Bayesian Methods Reliability (24 results)

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  • Language: English

    Published by Academic Press, 1977

    0127021019 / 9780127021010

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    Hardcover. Condition: Good. Volume 1 only. Ex-library copy with usual markings. Shows minor wear.

  • Language: English

    Published by Academic Press, 1977

    0127021019 / 9780127021010

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    Hardcover. Condition: UsedGood. Hardcover, Volume 1 only; surplus library copy with the usual stampings; re ference number taped to spine; binding reinforced; otherwise contents in go od condition with clean text.

  • Language: English

    Published by Academic Press, 1977

    0127021027 / 9780127021027

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    Hardcover. Condition: UsedGood. Hardcover, Volume 2; surplus library copy with the usual stampings; referen ce number taped to spine; light scuffing, light shelf wear to cover; otherw ise in good condition with clean text, firm binding.

  • Language: English

    Published by Academic Press, 2012

    0124142699 / 9780124142695

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    Paperback. Condition: Brand New. 566 pages. 9.25x6.00x1.28 inches. In Stock.

  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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  • Language: English

    Published by Springer 1991-09-30, 1991

    9401055394 / 9789401055390

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  • Language: English

    Published by Kluwer Academic Pub, 1991

    079231414X / 9780792314141

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  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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    Condition: New. pp. 236.

  • Language: English

    Published by Kluwer Academic Pub, 1991

    079231414X / 9780792314141

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    Hardcover. Condition: Brand New. 221 pages. 1.00x6.75x0.75 inches. In Stock.

  • Language: English

    Published by Springer, Springer, 2012

    9401055394 / 9789401055390

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    Taschenbuch. Condition: Neu. Druck auf Anfrage Neuware - Printed after ordering - When data is collected on failure or survival a list of times is obtained. Some of the times are failure times and others are the times at which the subject left the experiment. These times both give information about the performance of the system. The two types will be referred to as failure and censoring times (cf. Smith section 5). \* A censoring time, t, gives less information than a failure time, for it is \* known only that the item survived past t and not when it failed. The data is tn and of censoring thus collected as a list of failure times t , . . . , l \* \* \* times t , t , . . . , t - 1 z m 2. 2. Classical methods The failure times are assumed to follow a parametric distribution F(t;B) with and reliability R(t;B). There are several methods of estimating density f(t;B) the parameter B based only on the data in the sample without any prior assumptions about B. The availability of powerful computers and software packages has made the method of maximum likelihood the most popular. Descriptions of most methods can be found in the book by Mann, Schafer and Singpurwalla (1974). In general the method of maximum likelihood is the most useful of the classical approaches. The likelihood approach is based on constructing the joint probability distrilmtion or density for a sample.

  • Language: English

    Published by Springer Netherlands|Springer, Berlin, 1991

    079231414X / 9780792314141

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  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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    Seller: Mispah books, Redhill, SURRE, United KingdomMispah books

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  • Language: English

    Published by Academic Press, 1977

    0124142699 / 9780124142695

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    Seller: Mispah books, Redhill, SURRE, United KingdomMispah books

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  • Language: English

    Published by Springer, 1991

    079231414X / 9780792314141

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    Buch. Condition: Neu. Druck auf Anfrage Neuware - Printed after ordering - 1. Introduction to Bayesian Methods in Reliability.- 1. Why Bayesian Methods .- 1.1 Sparse data.- 1.2 Decision problems.- 2. Bayes' Theorem.- 3. Examples from a Safety Study on Gas transmission Pipelines.- 3.1 Estimating the probability of the development of a big hole.- 3.2 Estimating the leak rate of a gas transmission pipeline.- 4. Conclusions.- References.- 2. An Overview of the Bayesian Approach.- 1. Background.- 2. Probability Concepts.- 3. Notation.- 4. Reliability Concepts and Models.- 5. Forms of Data.- 6. Statistical Problems.- 7. Review of Non-Bayesian Statistical Methods.- 8. Desiderata for Decision-Oriented Statistical Methodology.- 9. Decision-Making.- 10. Degrees of Belief as Probabilities.- 11. Bayesian Statistical Philosophy.- 12. A Simple Illustration of Bayesian Learning.- 13. Bayesian Approaches to Typical Statistical Questions.- 14. Assessment of Prior Densities.- 15. Bayesian Inference for some Univariate Probability Models.- 16. Approximate Analysis under Great Prior Uncertainty.- 17. Problems Involving many Parameters: Empirical Bayes.- 18. Numerical Methods for Practical Bayesian Statistics.- References.- 3. Reliability Modelling and Estimation.- 1. Non-Repairable Systems.- 1.1 Introduction.- 1.2 Describing reliability.- 1.3 Failure time distributions.- 2. Estimation.- 2.1 Introduction.- 2.2 Classical methods.- 2.3 Bayesian methods.- 3. Reliability estimation.- 3.1 Introduction.- 3.2 Binomial sampling.- 3.3 Pascal sampling.- 3.4 Poisson sampling.- 3.5 Hazard rate estimation.- References.- 4. Repairable Systems and Growth Models.- 1. Introduction.- 2. Good as New: the Renewal Process.- 3. Estimation.- 4. The Poisson Process.- 5. Bad as old: the Non-Homogeneous Poisson Process.- 6. Classical Estimation.- 7. Exploratory Analysis.- 8. The Duane Model.- 9. Bayesian Analysis.- References.- 5. The Use of Expert Judgement in Risk Assessment.- 1. Introduction.- 2. Independence Preservation.- 3. The Quality of Experts' Judgement.- 4. Calibration Sets and Seed Variables.- 5. A Classical Model.- 6. Bayesian Models.- 7. Some Experimental Results.- References.- 6. Forecasting Software Reliability.- 1. Introduction.- 2. The Software Reliability Growth Problem.- 3. Some Software Reliability Growth Models.- 3.1 Jelinski and Moranda (JM).- 3.2 Bayesian Jelinski-Moranda (BJM).- 3.3 Littlewood (L).- 3.4 Littlewood and Verrall (LV).- 3.5 Keiller and Littlewood (KL).- 3.6 Weibull order statistics (W).- 3.7 Duane (D).- 3.8 Goel-Okumoto (GO).- 3.9 Littlewood NHPP (LNHPP).- 4. Examples of Use.- 5. Analysis of Predictive Quality.- 5.1 The u-plot.- 5.2 The y-plot, and scatter plot of u's.- 5.3 Measures of 'noise'.- 5.3.1 Braun statistic.- 5.3.2 Median variability.- 5.3.3 Rate variability.- 5.4 Prequential likelihood.- 6. Examples of Predictive Analysis.- 7. Adapting and Combining Predictions; Future Directions.- 8 Summary and Conclusions.- Acknowledgements.- References.- References.- Author index.

  • Language: English

    Published by Academic Press, 1977

    0127021019 / 9780127021010

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    hardcover. Condition: Good. Good. Dust Jacket NOT present. CD WILL BE MISSING. . SHIPS FROM MULTIPLE LOCATIONS. book.

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    LeatherBound. Condition: New. BOOKS ARE EXEMPT FROM IMPORT DUTIES AND TARIFFS; NO EXTRA CHARGES APPLY. LeatherBound edition. Condition: New. Reprinted from 1967 edition. Leather Binding on Spine and Corners with Golden leaf printing on spine. Bound in genuine leather with Satin ribbon page markers and Spine with raised gilt bands. A perfect gift for your loved ones. Pages: 84 NO changes have been made to the original text. This is NOT a retyped or an ocr'd reprint. Illustrations, Index, if any, are included in black and white. Each page is checked manually before printing. As this print on demand book is reprinted from a very old book, there could be some missing or flawed pages, but we always try to make the book as complete as possible. Fold-outs, if any, are not part of the book. If the original book was published in multiple volumes then this reprint is of only one volume, not the whole set. Sewing binding for longer life, where the book block is actually sewn (smythe sewn/section sewn) with thread before binding which results in a more durable type of binding. Pages: 84 Larson, Harold J., 1934-.

  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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    Seller: Brook Bookstore On Demand, Napoli, NA, ItalyBrook Bookstore On Demand

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  • Language: English

    Published by SPRINGER NATURE Sep 1991, 1991

    079231414X / 9780792314141

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    Buch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -1. Introduction to Bayesian Methods in Reliability.- 1. Why Bayesian Methods .- 1.1 Sparse data.- 1.2 Decision problems.- 2. Bayes' Theorem.- 3. Examples from a Safety Study on Gas transmission Pipelines.- 3.1 Estimating the probability of the development of a big hole.- 3.2 Estimating the leak rate of a gas transmission pipeline.- 4. Conclusions.- References.- 2. An Overview of the Bayesian Approach.- 1. Background.- 2. Probability Concepts.- 3. Notation.- 4. Reliability Concepts and Models.- 5. Forms of Data.- 6. Statistical Problems.- 7. Review of Non-Bayesian Statistical Methods.- 8. Desiderata for Decision-Oriented Statistical Methodology.- 9. Decision-Making.- 10. Degrees of Belief as Probabilities.- 11. Bayesian Statistical Philosophy.- 12. A Simple Illustration of Bayesian Learning.- 13. Bayesian Approaches to Typical Statistical Questions.- 14. Assessment of Prior Densities.- 15. Bayesian Inference for some Univariate Probability Models.- 16. Approximate Analysis under Great Prior Uncertainty.- 17. Problems Involving many Parameters: Empirical Bayes.- 18. Numerical Methods for Practical Bayesian Statistics.- References.- 3. Reliability Modelling and Estimation.- 1. Non-Repairable Systems.- 1.1 Introduction.- 1.2 Describing reliability.- 1.3 Failure time distributions.- 2. Estimation.- 2.1 Introduction.- 2.2 Classical methods.- 2.3 Bayesian methods.- 3. Reliability estimation.- 3.1 Introduction.- 3.2 Binomial sampling.- 3.3 Pascal sampling.- 3.4 Poisson sampling.- 3.5 Hazard rate estimation.- References.- 4. Repairable Systems and Growth Models.- 1. Introduction.- 2. Good as New: the Renewal Process.- 3. Estimation.- 4. The Poisson Process.- 5. Bad as old: the Non-Homogeneous Poisson Process.- 6. Classical Estimation.- 7. Exploratory Analysis.- 8. The Duane Model.- 9. Bayesian Analysis.- References.- 5. The Use of Expert Judgement in Risk Assessment.- 1. Introduction.- 2. Independence Preservation.- 3. The Quality of Experts' Judgement.- 4. Calibration Sets and Seed Variables.- 5. A Classical Model.- 6. Bayesian Models.- 7. Some Experimental Results.- References.- 6. Forecasting Software Reliability.- 1. Introduction.- 2. The Software Reliability Growth Problem.- 3. Some Software Reliability Growth Models.- 3.1 Jelinski and Moranda (JM).- 3.2 Bayesian Jelinski-Moranda (BJM).- 3.3 Littlewood (L).- 3.4 Littlewood and Verrall (LV).- 3.5 Keiller and Littlewood (KL).- 3.6 Weibull order statistics (W).- 3.7 Duane (D).- 3.8 Goel-Okumoto (GO).- 3.9 Littlewood NHPP (LNHPP).- 4. Examples of Use.- 5. Analysis of Predictive Quality.- 5.1 The u-plot.- 5.2 The y-plot, and scatter plot of u's.- 5.3 Measures of 'noise'.- 5.3.1 Braun statistic.- 5.3.2 Median variability.- 5.3.3 Rate variability.- 5.4 Prequential likelihood.- 6. Examples of Predictive Analysis.- 7. Adapting and Combining Predictions; Future Directions.- 8 Summary and Conclusions.- Acknowledgements.- References.- References.- Author index. 236 pp. Englisch.

  • Language: English

    Published by Springer, Springer Netherlands Okt 2012, 2012

    9401055394 / 9789401055390

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    Taschenbuch. Condition: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -When data is collected on failure or survival a list of times is obtained. Some of the times are failure times and others are the times at which the subject left the experiment. These times both give information about the performance of the system. The two types will be referred to as failure and censoring times (cf. Smith section 5). \* A censoring time, t, gives less information than a failure time, for it is \* known only that the item survived past t and not when it failed. The data is tn and of censoring thus collected as a list of failure times t , . . . , l \* \* \* times t , t , . . . , t - 1 z m 2. 2. Classical methods The failure times are assumed to follow a parametric distribution F(t;B) with and reliability R(t;B). There are several methods of estimating density f(t;B) the parameter B based only on the data in the sample without any prior assumptions about B. The availability of powerful computers and software packages has made the method of maximum likelihood the most popular. Descriptions of most methods can be found in the book by Mann, Schafer and Singpurwalla (1974). In general the method of maximum likelihood is the most useful of the classical approaches. The likelihood approach is based on constructing the joint probability distrilmtion or density for a sample. 236 pp. Englisch.

  • Language: English

    Published by Springer Netherlands, 2012

    9401055394 / 9789401055390

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    Condition: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. When data is collected on failure or survival a list of times is obtained. Some of the times are failure times and others are the times at which the subject left the experiment. These times both give information about the performance of the system. The two .

  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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    Condition: New. Print on Demand pp. 236 49:B&W 6.14 x 9.21 in or 234 x 156 mm (Royal 8vo) Perfect Bound on White w/Gloss Lam.

  • Language: English

    Published by Springer, 2012

    9401055394 / 9789401055390

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    Condition: New. PRINT ON DEMAND pp. 236.

  • Language: English

    Published by Springer, Springer Okt 2012, 2012

    9401055394 / 9789401055390

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    Taschenbuch. Condition: Neu. This item is printed on demand - Print on Demand Titel. Neuware -When data is collected on failure or survival a list of times is obtained. Some of the times are failure times and others are the times at which the subject left the experiment. These times both give information about the performance of the system. The two types will be referred to as failure and censoring times (cf. Smith section 5). \* A censoring time, t, gives less information than a failure time, for it is \* known only that the item survived past t and not when it failed. The data is tn and of censoring thus collected as a list of failure times t , . . . , l \* \* \* times t , t , . . . , t ¿ 1 z m 2. 2. Classical methods The failure times are assumed to follow a parametric distribution F(t;B) with and reliability R(t;B). There are several methods of estimating density f(t;B) the parameter B based only on the data in the sample without any prior assumptions about B. The availability of powerful computers and software packages has made the method of maximum likelihood the most popular. Descriptions of most methods can be found in the book by Mann, Schafer and Singpurwalla (1974). In general the method of maximum likelihood is the most useful of the classical approaches. The likelihood approach is based on constructing the joint probability distrilmtion or density for a sample.Springer-Verlag KG, Sachsenplatz 4-6, 1201 Wien 236 pp. Englisch.

  • Language: English

    Published by Kluwer Academic Publishers, 1991

    079231414X / 9780792314141

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    Hardback. Condition: New. This item is printed on demand. New copy - Usually dispatched within 5-9 working days.