

Methods of Oil Spill Risk Management Strategy Development
https://doi.org/10.18412/1816-0395-2016-7-42-45
Abstract
The article is devoted to methods of oil company strategy development in the sphere of emergency oil spill risk management. The author pays great attention to the importance of development of reasonable oil spill risk management strategy. Review and examination of existing oil spill risk analysis and assessment methods is carried out. Approach to risk scenario modeling is considered. Method of risk cost calculation is presented. Residual risk assessment and compensation method is under consideration in the article.
About the Authors
V.S. KharchenkoRussian Federation
Postgraduate Student
E.Yu. Dorokhina
Russian Federation
Dr. Sci. (Eng.), Professor
References
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2. Харченко В.С. Имитационное моделирование рисковых затрат нефтяной компании // Экология и промышленность России. 2014. Октябрь. С.52-56.
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4. Методическое руководство по оценке степени риска аварий на магистральных нефтепроводах. Руководящий документ. НТЦ «Промышленная безопасность» Госгортехнадзора России, 2-е изд., Москва, 2002.
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6. U.S. Department of the Interior. Bureau of Ocean Energy Management. 2011. Economic Analysis Methodology for the 5-Year OCS Oil and Gas Leasing Program for 2012-2017. BOEM OCS Study 2011-050.
Review
For citations:
Kharchenko V., Dorokhina E. Methods of Oil Spill Risk Management Strategy Development. Ecology and Industry of Russia. 2016;20(7):42-45. (In Russ.) https://doi.org/10.18412/1816-0395-2016-7-42-45