Failure Rate Modelling For Reliabiliy & Risk With Maxim Finkelstein

Failure Rate Modelling for Reliability and Risk  eBooks & eLearning

Posted by AvaxGenius at March 3, 2024
Failure Rate Modelling for Reliability and Risk

Failure Rate Modelling for Reliability and Risk by Maxim Finkelstein
English | PDF | 2008 | 297 Pages | ISBN : 1848009852 | 4.3 MB

“Failure Rate Modeling for Reliability and Risk” focuses on reliability theory, and to the failure rate (hazard rate, force of mortality) modeling and its generalizations to systems operating in a random environment and to repairable systems. The failure rate is one of the crucial probabilistic characteristics for a number of disciplines; including reliability, survival analysis, risk analysis and demography. The book presents a systematic study of the failure rate and related indices, and covers a number of important applications where the failure rate plays the major role. Applications in engineering systems are studied, together with some actuarial, biological and demographic examples. The book provides a survey of this broad and interdisciplinary subject which will be invaluable to researchers and advanced students in reliability engineering and applied statistics, as well as to demographers, econometricians, actuaries and many other mathematically oriented researchers.

River Basin Modelling for Flood Risk Mitigation  eBooks & eLearning

Posted by insetes at Jan. 7, 2019
River Basin Modelling for Flood Risk Mitigation

River Basin Modelling for Flood Risk Mitigation By Donald Knight, Asaad Shamseldin
2005 | 616 Pages | ISBN: 0415383447 | PDF | 32 MB

Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis  eBooks & eLearning

Posted by AvaxGenius at Dec. 20, 2021
Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis

Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis by Wolfgang Borutzky
English | EPUB | 2021 | 325 Pages | ISBN : 3030609669 | 23 MB

This book shows in a comprehensive presentation how Bond Graph methodology can support model-based control, model-based fault diagnosis, fault accommodation, and failure prognosis by reviewing the state-of-the-art, presenting a hybrid integrated approach to Bond Graph model-based fault diagnosis and failure prognosis, and by providing a review of software that can be used for these tasks.

Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis  eBooks & eLearning

Posted by AvaxGenius at Dec. 17, 2020
Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis

Bond Graph Modelling for Control, Fault Diagnosis and Failure Prognosis by Wolfgang Borutzky
English | PDF | 2021 | 325 Pages | ISBN : 3030609669 | 13.8 MB

This book shows in a comprehensive presentation how Bond Graph methodology can support model-based control, model-based fault diagnosis, fault accommodation, and failure prognosis by reviewing the state-of-the-art, presenting a hybrid integrated approach to Bond Graph model-based fault diagnosis and failure prognosis, and by providing a review of software that can be used for these tasks.
Advanced Analytical Methods for Climate Risk and ESG Risk Management: A Concrete Approach to Modeling

Advanced Analytical Methods for Climate Risk and ESG Risk Management: A Concrete Approach to Modeling (The Wiley Finance Series) by Jorge R. Sobehart
English | August 19, 2024 | ISBN: 139422009X | 496 pages | MOBI | 14 Mb
Mathematics of the Financial Markets: Financial Instruments and Derivatives Modelling, Valuation and Risk Issues

Alain Ruttiens, "Mathematics of the Financial Markets: Financial Instruments and Derivatives Modelling, Valuation and Risk Issues"
English | 2013 | ISBN: 1118513452 | 566 pages | EPUB | 8.6 MB
"Numerical Methods and Modelling for Engineering" by  Khoury, Richard, Harder, Douglas Wilhelm

"Numerical Methods and Modelling for Engineering" by Khoury, Richard, Harder, Douglas Wilhelm
Spr | 2016 | ISBN: 3319211765 9783319211763 | 295 pages | PDF | 8 MB

This textbook provides a step-by-step approach to numerical methods in engineering modelling. The authors provide a consistent treatment of the topic, from the ground up, to reinforce for students that numerical methods are a set of mathematical modelling tools which allow engineers to represent real-world systems and compute features of these systems with a predictable error rate.

Perturbation Methods in Credit Derivatives: Strategies for Efficient Risk Management  eBooks & eLearning

Posted by arundhati at Dec. 17, 2020
Perturbation Methods in Credit Derivatives: Strategies for Efficient Risk Management

Colin Turfus, "Perturbation Methods in Credit Derivatives: Strategies for Efficient Risk Management "
English | ISBN: 1119609615 | 2021 | 256 pages | PDF | 3 MB

Interest Rate Models - Theory and Practice: With Smile, Inflation and Credit  eBooks & eLearning

Posted by AvaxGenius at July 28, 2022
Interest Rate Models - Theory and Practice: With Smile, Inflation and Credit

Interest Rate Models - Theory and Practice: With Smile, Inflation and Credit by Damiano Brigo, Fabio Mercurio
English | PDF(True) | 2006 | 1016 Pages | ISBN : 3540221492 | 8.8 MB

The 2nd edition of this successful book has several new features. The calibration discussion of the basic LIBOR market model has been enriched considerably, with an analysis of the impact of the swaptions interpolation technique and of the exogenous instantaneous correlation on the calibration outputs. A discussion of historical estimation of the instantaneous correlation matrix and of rank reduction has been added, and a LIBOR-model consistent swaption-volatility interpolation technique has been introduced.
Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk

Machine Learning for Financial Risk Management with Python: Algorithms for Modeling Risk by O'Reilly Media; 1st edition
English | December 28, 2021 | ISBN: 1492085251 | 334 pages | PDF | 3.59 Mb