Risk Matrix
Springer Verlag, Singapore
978-981-19-1482-9 (ISBN)
Chunbing Bao is an associate professor working in the Department of Information System and Supply Chain Management, Shandong University, China. He received his bachelor's degree from the University of Science and Technology of China, and he received his Ph.D. from the University of Chinese Academy of Sciences. His researches interests include risk management, supply chain management. Jianping Li is a distinguished professor at the University of Chinese Academy of Sciences (UCAS). He is also the executive vice dean of the School of Economics and Management at the UCAS and the executive member and secretary-general of the International Academy on Information Technology and Quantitative Management (IAITQM). His research interests include risk management and big data analysis. He has published more than 130 papers and 6 monographs, including Risk Analysis, Annals of Tourism Research, and European Journal of Operational Research. He has been awarded "2020Elsevier Highly Cited Chinese Researchers", "China Youth Science and Technology Award", "National Outstanding Science and Technology Worker of China", "Excellent Tutor Award of Chinese Academy of Sciences", and won 2 first prizes and 4 second prizes of provincial and ministerial Natural Science/Technology Progress Awards in China. Dengsheng Wu is an associate professor at the Institutes of Science and Development Chinese Academy of Sciences. He is a member of the Youth Innovation Promotion Association of Chinese Academy of Sciences and severs as the academic editor of the Innovation, associate editor of the Chinese Journal of Management Science. He has published 50 articles, among which more than 20 articles are indexed by the FMS journal rating guide, such as the important journal Risk Analysis, European Journal of Operational Research. His researches interests include risk management, Scientometrics.
Chapter 1. Risk matrix: Foundations and Overview.- Chapter 2. Different types of risk matrices and typical applications.- Chapter 3. Rating scheme design methods.- Chapter 4. Risk perceptions in risk matrix: sources and impact to risk matrix design.- Chapter 5. Risk matrix design assessment: criteria and quantitative indicators.- Chapter 6. Risk matrix aggregation: A general framework.- Chapter 7. Risk matrix aggregation methods: introduction and comparative analysis.- Chapter 8. Three dimensional risk matrix: theoretical basis and construction. Chapter 9. Conclusion.
"This book is concerned with risk, in all of its forms, its modeling, formalization and handling. ... this book can serve for a diverse variety of audiences, nearly to anyone of them. ... the book is written and illustrated in such a pleasant way. ... Based on this remarkable book, many future scientific, applied and real-world illustrations and usages can be explored and pursued in the vast and quickly expanding universe of modern research ... ." (Gerhard-Wilhelm Weber, Ismail Özcan and Jinal Parikh, zbMATH 1503.91005, 2023)
Erscheinungsdatum | 15.06.2023 |
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Reihe/Serie | Innovation in Risk Analysis |
Zusatzinfo | 96 Illustrations, color; 16 Illustrations, black and white; VIII, 173 p. 112 illus., 96 illus. in color. |
Verlagsort | Singapore |
Sprache | englisch |
Original-Titel | How to design rating schemes of risk matrices: A sequential updating approach. Risk Analysis |
Maße | 155 x 235 mm |
Themenwelt | Wirtschaft ► Betriebswirtschaft / Management ► Allgemeines / Lexika |
Wirtschaft ► Betriebswirtschaft / Management ► Unternehmensführung / Management | |
Wirtschaft ► Volkswirtschaftslehre ► Ökonometrie | |
Schlagworte | Rating Scheme • Risk aggregation • Risk matrix • Risk Matrix Aggregation • Risk Matrix Design • Risk Matrix Design Criteria • Sequential Updating • Three-dimensional Risk Matrix |
ISBN-10 | 981-19-1482-6 / 9811914826 |
ISBN-13 | 978-981-19-1482-9 / 9789811914829 |
Zustand | Neuware |
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