Using cross-impact analysis for probabilistic risk assessment

Ahti Salo, Edoardo Tosoni, Juho Roponen, Derek W. Bunn
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引用次数: 6

Abstract

Cross-impact analysis is widely employed to inform management and policy decisions based on the formulation of scenarios, defined as combinations of outcomes of relevant uncertainty factors. In this paper, we argue that the use of nonprobabilistic variants of cross-impact analysis is problematic in the context of risk assessment where the usual aim is to produce conservative risk estimates which may exceed but are not smaller than the actual risk level. Then, building on the characterization of probabilistic dependencies, we develop an approach to probabilistic cross-impact analysis which (i) admits several kinds of probabilistic statements about the outcomes of relevant uncertainty factors and their dependencies; (ii) maps such statements into constraints on the joint probability distribution over all possible scenarios; (iii) provides support for preserving the consistency of elicited statements; and (iv) uses mathematical optimization to compute lower and upper bounds on the overall risk level. This approach—which is illustrated with an example from the context of nuclear waste repositories—is useful in that it retains the informativeness of cross-impact statements while ensuring that these statements are interpreted within the coherent framework of probability theory.

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利用交叉影响分析进行概率风险评估
交叉影响分析被广泛应用于管理和政策决策,其依据是情景的制定,定义为相关不确定性因素的结果组合。在本文中,我们认为,在风险评估的背景下,使用非概率变量的交叉影响分析是有问题的,通常的目标是产生保守的风险估计,可能超过但不小于实际风险水平。然后,在描述概率依赖关系的基础上,我们发展了一种概率交叉影响分析方法,该方法(i)允许关于相关不确定性因素及其依赖关系的结果的几种概率陈述;(ii)将这些陈述映射为对所有可能情景的联合概率分布的约束;(iii)为保持引申陈述的一致性提供支持;(iv)利用数学优化计算总体风险水平的下界和上界。这种方法是有用的,因为它保留了交叉影响陈述的信息量,同时确保这些陈述在概率论的连贯框架内得到解释。
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