Science of Risk Analysis

Regular price €179.80
A01=Terje Aven
advanced risk analysis methodologies
Author_Terje Aven
Background Knowledge
Black Swan Type
Category=GPQD
Cautionary Principle
climate change
communication
Decision Maker's Review
Decision Maker’s Review
decision theory
EFSA Guidance
EFSA's Work
EFSA’s Work
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
Fatal Accident Rate
global risk
hazard identification
Imprecise Probabilities
IPCC Framework
IPCC Work
Justified Beliefs
policy
probabilistic modelling
reliability criteria
Resilience Analysis
Resilience Field
Risk Analysis
Risk Analysis Science
Risk Analyst
risk assessment frameworks
Risk Characterizations
Risk Communication
Risk Description
risk field
risk governance
risk management
Risk Metrics
risk perception
Risk Problems
safety engineering
security
Transportation Networks
Uncertainty Analysis
uncertainty quantification
Vice Versa

Product details

  • ISBN 9780367139193
  • Weight: 770g
  • Dimensions: 156 x 234mm
  • Publication Date: 25 Jun 2019
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Hardback
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This book provides a comprehensive demonstration of risk analysis as a distinct science covering risk understanding, assessment, perception, communication, management, governance and policy. It presents and discusses the key pillars of this science, and provides guidance on how to conduct high-quality risk analysis.

The Science of Risk Analysis seeks to strengthen risk analysis as a field and science by summarizing and extending current work on the topic. It presents the foundation for a distinct risk field and science based on recent research, and explains the difference between applied risk analysis (to provide risk knowledge and tackle risk problems in relation to for example medicine, engineering, business or climate change) and generic risk analysis (on concepts, theories, frameworks, approaches, principles, methods and models to understand, assess, characterise, communicate, manage and govern risk). The book clarifies and describes key risk science concepts, and builds on recent foundational work conducted by the Society for Risk Analysis in order to provide new perspectives on science and risk analysis. The topics covered are accompanied by cases and examples relating to current issues throughout.

This book is essential reading for risk analysis professionals, scientists, students and practitioners, and will also be of interest to scientists and practitioners from other fields who apply risk analysis in their work.

Terje Aven is Professor of Risk Analysis and Risk Management at the University of Stavanger, Norway. He has served as the Chair of the European Safety and Reliability Association (ESRA) and as the President of the Society for Risk Analysis (SRA) worldwide. He is Editor-in-Chief of the Journal of Risk and Reliability, and Associate Editor for Risk Analysis.