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Empirical Comparison of Two Methods for the Bayesian Update of the Parameters of Probability Distributions in a Two-Level Hybrid Probabilistic-Possibilistic Uncertainty Framework for Risk Assessment

机译:风险评估的两级混合概率-可能性不确定性框架中概率分布参数的贝叶斯更新的两种方法的经验比较

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摘要

In this paper, the authors address the issue of updating in a Bayesian framework, the possibilistic representation of the epistemically uncertain parameters of (aleatory) probability distributions, as new information (e.g., data) becomes available. Two approaches are considered: the first is based on a purely possibilistic counterpart of the classical, well-grounded probabilistic Bayes’ theorem; the second relies on the hybrid combination of (1) fuzzy interval analysis (FIA) to process the uncertainty described by possibility distributions, and (2) repeated Bayesian updating of the uncertainty represented by probability distributions. The feasibility of the two methods is shown on a literature case study involving the risk-based design of a flood protection dike.
机译:在本文中,作者解决了在贝叶斯框架中进行更新的问题,即随着新信息(例如数据)的出现,(偶然)概率分布的认识上不确定参数的可能表示。考虑了两种方法:第一种是基于经典的,有充分根据的概率贝叶斯定理的完全可能的对应方法;第二种方法是依靠(1)模糊区间分析(FIA)的混合组合来处理由可能性分布描述的不确定性,以及(2)对由概率分布表示的不确定性进行重复的贝叶斯更新。在涉及基于风险的防洪堤设计的文献案例研究中显示了这两种方法的可行性。

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