YaBeSH Engineering and Technology Library

    • Journals
    • PaperQuest
    • YSE Standards
    • YaBeSH
    • Login
    View Item 
    •   YE&T Library
    • ASCE
    • Natural Hazards Review
    • View Item
    •   YE&T Library
    • ASCE
    • Natural Hazards Review
    • View Item
    • All Fields
    • Source Title
    • Year
    • Publisher
    • Title
    • Subject
    • Author
    • DOI
    • ISBN
    Advanced Search
    JavaScript is disabled for your browser. Some features of this site may not work without it.

    Archive

    Financial Seismic Risk Analysis of Building Portfolios

    Source: Natural Hazards Review:;2014:;Volume ( 015 ):;issue: 002
    Author:
    Hiromichi
    ,
    Yoshikawa
    ,
    Katsuichiro
    ,
    Goda
    DOI: 10.1061/(ASCE)NH.1527-6996.0000129
    Publisher: American Society of Civil Engineers
    Abstract: The role of financial seismic risk analysis and risk quantification has grown rapidly in dealing with important risk-management decisions for building portfolios. Recent developments in regional seismicity modeling, ground-motion modeling of spatially correlated seismic effects, and seismic fragility analysis have enabled more accurate estimation of earthquake risk exposure of building portfolios. The result from quantitative seismic loss estimation can be represented by a seismic loss curve and various scalar risk metrics, such as annual expected loss, value at risk, and tail value at risk, which are all expressed in monetary terms. Their use facilitates the risk-based decision making and risk communication. This study illustrates the current risk-quantification approaches through a case study for a group of wood-frame houses in Canada. Potential pitfalls in using simple risk metrics for decision analysis on seismic risk-transfer and risk-mitigation strategies are discussed. The results indicate that the use of tail value at risk may be appropriate as it provides more consistent risk-comparison results by reflecting the expected risk of rare events.
    • Download: (2.658Mb)
    • Show Full MetaData Hide Full MetaData
    • Get RIS
    • Item Order
    • Go To Publisher
    • Statistics

      Financial Seismic Risk Analysis of Building Portfolios

    URI
    https://yetl.yabesh.ir/yetl1/handle/yetl/67525
    Collections
    • Natural Hazards Review

    Show full item record

    contributor authorHiromichi
    contributor authorYoshikawa
    contributor authorKatsuichiro
    contributor authorGoda
    date accessioned2017-05-08T21:57:46Z
    date available2017-05-08T21:57:46Z
    date copyrightMay 2014
    date issued2014
    identifier other%28asce%29nm%2E2153-5477%2E0000062.pdf
    identifier urihttp://yetl.yabesh.ir/yetl/handle/yetl/67525
    description abstractThe role of financial seismic risk analysis and risk quantification has grown rapidly in dealing with important risk-management decisions for building portfolios. Recent developments in regional seismicity modeling, ground-motion modeling of spatially correlated seismic effects, and seismic fragility analysis have enabled more accurate estimation of earthquake risk exposure of building portfolios. The result from quantitative seismic loss estimation can be represented by a seismic loss curve and various scalar risk metrics, such as annual expected loss, value at risk, and tail value at risk, which are all expressed in monetary terms. Their use facilitates the risk-based decision making and risk communication. This study illustrates the current risk-quantification approaches through a case study for a group of wood-frame houses in Canada. Potential pitfalls in using simple risk metrics for decision analysis on seismic risk-transfer and risk-mitigation strategies are discussed. The results indicate that the use of tail value at risk may be appropriate as it provides more consistent risk-comparison results by reflecting the expected risk of rare events.
    publisherAmerican Society of Civil Engineers
    titleFinancial Seismic Risk Analysis of Building Portfolios
    typeJournal Paper
    journal volume15
    journal issue2
    journal titleNatural Hazards Review
    identifier doi10.1061/(ASCE)NH.1527-6996.0000129
    treeNatural Hazards Review:;2014:;Volume ( 015 ):;issue: 002
    contenttypeFulltext
    DSpace software copyright © 2002-2015  DuraSpace
    نرم افزار کتابخانه دیجیتال "دی اسپیس" فارسی شده توسط یابش برای کتابخانه های ایرانی | تماس با یابش
    yabeshDSpacePersian
     
    DSpace software copyright © 2002-2015  DuraSpace
    نرم افزار کتابخانه دیجیتال "دی اسپیس" فارسی شده توسط یابش برای کتابخانه های ایرانی | تماس با یابش
    yabeshDSpacePersian