• Title/Summary/Keyword: 누적 확률분포 함수

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Accyracy and Efficienty for Compution of Noncentral $X^2$ Probabilities (비중심카이제곱분포 확률계산의 비교)

  • Gu, Son-Hee
    • The Transactions of the Korea Information Processing Society
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    • v.4 no.2
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    • pp.483-490
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    • 1997
  • The evalution of the cumulative distridution function of the noncentral $X^2$ distribution required in approxi-mate determination of the $X^2$ test. Many approximations to the cumulative distribution function of the noncentral $X^2$ distribution have been suggested. However, in selecting an approximations both simplicity and accuracy should be considered. In this note we compared various approximations in terms of accuracy and efficiency.

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Geographical Impact on the Annual Maximum Rainfall in Korean Peninsula and Determination of the Optimal Probability Density Function (우리나라 연최대강우량의 지형학적 특성 및 이에 근거한 최적확률밀도함수의 산정)

  • Nam, Yoon Su;Kim, Dongkyun
    • Journal of Wetlands Research
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    • v.17 no.3
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    • pp.251-263
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    • 2015
  • This study suggested a novel approach of estimating the optimal probability density function (OPDF) of the annual maximum rainfall time series (AMRT) combining the L-moment ratio diagram and the geographical information system. This study also reported several interesting geographical characteristics of the AMRT in Korea. To achieve this purpose, this study determined the OPDF of the AMRT with the duration of 1-, 3-, 6-, 12-, and 24-hours using the method of L-moment ratio diagram for each of the 67 rain gages in Korea. Then, a map with the Thiessen polygons of the 67 rain gages colored differently according the different type of the OPDF, was produced to analyze the spatial trend of the OPDF. In addition, this study produced the color maps which show the fitness of a given probability density function to represent the AMRT. The study found that (1) both L-skewness and L-kurtosis of the AMRT have clear geographical trends, which means that the extreme rainfall events are highly influenced by geography; (2) the impact of the altitude on these two rainfall statistics is greater for the mountaneous region than for the non-mountaneous region. In the mountaneous region, the areas with higher altitude are more likely to experience the less-frequent and strong rainfall events than the areas with lower altitude; (3) The most representative OPDFs of Korea except for the Southern edge are Generalized Extreme Value distribution and the Generalized Logistic distribution. The AMRT of southern edge of Korea was best represented by the Generalized Pareto distribution.

Bivariate ROC Curve (이변량 ROC곡선)

  • Hong, C.S.;Kim, G.C.;Jeong, J.A.
    • Communications for Statistical Applications and Methods
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    • v.19 no.2
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    • pp.277-286
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    • 2012
  • For credit assessment models, the ROC curves evaluate the classification performance using two univariate cumulative distribution functions of the false positive rate and true positive rate. In this paper, it is extended to two bivariate normal distribution functions of default and non-default borrowers; in addition, the bivariate ROC curves are proposed to represent the joint cumulative distribution functions by making use of the linear function that passes though the mean vectors of two score random variables. We explore the classification performance based on these ROC curves obtained from various bivariate normal distributions, and analyze with the corresponding AUROC. The optimal threshold could be derived from the bivariate ROC curve using many well known classification criteria and it is possible to establish an optimal cut-off criteria of bivariate mixture distribution functions.

Probability Based Risk Evaluation Techniques for the Small-Sized Sea Floater (소형 해상 부유체의 확률 기반 위기평가기법)

  • Yim, Jeong-Bin
    • Journal of Navigation and Port Research
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    • v.36 no.10
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    • pp.795-801
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    • 2012
  • This paper describes theoretical approach methodology for the Probability based risk Evaluation Techniques (PET) to monitor the risk levels of small-sized sea floater as like a yacht pier. The risk decision-making process by risk criteria with five-step scales is the core concepts of PET. These five-step scales are calculated from cumulative probability distribution of response functions for the sea floater motions using closed-form expressions. In addition, The risk decision-making process of PET with the risk criteria is proposed in this work. To verify the usability of PET, simulation experiments are carried out using mimic signals with the electrical specifications of ADIS16405 sensor that is to be use as measurement tool for the floater motions. As results from experiments, the risk evaluation error by PET shows 0.38 levels in maximum 5.0 levels. These results clearly shown that the proposed PET can be use as the monitoring techniques.

Analysis of the tsunami hazard area in Jumunjin port (주문진항의 지진해일 위험지역 분석)

  • Kim, Yong-Cheol;Kim, Chang-Hee;Cho, Yong-Sik
    • Proceedings of the Korea Water Resources Association Conference
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    • 2012.05a
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    • pp.79-82
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    • 2012
  • 최근 지진해일 발생으로 인한 막대한 피해로 인해 지진해일 방재에 대한 중요성이 높아지고 있다. 지진해일 방재연구는 주로 실제 발생하였던 역사지진해일과 발생가능성이 높은 가상의 지진해일에 대해 해당지역의 재해정보도를 제작하여, 지진해일 발생 시 인명 및 재산피해를 최소화 하는 것에 초점이 맞추어져 있다. 따라서 이번 연구에서는 이러한 재해정보도의 효율성을 높이기 위해 지진해일 발생 시 인명피해가 발생할 가능성이 높은 위험지역을 선정하였다. 지진해일 위험지역을 선정하기 위해 가상의 지진해일을 수치모의 하였으며, 지진해일 발생 시 인명피해가 발생할 수 있는 지진해일 범람 높이를 선정하여 선정한 기준 높이 이상의 범람이 발생할 확률을 계산하였다. 지진해일 수치모의는 지진해일 전파모의와 범람모의 과정으로 이루어진다. 지진해일 전파모형은 선형 Boussinesq 방정식을 지배방정식으로 사용하며, 지진해일 범람모형은 비선형 천수방정식을 지배방정식으로 사용하였다. 수치모의를 통해 주문진항에서의 가상의 지진해일에 대한 범람영역 및 범람 높이를 얻었다. 수치모의를 통해 얻어진 범람 데이터를 이용해 기준 높이 이상의 범람 발생 확률을 계산하였다. 확률 계산을 위해선 해당 데이터의 확률분포를 결정하여야 하기 때문에, 적합도 검정을 수행하였다. 이번 연구에서는 여러 가지 적합도 검정 기법 중 하나인 확률도시 상관계수 검정(Probability Plot Correlation Coefficient Test)을 사용하였으며, 범람 데이터의 확률분포로 Normal, Log-normal, Exponential, Gumbel 분포를 가정하여 검정을 수행하였다. 각 지점별로 확률도시 상관계수 검정을 수행하여, 해당 지점의 확률분포를 결정하였고, 각 지점별로 해당하는 확률분포의 누적확률분포 함수를 이용해 기준 높이 이상의 범람이 발생할 확률을 계산하였다. 얻어진 확률을 지도상에 도시하여 기준 높이 이상의 범람 발생 확률이 높은 지점을 주문진항에서의 지진해일에 대한 인명피해 발생 가능성이 높은 위험지역으로 선정하였다.

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Modified Kolmogorov-Smirnov Statistic for Credit Evaluation (신용평가를 위한 Kolmogorov-Smirnov 수정통계량)

  • Hong, C.S.;Bang, G.
    • The Korean Journal of Applied Statistics
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    • v.21 no.6
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    • pp.1065-1075
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    • 2008
  • For the model validation of credit rating models, Kolmogorov-Smirnov(K-S) statistic has been widely used as a testing method of discriminatory power from the probabilities of default for default and non-default. For the credit rating works, K-S statistics are to test two identical distribution functions which are partitioned from a distribution. In this paper under the assumption that the distribution is known, modified K-S statistic which is formulated by using known distributions is proposed and compared K-S statistic.

Estimation of Shelf Life for Propellant KM6 by Using Gamma Process Model (감마과정 모델을 이용한 KM6 추진제의 저장수명 예측)

  • Park, Sung-Ho;Kim, Jae-Hoon
    • Journal of the Korean Society of Propulsion Engineers
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    • v.16 no.4
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    • pp.33-41
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    • 2012
  • The aim of the study is to investigate the method to estimate a shelf life of KM6 single base propellant by stochastic gamma process model. The state failure level is assumed that the degradation content of stabilizer is below 0.8%. The constant of time dependent shape function and the scale parameter of stationary gamma process are estimated by moment method. The state distribution at each storage time can be shown from probability density function of deterioration. It is estimated that the $B_{10}$ life, a time at which the cumulative failure probability is 10%, is 25 years and the $B_{50}$ life is 36 years from cumulative failure distribution function curve. The $B_{50}$ life can be treated as the average shelf life from the practical viewpoint and the lifetime can be expressed as distribution curve by using stochastic process theory.

Multivariate empirical distribution functions and descriptive methods (다변량 경험분포함수와 시각적인 표현방법)

  • Hong, Chong Sun;Park, Jun;Park, Yong Ho
    • Journal of the Korean Data and Information Science Society
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    • v.28 no.1
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    • pp.87-98
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    • 2017
  • The multivaiate empirical distribution function (MEDF) is defined in this work. The MEDF's expectation and variance are derived and we have shown the MEDF converges to its real distribution function. Based on random samples from bivariate standard normal distribution with various correlation coefficients, we also obtain MEDFs and propose two kinds of graphical methods to visualize MEDFs on two dimensional plane. One is represented with at most n stairs with similar arguments as the step function, and the other is described with at most n curves which look like bivariate quantile vector. Even though these two descriptive methods could be expressed with three dimensional space, two dimensional representation is obtained with ease and it is enough to explain characteristics of bivariate distribution functions. Hence, it is possible to visualize trivariate empirical distribution functions with three dimensional quantile vectors. With bivariate and four variate illustrative examples, the proposed MEDFs descriptive plots are obtained and explored.

An Experimental Analysis of a Probabilistic DDHV Estimation Model (확률적인 중방향 설계시간 교통량 산정 모형에 관한 실험적 해석)

  • Jo, Jun-Han;Kim, Seong-Ho;No, Jeong-Hyeon
    • Journal of Korean Society of Transportation
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    • v.27 no.2
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    • pp.23-34
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    • 2009
  • This paper is described as an experimental analysis for the probabilistic directional design hour volume estimation. The main objective of this paper is to derive acceptable design rankings, PK factors, and PD factors. In order to determine an appropriate distribution for acceptable design rankings, 12 probability distribution functions were employed. The parameters were estimated based on the method of maximum likelihood. The goodness of fit test was performed with a Kolmogorov-Smirnov test. The Beta General distribution among the probability distributions was selected as an appropriate model for 2 lane roadways. On the other hand, the Weibull distribution is superior for 4 lanes. The method of the inverse cumulative distribution function came up with an acceptable design ranking of design for LOS D. An acceptable design ranking of 2 lanes is 190, while an acceptable design ranking for 4 lanes is 164. The PK factor and PD factor of 2 lanes was elicited for 0.119 (0.100-0.139) and 0.568 (0.545-0.590), respectively. On the other hand, the PK factor and PD factor for 4 lanes was elicited as 0.106 (0.097-0.114) and 0.571 (0.544-0.598), respectively.

A Study on the Evaluation of Linear Cumulative Damage Factor of Membrane Type LNG Tank by use of Probability Density Function (확률밀도함수를 이용한 멤브레인방식 LNG탱크의 선형누적손상도 평가에 관한 연구)

  • 김종호
    • Journal of Advanced Marine Engineering and Technology
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    • v.28 no.6
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    • pp.993-999
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    • 2004
  • The estimation of fatigue life at the design stage of membrane type LNG tank is very important in order to arrive at feasible and cost effective solutions considering the total lifetime of the tank. In this study, the practical procedure of fatigue life prediction by use of cumulative damage factors based on Miner-Palmgren hypothesis and probability density function has been shown with the corner region of Gaz Transport Membrane type LNG tank being used as an example. In particular the parameters of Weibull distribution that determine the stress spectrum are discussed. The main results obtained from this study are as follows: 1. The recommended value for the shape parameter of Weibull distribution for the LNG tank is 1.1 in case of using the direct calculation method proposed in this study. 2. The calculated fatigue life is influenced by the shape parameter of Weibull distribution and stress block. The safe fatigue design can be achieved by using higher value of shape parameter and the stress blocks divided into more stress blocks.