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Life cycle management method for smart grid asset with real option theory

机译:基于实物期权理论的智能电网资产生命周期管理方法

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摘要

This paper addresses the life cycle management (LCM) problem for asset of smart grids. The costs of different stages during asset life cycle are integrated into a coherent framework. The real option theory is employed to quantify different strategies of LCM. The stochastic risks during the whole process of asset utilization are considered. The whole process of the asset investment, utilization and disposals are covered by the proposed real option based method. The analytical solutions of decision timing is derived and analyzed. The proposed model and method are used in the smart grid construction of Zhejiang Province Power Grid of China. Data from realistic power grids demonstrate and validate the proposed method.
机译:本文解决了智能电网资产的生命周期管理(LCM)问题。资产生命周期中不同阶段的成本已集成到一个一致的框架中。实物期权理论用于量化LCM的不同策略。考虑资产利用全过程的随机风险。所提出的基于实物期权的方法涵盖了资产投资,利用和处置的整个过程。推导并分析了决策时机的解析解。该模型和方法被用于中国浙江省电网智能电网建设。来自现实电网的数据证明并验证了所提出的方法。

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