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Reliability and Risk – A Bayesian Perspective
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Reliability and Risk – A Bayesian Perspective : A Bayesian Perspective

Book Details

Format Hardback or Cased Book
ISBN-10 0470855029
ISBN-13 9780470855027
Publisher John Wiley & Sons Inc
Imprint John Wiley & Sons Inc
Country of Manufacture GB
Country of Publication GB
Publication Date Aug 4th, 2006
Print length 400 Pages
Weight 796 grams
Dimensions 17.40 x 25.50 x 2.90 cms
Ksh 19,450.00
Werezi Extended Catalogue 0 in stock

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Reliability & Risk: A Bayesian Perspective addresses the need for a sound introduction to the mathematical and statistical aspects of reliability analysis from a Bayesian perspective. It features many real examples, taken from the author's vast experience, and lots of applications from reliability engineering.
We all like to know how reliable and how risky certain situations are, and our increasing reliance on technology has led to the need for more precise assessments than ever before. Such precision has resulted in efforts both to sharpen the notions of risk and reliability, and to quantify them. Quantification is required for normative decision-making, especially decisions pertaining to our safety and wellbeing. Increasingly in recent years Bayesian methods have become key to such quantifications. Reliability and Risk provides a comprehensive overview of the mathematical and statistical aspects of risk and reliability analysis, from a Bayesian perspective. This book sets out to change the way in which we think about reliability and survival analysis by casting them in the broader context of decision-making. This is achieved by: Providing a broad coverage of the diverse aspects of reliability, including: multivariate failure models, dynamic reliability, event history analysis, non-parametric Bayes, competing risks, co-operative and competing systems, and signature analysis. Covering the essentials of Bayesian statistics and exchangeability, enabling readers who are unfamiliar with Bayesian inference to benefit from the book. Introducing the notion of 'composite reliability', or the collective reliability of a population of items. Discussing the relationship between notions of reliability and survival analysis and econometrics and financial risk. Reliability and Risk can most profitably be used by practitioners and research workers in reliability and survivability as a source of information, reference, and open problems. It can also form the basis of a graduate level course in reliability and risk analysis for students in statistics, biostatistics, engineering (industrial, nuclear, systems), operations research, and other mathematically oriented scientists, wherein the instructor could supplement the material with examples and problems.

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