• Title/Summary/Keyword: 혼합 와이블

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Development and sensitivity analysis of weibull acceptance sampling plans under hybrid censoring (혼합 관측중단하에서 와이블 수명분포에 대한 신뢰도 합격판정 샘플링 계획의 개발)

  • 변은신;염봉진
    • Proceedings of the Korean Operations and Management Science Society Conference
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    • 1996.04a
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    • pp.256-259
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    • 1996
  • 수명시험에서는 시험기간을 단축하기 위해 중도절단(consoring) 방법을 사용한다. 혼합 관측중단방법은 정시에 시험을 끝낼 수 있으며 고장시간을 관찰할 필요가 없다는 장점 때문에 널리 사용되고 있다. 본 논문에서는 제품의 수명이 와이블 분포를 따르고 형상모수를 알고 있다는 가정아래, 혼합 관측중단하에서 생산자 위험과 소비자 위험을 고려한 신뢰도 합격판정 샘플링 계획을 개발하였다. 아울러, 형상모수값에 개재된 불확실성이 실제 생산자 위험과 소비자 위험, 그리고 의사결정까지의 평균 고장개수에 미치는 영향을 민감도 분석을 통해 파악하였다.

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보증기간이 있는 시스템의 교체정책

  • 정기문;권영섭
    • Proceedings of the Korean Statistical Society Conference
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    • 2001.11a
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    • pp.125-130
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    • 2001
  • 본 논문에서는 혼합보증기간이 있는 수리 가능한 시스템에 대한 최적의 교체정책을 제안한다. 이 교체정책은 보증기간이 재생되는 경우와 재생되지 않는 두 가지 경우에 대해서 고려되며, 최적의 교체주기를 결정하기 위해서 사용자 관점에서의 단위 시간당 기대비용을 사용한다. 시스템의 고장시간이 와이블 분포를 할 때 수치적 예를 통해서 제안된 최적의 교체정책을 설명한다.

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Reliability Analysis of Mechanical Component with Multiple Failure Modes (다수의 고장모드를 가지는 기계부품의 신뢰성 분석)

  • Chang, Mu Seong;Choi, Byung Oh;Kang, Bo Sik;Park, Jong Won;Lee, Choong Sung
    • Transactions of the Korean Society of Mechanical Engineers A
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    • v.37 no.9
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    • pp.1169-1174
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    • 2013
  • Most products are indeed governed by multiple failure modes. However, there are few cases in which reliability analysis applies to only one failure mode at a time. Furthermore, reliability data do not include information about failure modes, or the reliability analysis is performed using a representative failure mode. The Weibull shape parameter for failure modes is more important than one for products in the reliability qualification test. This paper presents reliability analysis methods for a mechanical component with multiple failure modes. These methods include the competing failure modes (CFM) method and the mixed Weibull method. Pneumatic cylinder test data with three failure modes are presented to estimate the shape parameter for each separate failure mode. In addition, reliability measures (B10 life, characteristic life) of the pneumatic cylinder considering three failure modes were compared with those assuming a single failure mode.

Optimal Replacement Policy for a Repairable System with Combination Warranty (혼합보증이 있는 수리 가능한 시스템에 대한 최적의 교체정책)

  • 정기문
    • The Korean Journal of Applied Statistics
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    • v.15 no.1
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    • pp.107-117
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    • 2002
  • In this paper we present the optimal replacement policies following the expiration of combination warranty. We consider two types of combination warranty policies: renewing warranty and non-renewing warranty. The criterion used to determine the optimal replacement period is the expected cost rate per unit time from the user'perspective. The optimal maintenance period following the expiration of combination warranty is obtained. Some numerical examples are presented for illustrative purpose.

A Study on Optimal Release Time for Software Systems based on Mixture Weibull NHPP Model (혼합 와이블 NHPP 모형에 근거한 소프트웨어 최적방출시기에 관한 연구)

  • Lee, Sang Sik;Kim, Hee Cheul
    • Journal of Korea Society of Digital Industry and Information Management
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    • v.6 no.2
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    • pp.183-191
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    • 2010
  • Decision problem called an optimal release policies, after testing a software system in development phase and transfer it to the user, is studied. The applied model of release time exploited infinite non-homogeneous Poisson process. This infinite non-homogeneous Poisson process is a model which reflects the possibility of introducing new faults when correcting or modifying the software. The failure life-cycle distribution used mixture which has various intensity, if the system is complicated. Thus, software release policies which minimize a total average software cost of development and maintenance under the constraint of satisfying a software reliability requirement becomes an optimal release policies. In a numerical example, after trend test applied and estimated the parameters using maximum likelihood estimation of inter-failure time data, estimated software optimal release time.

Optimal Thresholds from Non-Normal Mixture (비정규 혼합분포에서의 최적분류점)

  • Hong, Chong-Sun;Joo, Jae-Seon
    • The Korean Journal of Applied Statistics
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    • v.23 no.5
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    • pp.943-953
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    • 2010
  • From a mixture distribution of the score random variable for credit evaluation, there are many methods of estimating optimal thresholds. Most the research news is based on the assumption of normal distributions. In this paper, we extend non-normal distributions such as Weibull, Logistic and Gamma distributions to estimate an optimal threshold by using a hypotheses test method and other methods maximizing the total accuracy and the true rate. The type I and II errors are obtained and compared with their sums. Finally we discuss their e ciency and derive conclusions for non-normal distributions.

Statistical frequency analysis of snow depth using mixed distributions (혼합분포함수를 적용한 최심신적설량에 대한 수문통계학적 빈도분석)

  • Park, Kyung Woon;Kim, Dongwook;Shin, Ji Yae;Kim, Tae-Woong
    • Journal of Korea Water Resources Association
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    • v.52 no.12
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    • pp.1001-1009
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    • 2019
  • Due to recent increasing heavy snow in Korea, the damage caused by heavy snow is also increasing. In Korea, there are many efforts including establishing disaster prevention measures to reduce the damage throughout the country, but it is difficult to establish the design criteria due to the characteristics of heavy snow. In this study, snowfall frequency analysis was performed to estimate design snow depths using observed snow depth data at Jinju, Changwon and Hapcheon stations. The conventional frequency analysis is sometime limted to apply to the snow depth data containing zero values which produce unrealistc estimates of distributon parameters. To overcome this problem, this study employed mixed distributions based on Lognormal, Generalized Pareto (GP), Generalized Extreme Value (GEV), Gamma, Gumbel and Weibull distribution. The results show that the mixed distributions produced smaller design snow depths than single distributions, which indicated that the mixed distributions are applicable and practical to estimate design snow depths.

Wind energy assessment at complex terrain using mixture probability distribution (혼합확률분포를 이용한 복잡지형의 풍력자원 평가)

  • Song, Ho-Sung;Kwon, Soon-Duck
    • Journal of the Korean Solar Energy Society
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    • v.33 no.2
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    • pp.18-27
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    • 2013
  • This paper presents a method for assessing the wind energy potential at complex terrain using probability distribution. And the proper probability models of the parameters estimating the wind energy are presented. Finally a mixture-Weibull determined by numerical methods procedure are proposed to assess the probability distribution of the energy potential at a site. The developed method is applied to the Kwanjungchun Bridge and compared with wind records which the neighboring weather station.

Failure Rate Calculation using the Mixture Weibull Distribution (혼합 와이블 분포를 이용한 고장률 산출 기법에 관한 연구)

  • Chai, Hui-seok;Shin, Joong-woo;Lim, Tae-jin;Kim, Jae-chul
    • The Transactions of The Korean Institute of Electrical Engineers
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    • v.66 no.3
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    • pp.500-506
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    • 2017
  • In 2014, ISO 55000s has been enacted and the power plant asset management is becoming a hot issue for all over the world. The asset management system is being developed as a combination of CBM(Condition Based Maintenance) and RCM(Reliability Centered Maintenance). Therefore, the research on the calculation of the failure rate which is the most basic index of RCM is actively carried out. The failure rate calculation has been going on for a long time, and the most widely used probability distribution is the Weibull distribution. In the Weibull distribution, the failure rate function is determined in three types according to the value of the shape parameter. However, the Weibull distribution has a limitation that it is difficult to apply it when the trend of failure rate changes-such as bathtub curves. In this paper, the failure rate is calculated using the mixture Weibull distribution which can appropriately express the change of the shape of the failure rate. Based on these results, we propose the necessity and validity of applying mixture Weibull distribution.

Maintenance Policy Based on Cost and Downtime Following the Expiration of Combination Warranty (혼합보증이 종료된 이후의 비용과 비가동시간에 근거한 보전정책)

  • Jung, Ki-Mun
    • Communications for Statistical Applications and Methods
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    • v.15 no.6
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    • pp.909-923
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    • 2008
  • This paper considers the replacement model and the preventive maintenance model following the expiration of combination warranty for a repairable system. If the system fails after the combination warranty is expired, then it is minimally repaired at each failure. The criterion used to determine the optimal replacement policy and the optimal preventive maintenance policy is the overall value function based on the expected cost rate per unit time and the expected downtime per unit time. The numerical examples are presented for illustrative purpose when the failure time follows a Weibull distribution.