首页> 外文期刊>Reliability Engineering & System Safety >A new reliability measure based on specified minimum distances before the locations of random variables in a finite interval
【24h】

A new reliability measure based on specified minimum distances before the locations of random variables in a finite interval

机译:一种新的可靠性度量,它基于在有限间隔内随机变量位置之前的指定最小距离

获取原文
获取原文并翻译 | 示例
       

摘要

A new reliability measure is proposed and equations are derived which determine the probability of existence of a specified set of minimum gaps between random variables following a homogeneous Poisson process in a finite interval. Using the derived equations, a method is proposed for specifying the upper bound of the random variables' number density which guarantees that the probability of clustering of two or more random variables in a finite interval remains below a maximum acceptable level. It is demonstrated that even for moderate number densities the probability of clustering is substantial and should not be neglected in reliability calculations. In the important special case where the random variables are failure times, models have been proposed for determining the upper bound of the hazard rate which guarantees a set of minimum failure-free operating intervals before the random failures, with a specified probability. A model has also been proposed for determining the upper bound of the hazard rate which guarantees a minimum availability target. Using the models proposed, a new strategy, models and reliability tools have been developed for setting quantitative reliability requirements which consist of determining the intersection of the hazard rate envelopes (hazard rate upper bounds) which deliver a minimum failure-free operating period before random failures, a risk of premature failure below a maximum acceptable level and a minimum required availability. It is demonstrated that setting reliability requirements solely based on an availability target does not necessarily mean a low risk of premature failure. Even at a high availability level, the probability of premature failure can be substantial. For industries characterised by a high cost of failure, the reliability requirements should involve a hazard rate envelope limiting the risk of failure below a maximum acceptable level.
机译:提出了一种新的可靠性测度,并推导了方程式,该方程式确定了在有限区间内按照齐次Poisson过程在随机变量之间存在指定的最小间隙集的可能性。使用推导的方程式,提出了一种用于指定随机变量的数量密度上限的方法,该方法保证了两个或多个随机变量在有限区间内聚类的概率保持在最大可接受水平以下。结果表明,即使对于中等数量的密度,聚类的可能性也是很大的,在可靠性计算中不应忽略。在随机变量为失效时间的重要特殊情况下,已经提出了用于确定危险率上限的模型,该模型以指定的概率保证在随机失效之前有一组最小的无失效运行间隔。还提出了一种用于确定危险率上限的模型,该模型保证了最低可用性目标。使用提出的模型,开发了一种新的策略,模型和可靠性工具,用于设置定量可靠性要求,其中包括确定危险率包络线(危险率上限)的交集,从而在随机故障之前提供最小的无故障运行时间,低于最大可接受水平和所需最低可用性的过早故障风险。已经证明,仅基于可用性目标来设置可靠性要求并不一定意味着较低的过早失效风险。即使在高可用性级别,过早故障的可能性也可能很大。对于以高昂的故障成本为特征的行业,可靠性要求应包括危害率范围,以将故障风险限制在最大可接受水平以下。

著录项

相似文献

  • 外文文献
  • 中文文献
  • 专利
获取原文

客服邮箱:kefu@zhangqiaokeyan.com

京公网安备:11010802029741号 ICP备案号:京ICP备15016152号-6 六维联合信息科技 (北京) 有限公司©版权所有
  • 客服微信

  • 服务号