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Optimization of Critical Systems for Robustness in a Multistate World

机译:多状态世界中鲁棒性关键系统的优化

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Critical systems are typically complex systems that are required to perform reliably over a wide range of scenarios, or multistate world. Seldom does a single system exist that performs best for all plausible scenarios. A robust solution, one that performs relatively well over a wide range of scenarios, is often the preferred choice for reduced risk at an acceptable cost. The alternative with the maximum expected utility may possess vulnerabilities that could be exploited. The best strategy is likely to be a hybrid solution. The von Neumann-Morgenstern Expected Utility Theory (EUT) would never select such a solution because, given its linear functional form, the expected utility of a hybrid solution cannot be greater than that of every constituent alternative. The continuity axiom and the independence axiom are assessed to be unrealistic for the problem of interest. Several well-known decision models are analyzed and demonstrated to be potentially misleading. The linear disappointment model modifies EUT by adding a term proportional to downside risk; however, it does not provide a mathematical basis for determining preferred hybrid solutions. The paper proposes a portfolio allocation model with stochastic optimization as a flexible and transparent method for defining choice problems and determining hybrid solutions for critical systems with desirable properties such as diversification and robustness.
机译:关键系统通常是复杂的系统,需要在各种场景或多状态环境中可靠地执行。很少有一个系统在所有可能的情况下都表现最佳。一种健壮的解决方案(在各种情况下均能表现相对良好)通常是降低风险并以可接受的成本实现的首选。具有最大预期效用的替代方案可能具有可以利用的漏洞。最好的策略可能是混合解决方案。冯·诺伊曼-摩根斯坦期望效用理论(EUT)永远不会选择这样的解决方案,因为给定线性函数形式,混合解决方案的期望效用不能大于每个替代方案的期望效用。对于感兴趣的问题,连续性公理和独立性公理被认为是不现实的。分析了几种著名的决策模型,并证明它们具有潜在的误导性。线性失望模型通过添加与下行风险成正比的项来修改EUT;但是,它没有提供确定首选混合解决方案的数学基础。本文提出了一种具有随机优化的投资组合分配模型,该模型是一种灵活,透明的方法,用于定义选择问题并确定具有所需属性(如多样化和鲁棒性)的关键系统的混合解决方案。

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