• Title/Summary/Keyword: 최우추정법

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Temporal and Spatial correlation of Meteorological Data in Sumjin River and Yongsan River Basins (섬진강 및 영산강 유역 기상자료의 시.공간적 상관성)

  • 김기성
    • Magazine of the Korean Society of Agricultural Engineers
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    • v.41 no.6
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    • pp.44-53
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    • 1999
  • The statistical characteristics of the factors related to the daily rainfall prediction model are analyzed . Records of daily precipitation, mean air temperature, relative humidity , dew-point temperature and air pressure from 1973∼1998 at 8 meteorological sttions in south-western part of Korea were used. 1. Serial correlatino of daily precipitaiton was significant with the lag less than 1 day. But , that of other variables were large enough until 10 day lag. 2. Crosscorrelation of air temperature, relative humidity , dew-point temperature showed similar distribution wiht the basin contrours and the others were different. 3. There were significant correlation between the meteorological variables and precipitation preceded more than 2 days. 4. Daily preciption of each station were treated as a truncated continuous random variable and the annual periodic components, mean and standard deviation were estimated for each day. 5. All of the results could be considered to select the input variables of regression model or neural network model for the prediction of daily precipitation and to construct the stochastic model of daily precipitation.

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The Comparative Software Reliability Model of Fault Detection Rate Based on S-shaped Model (S-분포형 결함 발생률을 고려한 NHPP 소프트웨어 신뢰성 모형에 관한 비교 연구)

  • Kim, Hee Cheul;Kim, Kyung-Soo
    • Convergence Security Journal
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    • v.13 no.1
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    • pp.3-10
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    • 2013
  • In this paper, reliability software model considering fault detection rate based on observations from the process of software product testing was studied. Adding new fault probability using the S-shaped distribution model that is widely used in the field of reliability problems presented. When correcting or modifying the software, finite failure non-homogeneous Poisson process model was used. In a software failure data analysis considering the time-dependent fault detection rate, the parameters estimation using maximum likelihood estimation of failure time data and reliability make out.

Zero-Inflated Poisson Model with a Change-point (변화시점이 있는 영과잉-포아송모형)

  • Kim, Kyung-Moo
    • Journal of the Korean Data and Information Science Society
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    • v.9 no.1
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    • pp.1-9
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    • 1998
  • In case of Zero-Inflated Poisson model with a change-point, likelihood ratio test statistic was used for testing hypothesis for a change-point. A change-point and several interesting parameters were estimated by using the method of moments and maximum likelihood. In order to compare the estimators, empirical mean-square-error was used. Real data for the Zero-Inflated Poisson model with a change-point and Poisson model without a change-point were examined.

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The Comparative Study of Software Optimal Release Time Based on Log property Distribution (로그형 특성분포에 근거한 소프트웨어 최적 방출시기에 관한 비교 연구)

  • Kim, Hee-Cheul;Park, Hyoung-Keun
    • Proceedings of the KAIS Fall Conference
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    • 2010.05a
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    • pp.149-152
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    • 2010
  • 본 연구에서는 소프트웨어 제품을 개발하여 테스팅을 거친 후 사용자에게 인도하는 시기를 결정하는 방출문제에 대하여 연구되었다. 인도시기에 관한 모형은 무한 고장 수에 의존하는 비동질적인 포아송 과정을 적용하였다. 이러한 포아송 과정은 소프트웨어의 결함을 제거하거나 수정 작업 중에도 새로운 결함이 발생될 가능성을 반영하는 모형이다. 적용모형은 여러 수명 분포들을 적합시키는데 효율적인 특성을 가진 콤페르쯔, 파레토, 로그-로지스틱 모형과 같은 로그형 특성분포를 이용하였다. 따라서 소프트웨어 요구 신뢰도를 만족시키고 소프트웨어 개발 및 유지 총비용을 최소화 시키는 방출시간이 최적 소프트웨어 방출 정책이 된다. 본 논문의 수치적인 예에서는 고장 간격 시간 자료를 적용하고 모수추정 방법은 최우추정법을 이용하여 최적 방출시기를 추정하였다.

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A Study on the Estimation of Optimal Probability Distribution Function for Seafarers' Behavior Error (선원 행동오류에 대한 최적 확률분포함수 추정에 관한 연구)

  • Park, Deuk-Jin;Yang, Hyeong-Seon;Yim, Jeong-Bin
    • Journal of Navigation and Port Research
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    • v.43 no.1
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    • pp.1-8
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    • 2019
  • Identifying behavioral errors of seafarers that have led to marine accidents is a basis for research into prevention or mitigation of marine accidents. The purpose of this study is to estimate the optimal probability distribution function needed to model behavioral errors of crew members into three behaviors (i.e., Skill-, Rule-, Knowledge-based). Through use of behavioral data obtained from previous accidents, we estimated the optimal probability distribution function for the three behavioral errors and verified the significance between the probability values derived from the probability distribution function. Maximum Likelihood Estimation (MLE) was applied to the probability distribution function estimation and variance analysis (ANOVA) used for the significance test. The obtained experimental results show that the probability distribution function with the smallest error can be estimated for each of the three behavioral errors for eight types of marine accidents. The statistical significance of the three behavioral errors for eight types of marine accidents calculated using the probability distribution function was observed. In addition, behavioral errors were also found to significantly affect marine accidents. The results of this study can be applied to predicting marine accidents caused by behavioral errors.

Estimation of VMS Traffic Information Value Using Contingent Valuation Method (조건부 가치측정법을 활용한 VMS 교통정보 가치 추정)

  • Choi, Jung Yoon;Yu, Jeong Whon
    • The Journal of The Korea Institute of Intelligent Transport Systems
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    • v.12 no.3
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    • pp.42-52
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    • 2013
  • In this study, value of VMS (Variable Message Sign) traffic information is estimated by using CVM (Contingent Valuation Method), which is developed to quantify the value of non-marketable goods in environmental economics. CVM is used to estimate the value of goods provided by a project under consideration and then the project feasibility can be indirectly examined on the basis of the estimated value. This study focuses on estimating to estimate value of traffic information provided through VMS, a part of the transportation system enhancement project by Korea Expressway Corporation which is aimed at mitigating traffic problems on expressways. In particular, this study analyzes value of information separately by trip purpose, information type, and traffic flow condition. A state preference survey was designed to estimate the value of non-marketable traffic information. To maximize reliability of the survey results, a pilot survey was taken before the main survey. The open-ended question method was adopted in capturing users' willingness-to-pay. Both Tobit and binary Probit models were applied in estimating the value of VMS traffic information and their parameters were estimated using the maximum likelihood estimation. The estimation results suggests that the value of traffic information perceived by users is 518.28 KRW.

Estimation of Empirical Fatigue Crack Propagation Model of AZ31 Magnesium Alloys under Different Maximum Loads (최대하중 조건에 따른 AZ31 마그네슘합금의 실험적 피로균열전파모델 평가)

  • Choi, Seon-Soon
    • Journal of the Korea Academia-Industrial cooperation Society
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    • v.13 no.2
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    • pp.522-528
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    • 2012
  • It is the aim of this paper to propose the empirical fatigue crack propagation model fit to describe a crack growth behavior of AZ31 magnesium alloys. The statistical data of a crack growth for an estimation are obtained by fatigue crack propagation tests under the three cases of maximum load. The empirical models estimated are Paris-Erdogan model, Walker model, Forman model, and modified-Forman model. It is found that the empirical model fit to describe a crack growth behavior of AZ31 magnesium alloys is Paris-Erdogan model and Walker model. It is also verified that a fatigue crack growth rate exponent of a empirical model is to be a material constant.

A Study for Forecasting Methods of ARMA-GARCH Model Using MCMC Approach (MCMC 방법을 이용한 ARMA-GARCH 모형에서의 예측 방법 연구)

  • Chae, Wha-Yeon;Choi, Bo-Seung;Kim, Kee-Whan;Park, You-Sung
    • The Korean Journal of Applied Statistics
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    • v.24 no.2
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    • pp.293-305
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    • 2011
  • The volatility is one of most important parameters in the areas of pricing of financial derivatives an measuring risks arising from a sudden change of economic circumstance. We propose a Bayesian approach to estimate the volatility varying with time under a linear model with ARMA(p, q)-GARCH(r, s) errors. This Bayesian estimate of the volatility is compared with the ML estimate. We also present the probability of existence of the unit root in the GARCH model.

Parameter Estimation and Prediction methods for Hyper-Geometric Distribution software Reliability Growth Model (초기하분포 소프트웨어 신뢰성 성장 모델에서의 모수 추정과 예측 방법)

  • Park, Joong-Yang;Yoo, Chang-Yeul;Lee, Bu-Kwon
    • The Transactions of the Korea Information Processing Society
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    • v.5 no.9
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    • pp.2345-2352
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    • 1998
  • The hyper-geometric distribution software reliability growth model was recently developed and successfully applied Due to mathematical difficultv of the maximum likclihmd method, the least squares method has hem suggested for parameter estimation by the previous studies. We first summarize and compare the minimization criteria adopted by the previous studies. It is theo shown that the weighted least squares method is more appropriate hecause of the nonhomogeneous variability of the number of newly detected faults. The adequacy of the weighted least squares method is illustrated by two numerical examples. Finally, we propose a new method fur predicting the number of faults newly discovered by next test instances. The new prediction method can be used for determining the time to stop testing.

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The Comparative Study for ENHPP Software Reliability Growth Model based on Modified Coverage Function (변형 커버리지 함수를 고려한 ENHPP 소프트웨어 신뢰성장 모형에 관한 비교 연구)

  • Kim, Hee-Cheul;Kim, Pyong-Koo
    • Journal of the Korea Society of Computer and Information
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    • v.12 no.6
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    • pp.89-96
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    • 2007
  • Finite failure NHPP models presented in the literature exhibit either constant. monotonic increasing or monotonic decreasing failure occurrence rates per fault. Accurate predictions of software release times. and estimation of the reliability and availability of a software product require quality of a critical element of the software testing process : test coverage. This model called Enhanced non-homogeneous Poission process(ENHPP). In this paper, exponential coverage and S-type model was reviewed, proposes modified(the superosition and mixture) model, which make out efficiency application for software reliability. Algorithm to estimate the parameters used to maximum likelihood estimator and bisection method. model selection based on SSE statistics for the sake of efficient model, was employed.

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