Information Security Investment Optimization for Models under Fuzzy Measure Theory

The paper elaborates the fuzzy measure theory based on the approach to information security risk modelling proposing an algorithm for the optimal investment strategy determination.

Bibliographic Details
Main Author: M. V. Timonin
Format: Article
Language:English
Published: Moscow Engineering Physics Institute 2010-03-01
Series:Bezopasnostʹ Informacionnyh Tehnologij
Subjects:
Online Access:https://bit.mephi.ru/index.php/bit/article/view/788
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spelling doaj-97beef82aa34439088d419ae2a93ed1a2020-11-24T22:55:05ZengMoscow Engineering Physics Institute Bezopasnostʹ Informacionnyh Tehnologij2074-71282074-71362010-03-01171109111778Information Security Investment Optimization for Models under Fuzzy Measure TheoryM. V. TimoninThe paper elaborates the fuzzy measure theory based on the approach to information security risk modelling proposing an algorithm for the optimal investment strategy determination.https://bit.mephi.ru/index.php/bit/article/view/788information securityfuzzy measure
collection DOAJ
language English
format Article
sources DOAJ
author M. V. Timonin
spellingShingle M. V. Timonin
Information Security Investment Optimization for Models under Fuzzy Measure Theory
Bezopasnostʹ Informacionnyh Tehnologij
information security
fuzzy measure
author_facet M. V. Timonin
author_sort M. V. Timonin
title Information Security Investment Optimization for Models under Fuzzy Measure Theory
title_short Information Security Investment Optimization for Models under Fuzzy Measure Theory
title_full Information Security Investment Optimization for Models under Fuzzy Measure Theory
title_fullStr Information Security Investment Optimization for Models under Fuzzy Measure Theory
title_full_unstemmed Information Security Investment Optimization for Models under Fuzzy Measure Theory
title_sort information security investment optimization for models under fuzzy measure theory
publisher Moscow Engineering Physics Institute
series Bezopasnostʹ Informacionnyh Tehnologij
issn 2074-7128
2074-7136
publishDate 2010-03-01
description The paper elaborates the fuzzy measure theory based on the approach to information security risk modelling proposing an algorithm for the optimal investment strategy determination.
topic information security
fuzzy measure
url https://bit.mephi.ru/index.php/bit/article/view/788
work_keys_str_mv AT mvtimonin informationsecurityinvestmentoptimizationformodelsunderfuzzymeasuretheory
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