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contributor authorRyuji Kakimoto
contributor authorPrianka N. Seneviratne
date accessioned2017-05-08T21:21:12Z
date available2017-05-08T21:21:12Z
date copyrightDecember 2000
date issued2000
identifier other%28asce%291076-0342%282000%296%3A4%28123%29.pdf
identifier urihttp://yetl.yabesh.ir/yetl/handle/yetl/48122
description abstractReturn risk is an important consideration for developers and financiers of port infrastructure. This paper examines the impact of various sources of risk in port infrastructure development using the two-moments method. The sensitivity of risk to stochastic revenue and cost variables is tested under different scenarios, including circumstances when variables are nonnormal and correlated. Application of the methodology is illustrated using a case example.
publisherAmerican Society of Civil Engineers
titleInvestment Risk Analysis in Port Infrastructure Appraisal
typeJournal Paper
journal volume6
journal issue4
journal titleJournal of Infrastructure Systems
identifier doi10.1061/(ASCE)1076-0342(2000)6:4(123)
treeJournal of Infrastructure Systems:;2000:;Volume ( 006 ):;issue: 004
contenttypeFulltext


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