The majority of the existing seismic risk studies use a deterministic approach to define vulnerability functions, despite the well-recognized large variability in the probability of loss ratio conditional on ground-shaking intensities. This study explored a statistical framework to simulate this variability, considering the existing correlation between assets separated by a given distance. The impact that these vulnerability modeling approaches may have in probabilistic seismic risk assessment is evaluated considering three fictitious building portfolios with distinct characteristics. To this end, loss exceedance curves and average annualized losses are compared, and recommendations are drawn regarding the optimal vulnerability modeling approach.
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Research Article|
November 01, 2019
Uncertainty and Correlation in Seismic Vulnerability Functions of Building Classes
Vitor Silva, M. EERI
a
Global Earthquake Model Foundation, Via Ferrata 1, 27100 Pavia, Italy;[email protected] (V. S.)
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[email protected] (V. S.)
Publisher: Earthquake Engineering Research Institute
Received:
30 Jan 2018
Accepted:
08 Mar 2019
First Online:
08 Jun 2020
Online ISSN: 1944-8201
Print ISSN: 8755-2930
© 2019 Earthquake Engineering Research Institute
Earthquake Engineering Research Institute
Earthquake Spectra (2019) 35 (4): 1515–1539.
Article history
Received:
30 Jan 2018
Accepted:
08 Mar 2019
First Online:
08 Jun 2020
Citation
Vitor Silva; Uncertainty and Correlation in Seismic Vulnerability Functions of Building Classes. Earthquake Spectra 2019;; 35 (4): 1515–1539. doi: https://doi.org/10.1193/013018EQS031M
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