Propagation and Delegation of Rights in Access Controls and Risk Assessment Techniques

Author(s):  
Saravanan Muthaiyah

Access control methods have been improvised over time, but one area that remains quite grey is the concept of assessing risk levels before any type of access rights are granted. This is relatively a new paradigm in the research of semantic Web security, and new methodologies for this effort are being studied. In this chapter, we will see how qualitative risk assessment (Nissanke & Khayat, 2004) and quantitative risk assessment are carried out. The purpose is to have different methods of assessment for better grant of access control rights and permissions. New examples based on the model described (Nissanke & Khayat, 2004) are used to illustrate the concept. A new quantities technique is also added to complement the qualitative techniques.

1998 ◽  
Vol 61 (8) ◽  
pp. 1075-1086 ◽  
Author(s):  

One of the components of the General Agreement on Tariffs and Trade Sanitary and Phytosanitary agreement that will have far-reaching effects on International trade in foods and food products is the requirement for countries to provide risk assessments as part of the process of resolving disputes that involve food safety issues. Risk assessment is a means of evaluating the likelihood and impact of hazards. It provides a framework for systematically considering available data, providing rationales for assumptions, and identifying areas where additional information is needed. While the application of quantitative risk assessment techniques to microbial food safety has been limited, recent studies have increasingly demonstrated its feasibility. Quantitative risk assessment is particularly well suited for use with the hazard analysis critical control point and appears to have potential as an approach for comparing the equivalence of international food safety programs and inspection systems.


Symmetry ◽  
2018 ◽  
Vol 10 (11) ◽  
pp. 599 ◽  
Author(s):  
Huafeng Zhang ◽  
Quanxin Sun

Railway special line shunting safety is a complicated systemic topic, which is full of uncertainty and dynamic; safety is determined by numerous aspects, including human, management, environmental, and equipment factors. Many railway risk assessment techniques currently used are comparatively mature tools. However, in many circumstances, the application of these tools gives unsatisfactory results because the risk data are incomplete or involve high levels of uncertainty. Because risk assessment technology has its own applicability that it may not suitable for the three sub-processes of risk assessment, it is difficult to obtain ideal effects by using a single tool in the risk assessment process. This paper presents an integrated approach for conducting special-line shunting risk assessment, using fishbone diagram analysis, fuzzy reasoning approaches, and a fuzzy analytical hierarchy tool, which can evaluate both qualitative and quantitative risk data efficiently and effectively. The outcomes of risk assessment are represented as risk degrees and risk levels, providing railway safety risk managers and engineers with tools to improve their safety management standards. A case study is used to demonstrate the proposed methodology. The results reveal that the proposed model can effectively and efficiently assess risks associated with a special-line shunting system, yielding more reliable and realistic solutions.


Water ◽  
2022 ◽  
Vol 14 (2) ◽  
pp. 219
Author(s):  
Jongsung Kim ◽  
Donghyun Kim ◽  
Myungjin Lee ◽  
Heechan Han ◽  
Hung Soo Kim

For risk assessment, two methods, quantitative risk assessment and qualitative risk assessment, are used. In this study, we identified the regional risk level for a disaster-prevention plan for an overall area at the national level using qualitative risk assessment. To overcome the limitations of previous studies, a heavy rain damage risk index (HDRI) was proposed by clarifying the framework and using the indicator selection principle. Using historical damage data, we also carried out hierarchical cluster analysis to identify the major damage types that were not considered in previous risk-assessment studies. The result of the risk-level analysis revealed that risk levels are relatively high in some cities in South Korea where heavy rain damage occurs frequently or is severe. Five causes of damage were derived from this study—A: landslides, B: river inundation, C: poor drainage in arable areas, D: rapid water velocity, and E: inundation in urban lowlands. Finally, a prevention project was proposed considering regional risk level and damage type in this study. Our results can be used when macroscopically planning mid- to long-term disaster prevention projects.


1997 ◽  
Vol 60 (11) ◽  
pp. 1417-1419 ◽  
Author(s):  
ROBERT L. BUCHANAN

The National Advisory Committee on Microbiological Criteria for Foods has been developing a concise document that provides key definitions and principles related to the application of quantitative risk assessment techniques to illnesses caused by foodborne biological agents. Key components of the document are outlined, and its status is reported.


2019 ◽  
Vol 59 (2) ◽  
pp. 549
Author(s):  
Colin Crowley ◽  
Dave Ashton

As technology advances and field development possibilities grow, the need for earlier guidance on the safety performance of concept designs is greater than ever. The SNC-Lavalin concept risk assessment (CRA) tool is a transparent and rapidly deployable model that is based on sound, industry-accepted quantitative risk assessment (QRA) principles. From the earliest stages of field development, when conceptualisation may be vague and data sparse, a wide range and variety of design options can still be assessed effectively and ranked on their safety performance. The CRA tool is proprietary software initially developed with BP and Shell. The model was first calibrated against 10 detailed QRAs, but is regularly benchmarked and updated with the most current failure rate data and has been used on nearly 50 projects globally. The database now incorporates established rule sets from hundreds of detailed QRAs performed, including floating liquefied natural gas and floating storage regasification units. This paper presents a CRA case study for a generic remote offshore field with a range of development options from conventional to minimal offshore facilities. The model calculates the associated risks for the options considered and is presented in terms of individual risk per annum, temporary refuge impairment frequency and potential loss of life. The results highlight the effects of each individual design feature on risk levels by comparison of similar options side by side, noting the main risk contributors and allowing investigation of the benefits of risk reduction measures. This enables identification of the best design features from each of the options and allows an optimised design to be carried forward.


2007 ◽  
Vol 20-21 ◽  
pp. 193-196 ◽  
Author(s):  
Katalin Gruiz ◽  
E. Vaszita ◽  
Z. Siki

A three tiered, iterative Environmental Risk Assessment methodology, including preliminary Qualitative Risk Assessment, Quantitative Hazard Assessment and Site Specific Quantitative Risk Assessment, was established to assess the environmental risk of point and diffuse pollution of mining origin at catchment scale [1]. The model site was an abandoned Pb and Zn sulphide ore mine in Gyöngyösoroszi, Toka-valley, NE Hungary [2]. The Integrated Risk Model considers the sources identified by the GIS-based (Geographical Information System) pollution map, the transport routes shown by the GIS-based flow accumulation model and the receptors of different land uses in the catchment. The site-specific quantitative risk was characterised by the Soil Testing Triad [3]. The three elements of the Triad are: physico-chemical analyses of the soil and the contaminants, the biological characterisation and ecotoxicity testing of the contaminated soil, measuring the response of single species in laboratory bioassays, the natural response of the soil microflora and plants or the dynamic response of the whole soil in microcosms. The Triad approach strongly supports the characterisation of the site specific risk as well as the selection and planning of the suitable remediation option.


2004 ◽  
Vol 23 (12) ◽  
pp. 579-600 ◽  
Author(s):  
Paolo F Ricci ◽  
Louis A Cox ◽  
Thomas R MacDonald

Fundamental principles of precaution are legal maxims that ask for preventive actions, perhaps as contingent interim measures while relevant information about causality and harm remains unavailable, to minimize the societal impact of potentially severe or irreversible outcomes. Such principles do not explain how to make choices or how to identify what is protective when incomplete and inconsistent scientific evidence of causation characterizes the potential hazards. Rather, they entrust lower jurisdictions, such as agencies or authorities, to make current decisions while recognizing that future information can contradict the scientific basis that supported the initial decision. After reviewing and synthesizing national and international legal aspects of precautionary principles, this paper addresses the key question: How can society manage potentially severe, irreversible or serious environmental outcomes when variability, uncertainty, and limited causal knowledge characterize their decisionmaking? A decision Rational choice of an action from among various alternatives-requires accounting for costs, benefits and the change in risks associated with each candidate action. Decisions under any form of the precautionary principle reviewed must account for the contingent nature of scientific information, creating a link to the decision/response models to the current set of regulatory defaults such as the linear, non-threshold models. This increase in the number of defaults is an important improvement because most of the variants of the precautionary principle require cost-defined as a choice that makes preferred consequences more likely-analytic principle of expected value of information (VOI), to show the relevance of new information, relative to the initial (and smaller) set of data on which the decision was based. We exemplify this seemingly simple situation using risk management of BSE. As an integral aspect of causal analysis under risk, the methods developed in this paper permit the addition of non-linear, hormetic dose-analytic solution is outlined that focuses on risky decisions and accounts for prior states of information and scientific beliefs that can be updated as subsequent information becomes available. As a practical and established approach to causal reasoning and decision-making under risk, inherent to precautionary decision-making, these (Bayesian) methods help decision-makers and stakeholders because they formally account for probabilistic outcomes, new information, and are consistent and replicable. benefit balancing. Specifically, increasing the set of causal defaults accounts for beneficial effects at very low doses. We also show and conclude that quantitative risk assessment dominates qualitative risk assessment, supporting the extension of the set of default causal models.


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