Risk Management Strategies Using Fuzzy Optimization Techniques
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- Englisch ausgewählt
Fr. 187.00
inkl. gesetzl. MwSt.,
Beschreibung
Produktdetails
Einband
Gebundene Ausgabe
Erscheinungsdatum
03.11.2026
Abbildungen
38 Tables, black and white; 12 Line drawings, black and white; 9 Halftones, black and white; 21 Illustrations, black and white
Verlag
Taylor & FrancisSeitenzahl
264
Maße (L/B)
23.4/15.6 cm
Sprache
Englisch
ISBN
978-1-04-110972-3
The book explores advanced risk management strategies through fuzzy decision-making and optimization techniques. It provides a structured approach to handling uncertainty, ambiguity, and imprecise data in critical decision-making environments. This book examines fuzzy set theory, fuzzy numbers, fuzzy decision trees and fuzzy clustering for risk assessment. With a focus on fuzzy goal programming, the book offers practical methodologies for maximizing returns, minimizing risks and maintaining liquidity across diverse sectors.
- Integrates finance, management, mathematics, information technology and engineering to enhance risk assessment.
- Includes case studies on credit risk assessment, portfolio optimisation, supplier selection, and environmental impact analysis.
- Provides frameworks for addressing ambiguity in data-driven decision-making environments.
- Demonstrates how fuzzy techniques enhance risk mitigation and strategic decision-making and offers step-by-step methodologies for applying fuzzy optimisation in real-world scenarios.
This book is a valuable resource for students, researchers, and professionals seeking to improve decision-making under uncertainty in finance, management, and engineering.
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