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On How to Deal with Deep Uncertainties in a Risk Assessment and Management Context

机译:在风险评估和管理环境中如何处理深层不确定性

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摘要

Recently, several authors have presented interesting contributions on how to meet deep or severe uncertainties in a risk analysis setting. In this article, we provide some reflections on some of the foundational pillars that this work is based on, including the meaning of concepts such as deep uncertainty, known probabilities, and correct models, the aim being to contribute to a strengthening of the scientific platform of the work, as well as providing new insights on how to best implement management policies meeting these uncertainties. We also provide perspectives on the boundaries and limitations of analytical approaches for supporting decision making in cases of deep uncertainties. A main conclusion of the article is that deep uncertainties call for managerial review and judgment that sees beyond the analytical frameworks studied in risk assessment and risk management contexts, including those now often suggested to be used, such as robust optimization techniques. This managerial review and judgment should be seen as a basic element of the risk management.
机译:最近,几位作者就如何在风险分析环境中应对深层或严重不确定性提出了有趣的意见。在本文中,我们对这项工作所基于的一些基础支柱提供了一些思考,包括诸如深层不确定性,已知概率和正确模型等概念的含义,旨在为加强科学平台做出贡献工作,并就如何最好地实施应对这些不确定性的管理政策提供新见解。我们还提供了有关分析方法的边界和局限性的观点,以支持在不确定性很大的情况下进行决策。本文的主要结论是,深层的不确定性要求管理层进行审查和判断,而这种审查和判断超出了在风险评估和风险管理环境下研究的分析框架的范围,包括现在经常建议使用的分析框架,例如强大的优化技术。这种管理上的审查和判断应被视为风险管理的基本要素。

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