期刊文献+
共找到66篇文章
< 1 2 4 >
每页显示 20 50 100
Low-Carbon Dispatch of an Integrated Energy System Considering Confidence Intervals for Renewable Energy Generation
1
作者 Yan Shi Wenjie Li +2 位作者 Gongbo Fan Luxi Zhang Fengjiu Yang 《Energy Engineering》 EI 2024年第2期461-482,共22页
Addressing the insufficiency in down-regulation leeway within integrated energy systems stemming from the erratic and volatile nature of wind and solar renewable energy generation,this study focuses on formulating a c... Addressing the insufficiency in down-regulation leeway within integrated energy systems stemming from the erratic and volatile nature of wind and solar renewable energy generation,this study focuses on formulating a coordinated strategy involving the carbon capture unit of the integrated energy system and the resources on the load storage side.A scheduling model is devised that takes into account the confidence interval associated with renewable energy generation,with the overarching goal of optimizing the system for low-carbon operation.To begin with,an in-depth analysis is conducted on the temporal energy-shifting attributes and the low-carbon modulation mechanisms exhibited by the source-side carbon capture power plant within the context of integrated and adaptable operational paradigms.Drawing from this analysis,a model is devised to represent the adjustable resources on the charge-storage side,predicated on the principles of electro-thermal coupling within the energy system.Subsequently,the dissimilarities in the confidence intervals of renewable energy generation are considered,leading to the proposition of a flexible upper threshold for the confidence interval.Building on this,a low-carbon dispatch model is established for the integrated energy system,factoring in the margin allowed by the adjustable resources.In the final phase,a simulation is performed on a regional electric heating integrated energy system.This simulation seeks to assess the impact of source-load-storage coordination on the system’s low-carbon operation across various scenarios of reduction margin reserves.The findings underscore that the proactive scheduling model incorporating confidence interval considerations for reduction margin reserves effectively mitigates the uncertainties tied to renewable energy generation.Through harmonized orchestration of source,load,and storage elements,it expands the utilization scope for renewable energy,safeguards the economic efficiency of system operations under low-carbon emission conditions,and empirically validates the soundness and efficacy of the proposed approach. 展开更多
关键词 Integrated energy system carbon capture power plant confidence interval optimized scheduling
下载PDF
Confidence Intervals for Relative Intensity of Collaboration(RIC)Indicators
2
作者 Joel Emanuel Fuchs Lawrence Smolinsky Ronald Rousseau 《Journal of Data and Information Science》 CSCD 2022年第4期5-15,共11页
Purpose:We aim to extend our investigations related to the Relative Intensity of Collaboration(RIC)indicator,by constructing a confidence interval for the obtained values.Design/methodology/approach:We use Mantel-Haen... Purpose:We aim to extend our investigations related to the Relative Intensity of Collaboration(RIC)indicator,by constructing a confidence interval for the obtained values.Design/methodology/approach:We use Mantel-Haenszel statistics as applied recently by Smolinsky,Klingenberg,and Marx.Findings:We obtain confidence intervals for the RIC indicatorResearch limitations:It is not obvious that data obtained from the Web of Science(or any other database)can be considered a random sample.Practical implications:We explain how to calculate confidence intervals.Bibliometric indicators are more often than not presented as precise values instead of an approximation depending on the database and the time of measurement.Our approach presents a suggestion to solve this problem.Originality/value:Our approach combines the statistics of binary categorical data and bibliometric studies of collaboration. 展开更多
关键词 Contingency tables confidence intervals Relative intensity of collaboration(RIC) Mantel-Haenszel statistics Science of science
下载PDF
Semi-empiricial Likelihood Confidence Intervals for the Differences of Two Populations Based on Fractional Imputation
3
作者 BAI YUN-XIA QIN YONG-SONG +1 位作者 WANG LI-RONG LI LING 《Communications in Mathematical Research》 CSCD 2009年第2期123-136,共14页
Suppose that there are two populations x and y with missing data on both of them, where x has a distribution function F(·) which is unknown and y has a distribution function Gθ(·) with a probability den... Suppose that there are two populations x and y with missing data on both of them, where x has a distribution function F(·) which is unknown and y has a distribution function Gθ(·) with a probability density function gθ(·) with known form depending on some unknown parameter θ. Fractional imputation is used to fill in missing data. The asymptotic distributions of the semi-empirical likelihood ration statistic are obtained under some mild conditions. Then, empirical likelihood confidence intervals on the differences of x and y are constructed. 展开更多
关键词 empirical likelihood confidence intervals fractional imputation missingdata
下载PDF
Computing Confidence Intervals for the Postal Service’s Cost-Elasticity Estimates
4
作者 Bzhilyanskaya Y. Lyudmila Margaret M. Cigno Soiliou D. Namoro 《Open Journal of Statistics》 2021年第5期607-619,共13页
This paper provides methods for assessing the precision of cost elasticity estimates when the underlying regression function is assumed to be polynomial. Specifically, the paper adapts two well-known methods for compu... This paper provides methods for assessing the precision of cost elasticity estimates when the underlying regression function is assumed to be polynomial. Specifically, the paper adapts two well-known methods for computing confidential intervals for ratios: the delta-method and the Fieller method. We show that performing the estimation with mean-centered explanatory variables provides a straightforward way to estimate the elasticity and compute a confidence interval for it. A theoretical discussion of the proposed methods is provided, as well as an empirical example based on publicly available postal data. Possible areas of application include postal service providers worldwide, transportation and electricity. 展开更多
关键词 Volume Variability confidence Interval Ratio Parameter Delta Method Fieller Method
下载PDF
Confidence Intervals for the Binomial Proportion: A Comparison of Four Methods
5
作者 Luke Akong’o Orawo 《Open Journal of Statistics》 2021年第5期806-816,共11页
This paper presents four methods of constructing the confidence interval for the proportion <i><span style="font-family:Verdana;">p</span></i><span style="font-family:;" ... This paper presents four methods of constructing the confidence interval for the proportion <i><span style="font-family:Verdana;">p</span></i><span style="font-family:;" "=""><span style="font-family:Verdana;"> of the binomial distribution. Evidence in the literature indicates the standard Wald confidence interval for the binomial proportion is inaccurate, especially for extreme values of </span><i><span style="font-family:Verdana;">p</span></i><span style="font-family:Verdana;">. Even for moderately large sample sizes, the coverage probabilities of the Wald confidence interval prove to be erratic for extreme values of </span><i><span style="font-family:Verdana;">p</span></i><span style="font-family:Verdana;">. Three alternative confidence intervals, namely, Wilson confidence interval, Clopper-Pearson interval, and likelihood interval</span></span><span style="font-family:Verdana;">,</span><span style="font-family:Verdana;"> are compared to the Wald confidence interval on the basis of coverage probability and expected length by means of simulation.</span> 展开更多
关键词 Binomial Distribution confidence Interval Coverage Probability Expected Length Relative Likelihood Function
下载PDF
DEA Scores’ Confidence Intervals with Past-Present and Past-Present-Future Based Resampling
6
作者 Kaoru Tone Jamal Ouenniche 《American Journal of Operations Research》 2016年第2期121-135,共15页
In data envelopment analysis (DEA), input and output values are subject to change for several reasons. Such variations differ in their input/output items and their decision-making units (DMUs). Hence, DEA efficiency s... In data envelopment analysis (DEA), input and output values are subject to change for several reasons. Such variations differ in their input/output items and their decision-making units (DMUs). Hence, DEA efficiency scores need to be examined by considering these factors. In this paper, we propose new resampling models based on these variations for gauging the confidence intervals of DEA scores. The first model utilizes past-present data for estimating data variations imposing chronological order weights which are supplied by Lucas series (a variant of Fibonacci series). The second model deals with future prospects. This model aims at forecasting the future efficiency score and its confidence interval for each DMU. We applied our models to a dataset composed of Japanese municipal hospitals. 展开更多
关键词 Data Variation RESAMPLING confidence Interval Past-Present-Future DEA Hospital
下载PDF
Confidence intervals for Markov chain transition probabilities based on next generation sequencing reads data
7
作者 Lin Wan Xin Kang +1 位作者 Jie Ren Fengzhu Sun 《Quantitative Biology》 CAS CSCD 2020年第2期143-154,共12页
Background:Markov chains(MC)have been widely used to model molecular sequences.The estimations of MC transition matrix and confidence intervals of the transition probabilities from long sequence data have been intensi... Background:Markov chains(MC)have been widely used to model molecular sequences.The estimations of MC transition matrix and confidence intervals of the transition probabilities from long sequence data have been intensively studied in the past decades.In next generation sequencing(NGS),a large amount of short reads are generated.These short reads can overlap and some regions of the genome may not be sequenced resulting in a new type of data.Based on NGS data,the transition probabilities of MC can be estimated by moment estimators.However,the classical asymptotic distribution theory for MC transition probability estimators based on long sequences is no longer valid.Methods:In this study,we present the asymptotic distributions of several statistics related to MC based on NGS data.We show that,after scaling by the effective coverage d defined in a previous study by the authors,these statistics based on NGS data approximate to the same distributions as the corresponding statistics for long sequences.Results:We apply the asymptotic properties of these statistics for finding the theoretical confidence regions for MC transition probabilities based on NGS short reads data.We validate our theoretical confidence intervals using both simulated data and real data sets,and compare the results with those by the parametric bootstrap method.Conclusions:We find that the asymptotic distributions of these statistics and the theoretical confidence intervals of transition probabilities based on NGS data given in this study are highly accurate,providing a powerful tool for NGS data analysis. 展开更多
关键词 Markov chains next generation sequencing transition probabilities confidence intervals
原文传递
A MICROCOMPUTER PROGRAM FOR CALCULATINGTHE CONFIDENCE INTERVALS OF SURVIVAL PROBABILITY IN MEDICAL FOLLOW-UP STUDIES
8
作者 项永兵 高玉堂 金凡 《Chinese Journal of Cancer Research》 SCIE CAS CSCD 1996年第1期72-78,共7页
In cancer survival analysis, it is very frequently to estimate the confidence intervals for survival probabilities.But this calculation is not commonly involve in most popular computer packages, or only one methods of... In cancer survival analysis, it is very frequently to estimate the confidence intervals for survival probabilities.But this calculation is not commonly involve in most popular computer packages, or only one methods of estimation in the packages. In the present Paper, we will describe a microcomputer Program for estimating the confidence intervals of survival probabilities, when the survival functions are estimated using Kaplan-Meier product-limit or life-table method. There are five methods of estimation in the program (SPCI), which are the classical(based on Greenwood's formula of variance of S(ti), Rothman-Wilson, arcsin transformation, log(-Iog) transformation, Iogit transformation methods. Two example analysis are given for testing the performances of the program running. 展开更多
关键词 Survival analysis confidence intervals Kaplan-Meier estimator Life-table estimator Microcomputer BASIC.
下载PDF
Constructing Confidence Regions for Autoregressive-Model Parameters
9
作者 Jan Vrbik 《Applied Mathematics》 2023年第10期704-717,共14页
We discuss formulas and techniques for finding maximum-likelihood estimators of parameters of autoregressive (with particular emphasis on Markov and Yule) models, computing their asymptotic variance-covariance matrix ... We discuss formulas and techniques for finding maximum-likelihood estimators of parameters of autoregressive (with particular emphasis on Markov and Yule) models, computing their asymptotic variance-covariance matrix and displaying the resulting confidence regions;Monte Carlo simulation is then used to establish the accuracy of the corresponding level of confidence. The results indicate that a direct application of the Central Limit Theorem yields errors too large to be acceptable;instead, we recommend using a technique based directly on the natural logarithm of the likelihood function, verifying its substantially higher accuracy. Our study is then extended to the case of estimating only a subset of a model’s parameters, when the remaining ones (called nuisance) are of no interest to us. 展开更多
关键词 MARKOV Yule and Autoregressive Models Maximum Likelihood Function Asymptotic Variance-Covariance Matrix confidence intervals Nuisance Parameters
下载PDF
Semi-empirical Likelihood Confidence Intervals for the Differences of Quantiles with Missing Data 被引量:3
10
作者 Yong Song QIN Jun Chao ZHANG 《Acta Mathematica Sinica,English Series》 SCIE CSCD 2009年第5期845-854,共10页
Detecting population (group) differences is useful in many applications, such as medical research. In this paper, we explore the probabilistic theory for identifying the quantile differences .between two populations... Detecting population (group) differences is useful in many applications, such as medical research. In this paper, we explore the probabilistic theory for identifying the quantile differences .between two populations. Suppose that there are two populations x and y with missing data on both of them, where x is nonparametric and y is parametric. We are interested in constructing confidence intervals on the quantile differences of x and y. Random hot deck imputation is used to fill in missing data. Semi-empirical likelihood confidence intervals on the differences are constructed. 展开更多
关键词 empirical likelihood confidence interval QUANTILE missing data hot deck imputation
原文传递
Coverage Accuracy of Confidence Intervals in Nonparametric Regression 被引量:2
11
作者 Song-xiChen Yong-songQin 《Acta Mathematicae Applicatae Sinica》 SCIE CSCD 2003年第3期387-396,共10页
Point-wise confidence intervals for a nonparametric regression function with random design points are considered. The confidence intervals are those based on the traditional normal approximation and the empirical like... Point-wise confidence intervals for a nonparametric regression function with random design points are considered. The confidence intervals are those based on the traditional normal approximation and the empirical likelihood. Their coverage accuracy is assessed by developing the Edgeworth expansions for the coverage probabilities. It is shown that the empirical likelihood confidence intervals are Bartlett correctable. 展开更多
关键词 confidence interval empirical likelihood Nadaraya-Watson estimator normal approximation
原文传递
Deep learning-based evaluation of factor of safety with confidence interval for tunnel deformation in spatially variable soil 被引量:5
12
作者 Jinzhang Zhang Kok Kwang Phoon +2 位作者 Dongming Zhang Hongwei Huang Chong Tang 《Journal of Rock Mechanics and Geotechnical Engineering》 SCIE CSCD 2021年第6期1358-1367,共10页
The random finite difference method(RFDM) is a popular approach to quantitatively evaluate the influence of inherent spatial variability of soil on the deformation of embedded tunnels.However,the high computational co... The random finite difference method(RFDM) is a popular approach to quantitatively evaluate the influence of inherent spatial variability of soil on the deformation of embedded tunnels.However,the high computational cost is an ongoing challenge for its application in complex scenarios.To address this limitation,a deep learning-based method for efficient prediction of tunnel deformation in spatially variable soil is proposed.The proposed method uses one-dimensional convolutional neural network(CNN) to identify the pattern between random field input and factor of safety of tunnel deformation output.The mean squared error and correlation coefficient of the CNN model applied to the newly untrained dataset was less than 0.02 and larger than 0.96,respectively.It means that the trained CNN model can replace RFDM analysis for Monte Carlo simulations with a small but sufficient number of random field samples(about 40 samples for each case in this study).It is well known that the machine learning or deep learning model has a common limitation that the confidence of predicted result is unknown and only a deterministic outcome is given.This calls for an approach to gauge the model’s confidence interval.It is achieved by applying dropout to all layers of the original model to retrain the model and using the dropout technique when performing inference.The excellent agreement between the CNN model prediction and the RFDM calculated results demonstrated that the proposed deep learning-based method has potential for tunnel performance analysis in spatially variable soils. 展开更多
关键词 Deep learning Convolutional neural network(CNN) Tunnel safety confidence interval Random field
下载PDF
Statistical damage detection method for frame structures using a confidence interval 被引量:2
13
作者 Li Weiming,Zhu Hongping~(++),Luo Hanbin~(++) and Xia Yong~(++) School of Civil Engineering and Mechanics,Huazhong University of Science and Technology,Wuhan 430074,China ~+PhD Candidate ++ Professor 《Earthquake Engineering and Engineering Vibration》 SCIE EI CSCD 2010年第1期133-140,共8页
A novel damage detection method is applied to a 3-story frame structure, to obtain statistical quantification control criterion of the existence, location and identification of damage. The mean, standard deviation, an... A novel damage detection method is applied to a 3-story frame structure, to obtain statistical quantification control criterion of the existence, location and identification of damage. The mean, standard deviation, and exponentially weighted moving average (EWMA) are applied to detect damage information according to statistical process control (SPC) theory. It is concluded that the detection is insignificant with the mean and EWMA because the structural response is not independent and is not a normal distribution. On the other hand, the damage information is detected well with the standard deviation because the influence of the data distribution is not pronounced with this parameter. A suitable moderate confidence level is explored for more significant damage location and quantification detection, and the impact of noise is investigated to illustrate the robustness of the method. 展开更多
关键词 damage detection standard deviation statistical method confidence interval noise
下载PDF
Confidence Interval Estimation of the Correlation in the Presence of Non-Detects
14
作者 Courtney E. McCracken Stephen W. Looney 《Open Journal of Statistics》 2021年第3期463-475,共13页
This article deals with correlating two variables that have values that fall below the known limit of detection (LOD) of the measuring device;these values are known as non-detects (NDs). We use simulation to compare s... This article deals with correlating two variables that have values that fall below the known limit of detection (LOD) of the measuring device;these values are known as non-detects (NDs). We use simulation to compare several methods for estimating the association between two such variables. The most commonly used method, simple substitution, consists of replacing each ND with some representative value such as LOD/2. Spearman’s correlation, in which all NDs are assumed to be tied at some value just smaller than the LOD, is also used. We evaluate each method under several scenarios, including small to moderate sample size, moderate to large censoring proportions, extr</span><span style="font-family:Verdana;">eme imbalance in censoring proportions, and non-bivariate nor</span><span style="font-family:Verdana;">mal (BVN) data. In this article, we focus on the coverage probability of 95% confidence intervals obtained using each method. Confidence intervals using a maximum likelihood approach based on the assumption of BVN data have acceptable performance under most scenarios, even with non-BVN data. Intervals based on Spearman’s coefficient also perform well under many conditions. The methods are illustrated using real data taken from the biomarker literature. 展开更多
关键词 confidence Interval Coverage Probability Left Censoring Limit of Detection Maximum Likelihood Spearman Correlation
下载PDF
Bayesian Computation for the Parameters of a Zero-Inflated Cosine Geometric Distribution with Application to COVID-19 Pandemic Data
15
作者 Sunisa Junnumtuam Sa-Aat Niwitpong Suparat Niwitpong 《Computer Modeling in Engineering & Sciences》 SCIE EI 2023年第5期1229-1254,共26页
A new three-parameter discrete distribution called the zero-inflated cosine geometric(ZICG)distribution is proposed for the first time herein.It can be used to analyze over-dispersed count data with excess zeros.The b... A new three-parameter discrete distribution called the zero-inflated cosine geometric(ZICG)distribution is proposed for the first time herein.It can be used to analyze over-dispersed count data with excess zeros.The basic statistical properties of the new distribution,such as the moment generating function,mean,and variance are presented.Furthermore,confidence intervals are constructed by using the Wald,Bayesian,and highest posterior density(HPD)methods to estimate the true confidence intervals for the parameters of the ZICG distribution.Their efficacies were investigated by using both simulation and real-world data comprising the number of daily COVID-19 positive cases at the Olympic Games in Tokyo 2020.The results show that the HPD interval performed better than the other methods in terms of coverage probability and average length in most cases studied. 展开更多
关键词 Bayesian analysis confidence interval gibbs sampling random-walk metropolis zero-inflated count data
下载PDF
Planning failure-censored constant-stress partially accelerated life test 被引量:3
16
作者 Ali A.Ismail Abdulhakim A.Al-Babtain 《Journal of Systems Engineering and Electronics》 SCIE EI CSCD 2015年第3期644-650,共7页
This article deals with the case of the failure-censored constant-stress partially accelerated life test (CSPALT) for highly reliable materials or products assuming the Pareto distribution of the second kind. The ma... This article deals with the case of the failure-censored constant-stress partially accelerated life test (CSPALT) for highly reliable materials or products assuming the Pareto distribution of the second kind. The maximum likelihood (ML) method is used to estimate the parameters of the CSPALT model. The performance of ML estimators is investigated via their mean square error. Also, the average confidence interval length (IL) and the associated co- verage probability (CP) are obtained. Moreover, optimum CSPALT plans that determine the optimal proportion of the test units al- located to each stress are developed. Such optimum test plans minimize the generalized asymptotic variance (GAV) of the ML estimators of the model parameters. For illustration, Monte Carlo simulation studies are given and a real life example is provided. 展开更多
关键词 reliability confidence intervals coverage probabilities optimum test plans Type-Ⅱ censoring Monte Carlo simulation.
下载PDF
Topp-Leone Odd Fréchet Generated Family of Distributions with Applications to COVID-19 Data Sets 被引量:1
17
作者 Sanaa Al-Marzouki Farrukh Jamal +1 位作者 Christophe Chesneau Mohammed Elgarhy 《Computer Modeling in Engineering & Sciences》 SCIE EI 2020年第10期437-458,共22页
Recent studies have pointed out the potential of the odd Fréchet family(or class)of continuous distributions in fitting data of all kinds.In this article,we propose an extension of this family through the so-cal... Recent studies have pointed out the potential of the odd Fréchet family(or class)of continuous distributions in fitting data of all kinds.In this article,we propose an extension of this family through the so-called“Topp-Leone strategy”,aiming to improve its overall flexibility by adding a shape parameter.The main objective is to offer original distributions with modifiable properties,from which adaptive and pliant statistical models can be derived.For the new family,these aspects are illustrated by the means of comprehensive mathematical and numerical results.In particular,we emphasize a special distribution with three parameters based on the exponential distribution.The related model is shown to be skillful to the fitting of various lifetime data,more or less heterogeneous.Among all the possible applications,we consider two data sets of current interest,linked to the COVID-19 pandemic.They concern daily cases confirmed and recovered in Pakistan from March 24 to April 28,2020.As a result of our analyzes,the proposed model has the best fitting results in comparison to serious challengers,including the former odd Fréchet model. 展开更多
关键词 General family of distributions asymmetric distributions probabilistic properties parametric estimation confidence intervals COVID-19 pandemic data analysis
下载PDF
Bayesian Analysis in Partially Accelerated Life Tests for Weighted Lomax Distribution 被引量:1
18
作者 Rashad Bantan Amal S.Hassan +4 位作者 Ehab Almetwally M.Elgarhy Farrukh Jamal Christophe Chesneau Mahmoud Elsehetry 《Computers, Materials & Continua》 SCIE EI 2021年第9期2859-2875,共17页
Accelerated life testing has been widely used in product life testing experiments because it can quickly provide information on the lifetime distributions by testing products or materials at higher than basic conditio... Accelerated life testing has been widely used in product life testing experiments because it can quickly provide information on the lifetime distributions by testing products or materials at higher than basic conditional levels of stress,such as pressure,temperature,vibration,voltage,or load to induce early failures.In this paper,a step stress partially accelerated life test(SSPALT)is regarded under the progressive type-II censored data with random removals.The removals from the test are considered to have the binomial distribution.The life times of the testing items are assumed to follow lengthbiased weighted Lomax distribution.The maximum likelihood method is used for estimating the model parameters of length-biased weighted Lomax.The asymptotic confidence interval estimates of the model parameters are evaluated using the Fisher information matrix.The Bayesian estimators cannot be obtained in the explicit form,so the Markov chain Monte Carlo method is employed to address this problem,which ensures both obtaining the Bayesian estimates as well as constructing the credible interval of the involved parameters.The precision of the Bayesian estimates and the maximum likelihood estimates are compared by simulations.In addition,to compare the performance of the considered confidence intervals for different parameter values and sample sizes.The Bootstrap confidence intervals give more accurate results than the approximate confidence intervals since the lengths of the former are less than the lengths of latter,for different sample sizes,observed failures,and censoring schemes,in most cases.Also,the percentile Bootstrap confidence intervals give more accurate results than Bootstrap-t since the lengths of the former are less than the lengths of latter for different sample sizes,observed failures,and censoring schemes,in most cases.Further performance comparison is conducted by the experiments with real data. 展开更多
关键词 Partially accelerated life testing progressive type-II censoring length-biased weighted Lomax Bayesian and bootstrap confidence intervals
下载PDF
DISTRIBUTED MONITORING SYSTEM RELIABILITY ESTIMATION WITH CONSIDERATION OF STATISTICAL UNCERTAINTY 被引量:2
19
作者 Yi Pengxing Yang Shuzi Du Runsheng Wu Bo Liu Shiyuan 《Chinese Journal of Mechanical Engineering》 SCIE EI CAS CSCD 2005年第4期519-524,共6页
Taking into account the whole system structure and the component reliability estimation uncertainty, a system reliability estimation method based on probability and statistical theory for distributed monitoring system... Taking into account the whole system structure and the component reliability estimation uncertainty, a system reliability estimation method based on probability and statistical theory for distributed monitoring systems is presented. The variance and confidence intervals of the system reliability estimation are obtained by expressing system reliability as a linear sum of products of higher order moments of component reliability estimates when the number of component or system survivals obeys binomial distribution. The eigenfunction of binomial distribution is used to determine the moments of component reliability estimates, and a symbolic matrix which can facilitate the search of explicit system reliability estimates is proposed. Furthermore, a case of application is used to illustrate the procedure, and with the help of this example, various issues such as the applicability of this estimation model, and measures to improve system reliability of monitoring systems are discussed. 展开更多
关键词 Distributed monitoring system Statistical uncertainty Variance confidence intervals System reliability estimation
下载PDF
Analysis of Naval Ship Evacuation Using Stochastic Simulation Models and Experimental Data Sets
20
作者 Roberto Bellas Javier Martínez +3 位作者 Ignacio Rivera Ramón Touza MiguelGómez Rafael Carreño 《Computer Modeling in Engineering & Sciences》 SCIE EI 2020年第3期971-995,共25页
The study of emergency evacuation in public spaces,buildings and large ships may present parallel characteristic in terms of complexity of the layout but there are also significant differences that can hinder passenge... The study of emergency evacuation in public spaces,buildings and large ships may present parallel characteristic in terms of complexity of the layout but there are also significant differences that can hinder passengers to reach muster stations or the lifeboats.There are many hazards on a ship that can cause an emergency evacuation,the most severe result in loss of lives.Providing safe and effective evacuation of passengers from ships in an emergency situation becomes critical.Recently,computer simulation has become an indispensable technology in various fields,among them,the evacuation models that recently evolved incorporating human behavioral factors.In this work,an analysis of evacuation in a Landing Helicopter Dock(LHD)ship was conducted.Escape routes specified by the ship’s procedures were introduced in the model and the six emergency scenarios of the Naval Ship Code were simulated.The crew and embarked troops were introduced with their different evacuation behavior,in addition,walking speeds were extracted from data set collected in experiments conducted at other warships.From the results of the simulations,the longest time was chosen and confidence intervals constructed to determine the total evacuation time.Finally,results show that evacuation time meets regulatory requirements and the usefulness and low cost of the evacuation simulation for testing and refining possible ships’layouts and emergency scenarios. 展开更多
关键词 Evacuation modeling confidence intervals naval ship IMO NATO NSC.
下载PDF
上一页 1 2 4 下一页 到第
使用帮助 返回顶部