This book concentrates on the accuracy of risk modelling rather than the management of risk analysis. It provides a comprehensive guide to modelling of uncertainty using spreadsheets and Monte Carlo software on standard PCs. It includes sufficient probability and statistics theory and provides the basic information necessary for a simple risk analysis model.
"synopsis" may belong to another edition of this title.
This is a comprehensive guide to the modelling of uncertainty through the use of spreadsheet and risk analysis software. It illustrates each technique with worked examples, and includes sufficient probability and statistics theory for the reader to be confident of the correctness of the techniques and to understand when and how the theories can be used. The book provides the basic information necessary for a simple risk analysis model, as well as modelling techniques for more complicated problems.
"About this title" may belong to another edition of this title.
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