2010.
Working Group 7.5's purposes are to promote modern structural
system reliability and optimization theory and its applications, to
stimulate research, development and application of structural
system reliability and optimization theory, to assist and advance
research and development in these fields, to further the
dissemination and exchange of information on reliability and
optimization of structural systems, and to encourage education in
structural system reliability and optimization theory. This volume
is intended for structural and mechanical engineers working and
researching in structural optimization and risk/reliability
analysis, applied to structural and infrastructural systems.
This is a unique book addressing the integration of risk
methodology from various fields. It will stimulate intellectual
debate and communication across disciplines, promote better risk
management practices and contribute to the development of risk
management methodologies. Individual chapters explain fundamental
risk models and measurement, and address risk and security issues
from diverse areas such as finance and insurance, the health
sciences, life sciences, engineering and information science.
Integrated Risk Sciences is an emerging discipline that considers
risks in different fields, aiming at a common language, and at
sharing and improving methods developed in different fields.
Readers should have a Bachelor degree and have taken at least one
basic university course in statistics and probability. The main
goal of the book is to provide basic knowledge on risk and security
in a common language; the authors have taken particular care to
ensure that all content can readily be understood by doctoral
students and researchers across disciplines. Each chapter provides
simple case studies and examples, open research questions and
discussion points, and a selected bibliography inviting readers to
further study.
This is a unique book addressing the integration of risk
methodology from various fields. It will stimulate intellectual
debate and communication across disciplines, promote better risk
management practices and contribute to the development of risk
management methodologies. Individual chapters explain fundamental
risk models and measurement, and address risk and security issues
from diverse areas such as finance and insurance, the health
sciences, life sciences, engineering and information science.
Integrated Risk Sciences is an emerging discipline that considers
risks in different fields, aiming at a common language, and at
sharing and improving methods developed in different fields.
Readers should have a Bachelor degree and have taken at least one
basic university course in statistics and probability. The main
goal of the book is to provide basic knowledge on risk and security
in a common language; the authors have taken particular care to
ensure that all content can readily be understood by doctoral
students and researchers across disciplines. Each chapter provides
simple case studies and examples, open research questions and
discussion points, and a selected bibliography inviting readers to
further study.
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