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IJAR
2008
116views more  IJAR 2008»
13 years 8 months ago
Portfolio management under epistemic uncertainty using stochastic dominance and information-gap theory
Portfolio management in finance is more than a mathematical problem of optimizing performance under risk constraints. A critical factor in practical portfolio problems is severe u...
Daniel Berleant, L. Andrieu, Jean-Philippe Argaud,...
ICICS
2009
Springer
14 years 3 months ago
Assessing Security Risk to a Network Using a Statistical Model of Attacker Community Competence
We propose a novel approach for statistical risk modeling of network attacks that lets an operator perform risk analysis using a data model and an impact model on top of an attack ...
Tomas Olsson
HASE
2008
IEEE
14 years 3 months ago
Formal Support for Quantitative Analysis of Residual Risks in Safety-Critical Systems
With the increasing complexity in software and electronics in safety-critical systems new challenges to lower the costs and decrease time-to-market, while preserving high assuranc...
Jonas Elmqvist, Simin Nadjm-Tehrani
WWW
2011
ACM
13 years 3 months ago
A middleware for securing mobile mashups
Mashups on traditional desktop devices are a well-known source of security risks. In this paper, we examine how these risks translate to mobile mashups and identify new risks caus...
Florent Batard, Karima Boudaoud, Michel Riveill
ICSM
2006
IEEE
14 years 2 months ago
Software Assurance During Maintenance
Software development, testing, and maintenance tools must yield assurance information in a standardized form. Developers can use this information to argue that the software is ade...
Paul E. Black