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Sensitivity Analysis Using Risk Measures

Tsanakas, Andreas
•
MILLOSSOVICH, PIETRO
2016
  • journal article

Periodico
RISK ANALYSIS
Abstract
In a quantitative model with uncertain inputs, the uncertainty of the output can be summarized by a risk measure. We propose a sensitivity analysis method based on derivatives of the output risk measure, in the direction of model inputs. This produces a global sensitivity measure, explicitly linking sensitivity and uncertainty analyses. We focus on the case of distortion risk measures, defined as weighted averages of output percentiles, and prove a representation of the sensitivity measure that can be evaluated on a Monte Carlo sample, as a weighted average of gradients over the input space. When the analytical model is unknown or hard to work with, nonparametric techniques are used for gradient estimation. This process is demonstrated through the example of a nonlinear insurance loss model. Furthermore, the proposed framework is extended in order to measure sensitivity to constant model parameters, uncertain statistical parameters, and random factors driving dependence between model inputs.
DOI
10.1111/risa.12434
WOS
WOS:000369060500004
Archivio
http://hdl.handle.net/11368/2897177
info:eu-repo/semantics/altIdentifier/scopus/2-s2.0-84949032646
www.blackwellpublishers.co.uk/asp/journal.asp?ref=0272-4332
Diritti
closed access
license:digital rights management non definito
FVG url
https://arts.units.it/request-item?handle=11368/2897177
Soggetti
  • Aggregation

  • Dependence

  • Parameter uncertainty...

  • Risk measure

  • Sensitivity analysi

  • Uncertainty analysi

  • Physiology (medical)

  • Safety, Risk, Reliabi...

Web of Science© citazioni
28
Data di acquisizione
Mar 25, 2024
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