Format: | 1. Introduction. 2. What is quantitative risk analysis. 3. Probability theory and statistics. 4. How Monte Carlo simulation works. 5. Probability distributions. 6. Building a risk analysis model. 7. Deriving distributions from data. 8. Defining distributions from expert opinion. 9. Modelling dependencies. 10. Project risk analysis. 11. Incorporating uncertainty into time series projections. 12. Presenting and interpreting risk analysis results. 13. Problems for the reader to solve. |
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Copyright: | 1996 |
ISBN: | 0471958034 |
LCCN: | QA298.V67 |
Publisher: | Chichester : Wiley, |
Physical Details: | XII, 328 p. : ill. ; 24 cm. |
Record No.: | 14983 |
Type/Format | Call Number | Location | Due Date | Last Seen | Barcode |
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QA298.V67 | Istituto di Ingegneria Biomedica | 2010-04-13 | LADSEB4857 |