Risk Analysis XII

Risk Analysis XII
Author: S. Syngellakis
Publisher: WIT Press
Total Pages: 272
Release: 2020-08-19
Genre: Nature
ISBN: 1784664014

Current events help to emphasise the importance of the analysis and management of risk to planners and researchers around the world. Natural hazards such as floods, earthquakes, landslides, fires and others have always affected human societies. The more recent emergence of the importance of man-made hazards is a consequence of the rapid technological advances made in the last few centuries. The interaction of natural and anthropogenic risks adds to the complexity of the problems. Presented at the 12th International Conference on Risk Analysis and Hazard Mitigation, the included research works cover a variety of topics related to risk analysis and hazard mitigation, associated with both natural and anthropogenic hazards.

Risk Analysis

Risk Analysis
Author: Terje Aven
Publisher: John Wiley & Sons
Total Pages: 211
Release: 2015-09-28
Genre: Business & Economics
ISBN: 1119057795

A practical guide to the varied challenges presented in the ever-growing field of risk analysis. Risk Analysis presents an accessible and concise guide to performing risk analysis, in a wide variety of field, with minimal prior knowledge required. Forming an ideal companion volume to Aven's previous Wiley text Foundations of Risk Analysis, it provides clear recommendations and guidance in the planning, execution anduse of risk analysis. This new edition presents recent developments related to risk conceptualization, focusing on related issues on risk assessment and their application. New examples are also featured to clarify the reader's understanding in the application of risk analysis and the risk analysis process. Key features: Fully updated to include recent developments related to risk conceptualization and related issues on risk assessments and their applications. Emphasizes the decision making context of risk analysis rather than just computing probabilities Demonstrates how to carry out predictive risk analysis using a variety of case studies and examples. Written by an experienced expert in the field, in a style suitable for both industrial and academic audiences. This book is ideal for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and physical sciences. Managers facing decision making problems involving risk and uncertainty will also benefit from this book.

Risk Analysis

Risk Analysis
Author: Jean-Marie Flaus
Publisher: John Wiley & Sons
Total Pages: 369
Release: 2013-08-05
Genre: Technology & Engineering
ISBN: 1118789997

An overview of the methods used for risk analysis in a variety of industrial sectors, with a particular focus on the consideration of human aspects, this book provides a definition of all the fundamental notions associated with risks and risk management, as well as clearly placing the discipline of risk analysis within the broader context of risk management processes. The author begins by presenting a certain number of basic concepts, followed by the general principle of risk analysis. He then moves on to examine the ISO31000 standard, which provides a specification for the implementation of a risk management approach. The ability to represent the information we use is crucial, so the representation of knowledge, covering both information concerning the risk occurrence mechanism and details of the system under scrutiny, is also considered. The different analysis methods are then presented, firstly for the identification of risks, then for their analysis in terms of cause and effect, and finally for the implementation of safety measures. Concrete examples are given throughout the book and the methodology and method can be applied to various fields (industry, health, organization, technical systems). Contents Part 1. General Concepts and Principles 1. Introduction. 2. Basic Notions. 3. Principles of Risk Analysis Methods. 4. The Risk Management Process (ISO31000). Part 2. Knowledge Representation 5. Modeling Risk. 6. Measuring the Importance of a Risk. 7. Modeling of Systems for Risk Analysis. Part 3. Risk Analysis Method 8. Preliminary Hazard Analysis. 9. Failure Mode and Effects Analysis. 10. Deviation Analysis Using the HAZOP Method. 11. The Systemic and Organized Risk Analysis Method. 12. Fault Tree Analysis. 13. Event Tree and Bow-Tie Diagram Analysis. 14. Human Reliability Analysis. 15. Barrier Analysis and Layer of Protection Analysis. Part 4. Appendices Appendix 1. Occupational Hazard Checklists. Appendix 2. Causal Tree Analysis. Appendix 3. A Few Reminders on the Theory of Probability. Appendix 4. Useful Notions in Reliability Theory. Appendix 5. Data Sources for Reliability. Appendix 6. A Few Approaches for System Modelling. Appendix 7. CaseStudy: Chemical Process. Appendix 8. XRisk Software. About the Authors Jean-Marie Flaus is Professor at Joseph Fourier University in Grenoble, France.

Probabilistic Risk Analysis

Probabilistic Risk Analysis
Author: Tim Bedford
Publisher: Cambridge University Press
Total Pages: 228
Release: 2001-04-30
Genre: Mathematics
ISBN: 9780521773201

A graduate level textbook on probabilistic risk analysis, aimed at statisticians, operations researchers and engineers.

Risk Analysis in Engineering

Risk Analysis in Engineering
Author: Mohammad Modarres
Publisher: CRC Press
Total Pages: 432
Release: 2006-01-13
Genre: Technology & Engineering
ISBN: 9781574447941

Based on the author’s 20 years of teaching, Risk Analysis in Engineering: Techniques, Tools, and Trends presents an engineering approach to probabilistic risk analysis (PRA). It emphasizes methods for comprehensive PRA studies, including techniques for risk management. The author assumes little or no prior knowledge of risk analysis on the part of the student and provides the necessary mathematical and engineering foundations. The text relies heavily on, but is not limited to, examples from the nuclear industry, because that is where PRA techniques were first developed. Since PRA provides a best-estimate approach, the author pays special attention to explaining uncertainty characterization. The book begins with a description of the basic definitions and principles of risk, safety, and performance and presents the elements of risk analysis and their applications in engineering. After highlighting the methods for performing PRAs, the author describes how to assess and measure performance of the building blocks of PRAs, such as reliability of hardware subsystems, structures, components, human actions, and software. He covers methods of characterizing uncertainties and methods for propagating them through the PRA model to estimate uncertainties of the results. The book explores how to identify and rank important and sensitive contributors to the estimated risk using the PRA and performance assessment models. It also includes a description of risk acceptance criteria and the formal methods for making decisions related to risk management options and strategies. The book concludes with a brief review of the main aspects, issues, and methods of risk communication. Drawing on notes, homework problems, and exams from courses he has taught as well as feedback from his students, Professor Modarres provides a from-the-trenches method for teaching risk assessment for engineers. This is a textbook that is easy to use for students and professors alike.

Risk Analysis

Risk Analysis
Author: Terje Aven
Publisher: John Wiley & Sons
Total Pages: 216
Release: 2015-08-17
Genre: Business & Economics
ISBN: 1119057809

A practical guide to the varied challenges presented in the ever-growing field of risk analysis. Risk Analysis presents an accessible and concise guide to performing risk analysis, in a wide variety of field, with minimal prior knowledge required. Forming an ideal companion volume to Aven's previous Wiley text Foundations of Risk Analysis, it provides clear recommendations and guidance in the planning, execution anduse of risk analysis. This new edition presents recent developments related to risk conceptualization, focusing on related issues on risk assessment and their application. New examples are also featured to clarify the reader's understanding in the application of risk analysis and the risk analysis process. Key features: Fully updated to include recent developments related to risk conceptualization and related issues on risk assessments and their applications. Emphasizes the decision making context of risk analysis rather than just computing probabilities Demonstrates how to carry out predictive risk analysis using a variety of case studies and examples. Written by an experienced expert in the field, in a style suitable for both industrial and academic audiences. This book is ideal for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and physical sciences. Managers facing decision making problems involving risk and uncertainty will also benefit from this book.

Foundations of Risk Analysis

Foundations of Risk Analysis
Author: Terje Aven
Publisher: John Wiley & Sons
Total Pages: 208
Release: 2004-01-09
Genre: Mathematics
ISBN: 0470871237

Everyday we face decisions that carry an element of risk and uncertainty. The ability to analyse, communicate and control the level of risk entailed by these decisions remains one of the most pressing challenges to the analyst, scientist and manager. This book presents the foundational issues in risk analysis ? expressing risk, understanding what risk means, building risk models, addressing uncertainty, and applying probability models to real problems. The principal aim of the book is to give the reader the knowledge and basic thinking they require to approach risk and uncertainty to support decision making. Presents a statistical framework for dealing with risk and uncertainty. Includes detailed coverage of building and applying risk models and methods. Offers new perspectives on risk, risk assessment and the use of parametric probability models. Highlights a number of applications from business and industry. Adopts a conceptual approach based on elementary probability calculus and statistical theory. Foundations of Risk Analysis provides a framework for understanding, conducting and using risk analysis suitable for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and the physical sciences, as well as for managers facing decision making problems involving risk and uncertainty.

Reliability and Risk Analysis

Reliability and Risk Analysis
Author: Terje Aven
Publisher: Springer Science & Business Media
Total Pages: 347
Release: 2012-12-06
Genre: Science
ISBN: 9401128588

Analysis of reliability and risk is an important and integral part of planning, construction and operation of all technical systems. To be able to perform such analyses systematically and scientifically, there is usually a need for special methods and models. This book presents the most important of these. Particular emphasis has been placed on the ideas and the motivation for the use of the various methods and models. It has been an objective to compile a book which provides practising engineers and engineering graduates with the concepts and basic techniques for evaluating reliability and risk. It is hoped that the material presented will make them so familiar with the subject that they can carry out various types of analyses themselves and understand and make use of the more detailed applications and additional material which is available in the journals and publications associated with their own discipline. It has also been an objective to put reliability and risk analyses in context - how such analyses should be used in design and operation of components and systems. The material presented is modern and a large part of the book is at research level. The book focuses on analysis of repairable systems, not only non-repairable systems which have traditionally been given most attention in textbooks on reliability theory. Since most real-life systems are repairable, methods for analysing repairable systems are an important area of research. The book presents general methods, with most applications taken from offshore petro leum activities.

Risk Analysis

Risk Analysis
Author: Terje Aven
Publisher: John Wiley & Sons
Total Pages: 207
Release: 2008-04-30
Genre: Mathematics
ISBN: 9780470694428

Everyday we face decisions that carry an element of risk anduncertainty. The ability to analyze, predict, and prepare for thelevel of risk entailed by these decisions is, therefore, one of themost constant and vital skills needed for analysts, scientists andmanagers. Risk analysis can be defined as a systematic use of informationto identify hazards, threats and opportunities, as well as theircauses and consequences, and then express risk. In order tosuccessfully develop such a systematic use of information, thoseanalyzing the risk need to understand the fundamental concepts ofrisk analysis and be proficient in a variety of methods andtechniques. Risk Analysis adopts a practical, predictiveapproach and guides the reader through a number ofapplications. Risk Analysis: Provides an accessible and concise guide to performing riskanalysis in a wide variety of fields, with minimal prior knowledgerequired. Adopts a broad perspective on risk, with focus on predictionsand highlighting uncertainties beyond expected values andprobabilities, allowing a more flexible approach than traditionalstatistical analysis. Acknowledges that expected values and probabilities couldproduce poor predictions - surprises may occur. Emphasizes the planning and use of risk analyses, rather thanjust the risk analysis methods and techniques, including thestatistical analysis tools. Features many real-life case studies from a variety ofapplications and practical industry problems, including areas suchas security, business and economy, transport, oil & gas and ICT(Information and Communication Technology). Forms an ideal companion volume to Aven’s previous Wileytext Foundations of Risk Analysis. Professor Aven’s previous book Foundations of RiskAnalysis presented and discussed several risk analysisapproaches and recommended a predictive approach. This new textexpands upon this predictive approach, exploring further the riskanalysis principles, concepts, methods and models in an appliedformat. This book provides a useful and practical guide todecision-making, aimed at professionals within the risk analysisand risk management field.