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A distributionally robust credibilistic optimization method for the economic-environmental-energy-social sustainability problem

机译:经济环境 - 能源 - 社会可持续发展问题的分布鲁棒信任优化方法

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摘要

The existing literature on sustainable development problems mainly focuses on multicriteria decision analyses, and ignores the impact of uncertain information on optimal labor allocation decisions. It is necessary for sustainable development to implement suitable policies under uncertainty that integrate several competing aspects including economic, environmental, energy and social criteria. Based on type-2 fuzzy theory, this paper develops a distributionally robust optimization method for sustainable development problems. In our new model, the uncertain per capita gross domestic product (GDP), per capita electricity consumption and per capita greenhouse gas (GHG) emissions are characterized by parametric interval-valued (PIV) possibility distributions and their associated uncertainty distribution sets. Under two assumptions on the underlining decision-making environment, the robust counterpart of the original distributionally robust fuzzy sustainable development model is formally established. To solve the proposed robust sustainable development model, this paper discusses the computational issue concerning the infinitely many integral objective functions and credibilistic constraints, and turns the robust counterpart model into its computationally tractable equivalent deterministic submodels. Taking advantage of the structural characteristics of the equivalent submodels, a domain decomposition method is designed to find the robust optimal solution that can protect against distribution uncertainty. Finally, this paper applies the proposed optimization method for the key economic sectors of the United Arab Emirates (UAE) to provide quantitative justification in planning future labor and resource allocation. (C) 2019 Published by Elsevier Inc.
机译:现有的可持续发展问题的文献主要侧重于多标法分析,忽略了不确定信息对最优劳动分配决策的影响。可持续发展有必要在不确定性下实施合适的政策,以纳入几个竞争方面,包括经济,环境,能源和社会标准。本文基于2型模糊理论,开发了可持续发展问题的分布稳健优化方法。在我们的新模式中,人均国内生产总值(GDP),人均电力消耗和人均温室气体(GHG)排放的不确定是由参数间隔(PIV)可能性分布及其相关的不确定性分配集。根据下划线决策环境的两个假设,正式建立了原始分布稳健的模糊可持续发展模型的强大对应。为了解决建议的稳健可持续发展模式,本文讨论了有关多重集成目标函数和信任约束的计算问题,并将强大的对应模型转变为其计算易诊的等效确定性确定性子模型。利用等效子模型的结构特性,域分解方法旨在找到可以保护分布不确定性的强大最佳解决方案。最后,本文适用于阿拉伯联合酋长国(阿联酋)主要经济部门的建议优化方法,以提供规划未来劳动力和资源分配的定量理由。 (c)2019由elsevier公司出版

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