Risk Analysis

Regular price €95.99
Title
A01=Terje Aven
analysis
analysts
Author_Terje Aven
Category=GPQD
Category=PBT
causes
constant
decisions
develop
element
eq_isMigrated=1
eq_nobargain
everyday
fundamental concepts
hazards
identify
information
level
order
prepare
risk
skills
systematic
uncertainty
use

Product details

  • ISBN 9780470517369
  • Weight: 482g
  • Dimensions: 164 x 236mm
  • Publication Date: 08 Apr 2008
  • Publisher: John Wiley & Sons Inc
  • Publication City/Country: US
  • Product Form: Hardback
Delivery/Collection within 10-20 working days

Our Delivery Time Frames Explained
2-4 Working Days: Available in-stock

10-20 Working Days: On Backorder

Will Deliver When Available: On Pre-Order or Reprinting

We ship your order once all items have arrived at our warehouse and are processed. Need those 2-4 day shipping items sooner? Just place a separate order for them!

Everyday we face decisions that carry an element of risk and uncertainty. The ability to analyze, predict, and prepare for the level of risk entailed by these decisions is, therefore, one of the most constant and vital skills needed for analysts, scientists and managers.

Risk analysis can be defined as a systematic use of information to identify hazards, threats and opportunities, as well as their causes and consequences, and then express risk. In order to successfully develop such a systematic use of information, those analyzing the risk need to understand the fundamental concepts of risk analysis and be proficient in a variety of methods and techniques. Risk Analysis adopts a practical, predictive approach and guides the reader through a number of applications.

Risk Analysis:

  • Provides an accessible and concise guide to performing risk analysis in a wide variety of fields, with minimal prior knowledge required.
  • Adopts a broad perspective on risk, with focus on predictions and highlighting uncertainties beyond expected values and probabilities, allowing a more flexible approach than traditional statistical analysis.
  • Acknowledges that expected values and probabilities could produce poor predictions -   surprises may occur.  
  • Emphasizes the planning and use of risk analyses, rather than just the risk analysis methods and techniques, including the statistical analysis tools.
  • Features many real-life case studies from a variety of applications and practical industry problems, including areas such as security, business and economy, transport, oil & gas and ICT (Information and Communication Technology).
  • Forms an ideal companion volume to Aven’s previous Wiley text Foundations of Risk Analysis.

Professor Aven’s previous book Foundations of Risk Analysis presented and discussed several risk analysis approaches and recommended a predictive approach. This new text expands upon this predictive approach, exploring further the risk analysis principles, concepts, methods and models in an applied format. This book provides a useful and practical guide to decision-making, aimed at professionals within the risk analysis and risk management field.

Terje Aven is Professor of risk analysis and risk management at the University of Stavanger, and a Principle Researcher at the International Research Institute of Stavanger (IRIS). Having worked in both industry and academia, he has participated in, and led, many safety and risk related projects, winning several awards for both research and teaching. He has published numerous papers in international journals, and has authored several books.