Preface The Editors |
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1. BASIC ISSUES |
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Decision Making under Uncertainty with Ordinal Linguistic Data |
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3 | (14) |
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Modeling Risk in Sequential Decision Making with Interval Probabilities |
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17 | (14) |
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Fuzzy Risk Analysis Vs. Probability Risk Analysis |
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31 | (24) |
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Soft Methods in Hypotheses Testing |
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55 | (18) |
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Extensions and Applications of Evidence Theory |
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73 | (24) |
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2. ANALYSIS OF EVIDENCE AND DATA |
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Data Mining Based on Evidence Theory |
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97 | (24) |
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Interesting Rough Lattice-based Implication Rules Discovery |
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121 | (12) |
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Concept Lattice-based Approach for Incrementally Association Mining |
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133 | (7) |
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Neuro-Fuzzy Modelling of Time Series |
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140 | (15) |
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A Fast Logically-Complete Preferential Reasoner for the Assessment of Critical Situations |
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155 | (15) |
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Artificial Intelligence Classifiers and Their Social Impact |
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170 | (27) |
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3. RISK IN DECISION SUPPORT AND CONTROL SYSTEMS |
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Analysis Support System of Human Reliability with Linguistic Expressions |
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197 | (32) |
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A Cognitive and Formal Terminology for Descriptive Parameters in Concurrent Real-Time Distributed Software Systems |
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229 | (20) |
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Safety Licensable and High Speed Programmable Digital Controllers Providing any Required Control Behaviour |
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249 | (26) |
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4. RISK IN ENERGY AND ENVIRONMENTAL SYSTEMS |
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Fuzzy Price Forecasting and Energy Contracting in Competitive Electricity Markets |
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275 | (46) |
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System Modelling in Monitoring and Supervising System of Distributed Energy and Heat Supply Complex |
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321 | (16) |
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Evidential Reasoning in Nuclear Waste Management |
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337 | (18) |
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A Fuzzy Model of Heavy Metal Loadings in Marine Environment |
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355 | (20) |
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5. RISK IN FINANCE |
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Capital Budgeting Techniques Using Discounted Fuzzy Cash Flows |
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375 | (22) |
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Survival Risk and Project Evaluation |
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397 | (13) |
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Coherent Risk Measures and Linear Programming |
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410 | (22) |
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Fuzzy Risk Management for Project Financing |
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432 | (15) |
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Fuzzy Logic Based Risk Management in Financial Intermediation |
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447 | (25) |
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Bank Creditworthiness Using Fuzzy Systems: A Comparison with a Classical Analysis Approach |
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472 | (15) |
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Risk of Options - Impact of Volatility Parameter |
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487 | (14) |
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Managing Portfolio of Options |
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501 | |
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