Engineering risk and finance (Q1931708): Difference between revisions
From MaRDI portal
Changed an Item |
Set profile property. |
||
Property / MaRDI profile type | |||
Property / MaRDI profile type: MaRDI publication profile / rank | |||
Normal rank |
Revision as of 05:15, 5 March 2024
scientific article
Language | Label | Description | Also known as |
---|---|---|---|
English | Engineering risk and finance |
scientific article |
Statements
Engineering risk and finance (English)
0 references
16 January 2013
0 references
The book is structured as follows: Chapters 1 and 2 provide a cursory overview of basic concepts, Chapters 3--5 review risk and probability models applied to a variety of problems, Chapters 6--10 introduce principles and methods for risk measurement, valuation, risk and uncertainty economics, Chapters 11 and 12 provide an overview of risk and strategic control techniques for regulation, as well as an overview of risk games or strategic risks. The book is recommended as an undergraduate and graduate text in risk finance, risk engineering and management, as well as for professionals that are both concerned and experienced in risk assessment and management techniques.
0 references
basic concepts
0 references
risk models
0 references
probability models
0 references
risk measurement
0 references
risk and uncertainty
0 references
control techniques
0 references
risk games
0 references