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Direct Calculation of the Probability Distribution for Earthquake Losses to a Portfolio

机译:直接计算投资组合中地震损失的概率分布

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摘要

We demonstrate a direct method for the calculation of the annual frequency of exceedance for earthquake losses (or the probability distribution for annual losses) to a portfolio. This method parallels the classic method of probabilistic seismic hazard analysis for the calculation of the annual frequency of exceedance for earthquake ground motions. The method assumes conditional independence of the random component of ground motions and losses at different sites for each earthquake, given magnitude, distance to the sites, and so-called interevent epsilon. Examples show that the method is realizable, and can take into account different loss functions and site conditions in the portfolio. The main advantage of this method is that it does not require a separate set of scenario earthquakes, as do Monte Carlo-based approaches, but can be calculated directly from the inputs used for hazard maps.
机译:我们演示了一种直接方法,用于计算投资组合中地震损失的年度超出频率(或年度损失的概率分布)。该方法与经典的概率地震危险性分析方法相似,可用于计算地震地震动的年度超出频率。该方法假定给定震级,距震源的距离以及所谓的事件间ε,对于每次地震,在不同震源处,地震动和损失的随机分量在条件上都是独立的。实例表明,该方法是可实现的,并且可以考虑投资组合中不同的损失函数和现场条件。该方法的主要优点是,它不需要像基于蒙特卡洛的方法那样需要单独的情景地震集,而是可以直接从用于危害图的输入中计算得出。

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  • 来源
    《Earthquake spectra》 |2009年第3期|687-706|共20页
  • 作者单位

    US. Geological Survey, Box 25046, Denver, CO, 80225;

    US. Geological Survey, Box 25046, Denver, CO, 80225;

    US. Geological Survey, Box 25046, Denver, CO, 80225;

    US. Geological Survey, Box 25046, Denver, CO, 80225 Swiss Re, 175 King St, Armonk, NY, 10504;

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  • 正文语种 eng
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  • 入库时间 2022-08-18 03:33:26

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