A Fuzzy Approach to Risk Analysis in Information Systems

E. Vicente, A. Jiménez-Martín, A. Mateos
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引用次数: 10

Abstract

Assets are interrelated in risk analysis methodologies for information systems promoted by international standards. This means that an attack on one asset can be propagated through the network and threaten an organization’s most valuable assets. It is necessary to valuate all assets, the direct and indirect asset dependencies, as well as the probability of threats and the resulting asset degradation. These methodologies do not, however, consider uncertain valuations and use precise values on different scales, usually percentages. Linguistic terms are used by the experts to represent assets values, dependencies and frequency and asset degradation associated with possible threats. Computations are based on the trapezoidal fuzzy numbers associated with these linguistic terms.
信息系统风险分析的模糊方法
在国际标准所提倡的信息系统风险分析方法中,资产是相互关联的。这意味着对一项资产的攻击可以通过网络传播,并威胁到组织最宝贵的资产。有必要评估所有资产,直接和间接的资产依赖关系,以及威胁的可能性和由此导致的资产退化。然而,这些方法不考虑不确定的估值,而使用不同尺度上的精确值,通常是百分比。专家使用语言术语来表示与可能的威胁相关的资产价值、依赖关系、频率和资产退化。计算是基于与这些语言术语相关的梯形模糊数。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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