Risk Analysis

Cover image for Vol. 32 Issue 8

August 2012

Volume 32, Issue 8

Pages 1273–1442

  1. From the Editors

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW
    1. You have free access to this content
      From the Editors (pages 1273–1274)

      Article first published online: 9 AUG 2012 | DOI: 10.1111/j.1539-6924.2012.01863.x

  2. Special Series: Insights and Applications from Financial Risk Analysis

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW
    1. Introduction to the Special Issue: Insights and Applications from Financial Risk Analysis (pages 1275–1276)

      Arcady Novosyolov and Louis Anthony (Tony) Cox Jr.

      Article first published online: 9 AUG 2012 | DOI: 10.1111/j.1539-6924.2012.01884.x

    2. Mean-Deviation Analysis in the Theory of Choice (pages 1277–1292)

      Bogdan Grechuk, Anton Molyboha and Michael Zabarankin

      Article first published online: 7 APR 2011 | DOI: 10.1111/j.1539-6924.2011.01611.x

  3. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW
    1. Quantile Uncertainty and Value-at-Risk Model Risk (pages 1293–1308)

      Carol Alexander and José María Sarabia

      Article first published online: 17 MAY 2012 | DOI: 10.1111/j.1539-6924.2012.01824.x

  4. Special Series: Insights and Applications from Financial Risk Analysis

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW
    1. Optimal Security Investments and Extreme Risk (pages 1309–1325)

      Hamid Mohtadi and Swati Agiwal

      Article first published online: 13 JUN 2012 | DOI: 10.1111/j.1539-6924.2012.01849.x

    2. Doing Our Best: Optimization and the Management of Risk (pages 1326–1332)

      Yakov Ben-Haim

      Article first published online: 2 MAY 2012 | DOI: 10.1111/j.1539-6924.2012.01818.x

  5. Original Research Articles

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW
    1. Cognitive Mapping Tools: Review and Risk Management Needs (pages 1333–1348)

      Matthew D. Wood, Ann Bostrom, Todd Bridges and Igor Linkov

      Article first published online: 16 FEB 2012 | DOI: 10.1111/j.1539-6924.2011.01767.x

    2. Flood Risk Management: US Army Corps of Engineers and Layperson Perceptions (pages 1349–1368)

      Matthew Wood, Daniel Kovacs, Ann Bostrom, Todd Bridges and Igor Linkov

      Article first published online: 9 MAY 2012 | DOI: 10.1111/j.1539-6924.2012.01832.x

    3. The Informed Society: An Analysis of the Public's Information-Seeking Behavior Regarding Coastal Flood Risks (pages 1369–1381)

      Wim Kellens, Ruud Zaalberg and Philippe De Maeyer

      Article first published online: 9 DEC 2011 | DOI: 10.1111/j.1539-6924.2011.01743.x

    4. Water Pollution Risk Associated with Natural Gas Extraction from the Marcellus Shale (pages 1382–1393)

      Daniel J. Rozell and Sheldon J. Reaven

      Article first published online: 28 DEC 2011 | DOI: 10.1111/j.1539-6924.2011.01757.x

    5. Lessons Learned from Toulouse and Buncefield Disasters: From Risk Analysis Failures to the Identification of Atypical Scenarios Through a Better Knowledge Management (pages 1404–1419)

      Nicola Paltrinieri, Nicolas Dechy, Ernesto Salzano, Mike Wardman and Valerio Cozzani

      Article first published online: 23 DEC 2011 | DOI: 10.1111/j.1539-6924.2011.01749.x

    6. A Probabilistic Transmission and Population Dynamic Model to Assess Tuberculosis Infection Risk (pages 1420–1432)

      Chung-Min Liao, Yi-Hsien Cheng, Yi-Jun Lin, Nan-Hung Hsieh, Tang-Luen Huang, Chia-Pin Chio, Szu-Chieh Chen and Min-Pei Ling

      Article first published online: 28 DEC 2011 | DOI: 10.1111/j.1539-6924.2011.01750.x

    7. Comparative Assessment of Analytical Approaches to Quantify the Risk for Introduction of Rare Animal Diseases: The Example of Avian Influenza in Spain (pages 1433–1440)

      Fernando Sánchez-Vizcaíno, Andrés Perez, Beatriz Martínez-López and José Manuel Sánchez-Vizcaíno

      Article first published online: 9 DEC 2011 | DOI: 10.1111/j.1539-6924.2011.01744.x

  6. BOOK REVIEW

    1. Top of page
    2. From the Editors
    3. Special Series: Insights and Applications from Financial Risk Analysis
    4. Special Series: Insights and Applications from Financial Risk Analysis Original Research Articles
    5. Special Series: Insights and Applications from Financial Risk Analysis
    6. Original Research Articles
    7. BOOK REVIEW

SEARCH

SEARCH BY CITATION