• Title/Summary/Keyword: 소프트웨어 신뢰도 모형

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Analysis of Software Reliability Growth Model with Gamma Family Distribution (감마족 분포를 이용한 소프트웨어 신뢰 성장 모형의 분석)

  • Kan, Kwang-Hyun;Jang, Byeong-Ok;Kim, Hee-Cheul
    • Journal of IKEEE
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    • v.9 no.2 s.17
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    • pp.143-151
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    • 2005
  • Finite failure NHPP models proposed in the literature exhibit is either constant, monotonic increasing or monotonic decreasing failure occurrence rates per fault. For the sake of proposing shape parameter of the Gamma family distribution, used the special pattern. Data set, where the underlying failure process could not be adequately described by the knowing models, which motivated the development of the Gamma or Weibull model and Gompertz model. Analysis of failure data set that led us to the Gamma or Weibull model and Gompertz model using arithmetic and Laplace trend tests, bias tests was presented in this Paper.

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The Study for Software Future Forecasting Failure Time Using ARIMA AR(1) (ARIMA AR(1) 모형을 이용한 소프트웨어 미래 고장 시간 예측에 관한 연구)

  • Kim, Hee-Cheul;Shin, Hyun-Cheul
    • Convergence Security Journal
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    • v.8 no.2
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    • pp.35-40
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    • 2008
  • Software failure time presented in the literature exhibit either constant, monotonic increasing or monotonic decreasing. For data analysis of software reliability model, data scale tools of trend analysis are developed. The methods of trend analysis are arithmetic mean test and Laplace trend test. Trend analysis only offer information of outline content. In this paper, we discuss forecasting failure time case of failure time censoring. The used software failure time data for forecasting failure time is random number of Weibull distribution(shaper parameter 1, scale parameter 0.5), Using this data, we are proposed to ARIMA(AR(1)) and simulation method for forecasting failure time. The practical ARIMA method is presented.

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The Comparative Software Development Cost Model Considering the Change in the Shape Parameter of the Erlang Distribution (어랑분포의 형상모수 변화에 따른 소프트웨어 개발 비용모형에 관한 비교 연구)

  • Yang, Tae-Jin
    • The Journal of Korea Institute of Information, Electronics, and Communication Technology
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    • v.9 no.6
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    • pp.566-572
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    • 2016
  • Software Reliability implemented in software development is one of the most important issues. In finite failure NHPP software reliability models for software failure analysis, the hazard function that means a failure rate may have constant independently for failure time, non-increasing or non-decreasing pattern. In this study, software development cost analysis considering the variable shape parameter of Erlang distribution as the failure life distribution in the software product testing process was studied. The software failure model was applied finite failure Non-Homogeneous Poisson Procedure and the parameters approximation using maximum likelihood estimation was accompanied. Thus, this paper was presented comparative analysis by applying a software failure time data to the software, considering the shape parameter of Erlang distribution for development cost model analysis. When compared to the cost curve in accordance with the shape parameter, the model of smaller shape can be seen that the optimal software release time delay and more cost. Through this study, it is thought that it can serve as a preliminary information which can basically help the software developers to search for development cost according to software shape parameters.

Comparative Analysis on the Attributes of NHPP Software Development Cost Model Applying Gamma Family Distribution (감마족 분포을 적용한 NHPP 소프트웨어 개발비용 모형의 속성에 관한 비교 분석)

  • Hyo-Jeong Bae
    • The Journal of the Korea institute of electronic communication sciences
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    • v.18 no.5
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    • pp.867-876
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    • 2023
  • In this study, the attributes of the NHPP software development cost model applying the Gamma family distribution (Erlang, Log-Logistic, Rayleigh) were newly analyzed, and after comparing with the Goel-Okumoto basic model to verify the properties of the model, the optimal model was also presented based on this. To analyze software reliability, failure time data that occurred randomly during system operation was used, and the calculation of the parameters was solved using the maximum likelihood estimation. As a result of comprehensive evaluation through various attribute analysis (mean value function, development cost, optimal release time), it was confirmed that the Rayleigh model had the best performance. Through this study, the attributes of the software development cost model applying the Gamma family distribution, which has no previous research case, were newly identified. Also, basic design data could also be presented so that developers can efficiently utilize this research data at an early stage.

The Bayesian Approach of Software Optimal Release Time Based on Log Poisson Execution Time Model (포아송 실행시간 모형에 의존한 소프트웨어 최적방출시기에 대한 베이지안 접근 방법에 대한 연구)

  • Kim, Hee-Cheul;Shin, Hyun-Cheul
    • Journal of the Korea Society of Computer and Information
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    • v.14 no.7
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    • pp.1-8
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    • 2009
  • In this paper, make a study decision problem called an optimal release policies after testing a software system in development phase and transfer it to the user. The optimal software release policies which minimize a total average software cost of development and maintenance under the constraint of satisfying a software reliability requirement is generally accepted. The Bayesian parametric inference of model using log Poisson execution time employ tool of Markov chain(Gibbs sampling and Metropolis algorithm). In a numerical example by T1 data was illustrated. make out estimating software optimal release time from the maximum likelihood estimation and Bayesian parametric estimation.

Comparative Study on the Performance of Finite Failure NHPP Software Development Cost Model Based on Inverse-type Life Distribution (Inverse-type 수명분포에 근거한 유한고장 NHPP 소프트웨어 개발비용 모형의 성능에 관한 비교 연구)

  • Seung-Kyu Park
    • The Journal of the Korea institute of electronic communication sciences
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    • v.18 no.5
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    • pp.935-944
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    • 2023
  • In this study, the Inverse-type (: Inverse-Exponential, Inverse-Rayleigh) life distribution, which is known to be suitable for reliability research, was applied to a software development cost model based on finite failure NHPP(: Nonhomogeneous Poisson Process), and then the attributes that determine the model's performance were analyzed. Additionally, to evaluate the efficiency of the model, it was compared with the Goel-Okumoto basic model. The performance of the model was analyzed using failure time data, and MLE (: Maximum Likelihood Estimation) was applied to calculate the parameters. In conclusion, first, as a result of analyzing m(t), which determines the development cost, the Inverse-Exponential model was efficient due to its small error in the true value. Second, as a result of analyzing the release time along with the development cost, the Inverse-Rayleigh model was confirmed to be the best. Third, as a result of comprehensive evaluation of the attributes (m(t), cost, and release time) of the proposed model, the Inverse-Rayleigh model had the best performance. Therefore, if software developers can effectively utilize this research data in the early process, they will be able to proactively explore and analyze attributes that affect cost.

The Study of Software Optimal Release Using Sensitivity Analysis (민감도 분석을 이용한 소프트웨어 최적방출시기에 관한 연구)

  • Shin, Hyun-Cheul
    • Convergence Security Journal
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    • v.8 no.4
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    • pp.121-126
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    • 2008
  • It is of great practical interest to decide when to stop testing a software system in development phase and transfer it to the user. This decision problem called an optimal release policies. In this paper discussed to specify an optimal release policies. In this paper, propose an optimal release policies of the life distribution applied Erlang distribution of special pattern of Gamma distribution. In this paper, discuss optimal software release policies which minimize a total average software cost of development and maintenance under the constraint of satisfying a software reliability requirement. From Sensitivity Analysis, make out estimating software optimal release time.

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A Study on the Attributes of Software Reliability Cost Model with Shape Parameter Change of Type-2 Gumbel Life Distribution (Type-2 Gumbel 수명분포의 형상모수 변화에 따른 소프트웨어 신뢰성 비용모형의 속성에 관한 연구)

  • Yang, Tae-Jin
    • The Journal of Korea Institute of Information, Electronics, and Communication Technology
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    • v.12 no.3
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    • pp.211-217
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    • 2019
  • In this study, we compare and analyze the attributes of the software development cost model according to the shape parameters change of the Type-2 Gumbel lifetime distribution using the NHPP model. In order to analyze the software failure phenomena, the parametric estimation is applied to the maximum likelihood estimation method, and the nonlinear equations are calculated using the bisection method. As a result, when the attributes of the cost curves according to the change of shape parameters are compared, it is found that the larger the number of shape parameters, the lower the software development cost and the faster the release time. Through this study, it is expected that it will be helpful for the software developers to search for the development cost according to the software shape parameters change, and also to provide the necessary information for the attributes of the software development cost.

The Study for Software Future Forecasting Failure Time Using Time Series Analysis. (시계열 분석을 이용한 소프트웨어 미래 고장 시간 예측에 관한 연구)

  • Kim, Hee-Cheul;Shin, Hyun-Cheul
    • Convergence Security Journal
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    • v.11 no.3
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    • pp.19-24
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    • 2011
  • Software failure time presented in the literature exhibit either constant monotonic increasing or monotonic decreasing, For data analysis of software reliability model, data scale tools of trend analysis are developed. The methods of trend analysis are arithmetic mean test and Laplace trend test. Trend analysis only offer information of outline content. In this paper, we discuss forecasting failure time case of failure time censoring. In this study, time series analys is used in the simple moving average and weighted moving averages, exponential smoothing method for predict the future failure times, Empirical analysis used interval failure time for the prediction of this model. Model selection using the mean square error was presented for effective comparison.

Text Analysis of Software Test Report (소프트웨어 시험성적서에 대한 텍스트 분석)

  • Jung, Hye-Jung;Han, Gun-Hee
    • Journal of the Korea Convergence Society
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    • v.11 no.11
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    • pp.25-31
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    • 2020
  • This study is to study a method of applying weights for quality characteristics in software test evaluation. The weight application method analyzes the text of the test report and uses the ratio according to the frequency of the text as a weight for the quality characteristics of the software test score. The feasibility review of the results of this study was conducted by comparing the results of the questionnaire survey, which made the developers and users to evaluate the importance of software, and the results of the frequency analysis of text analysis. When measuring quality based on the eight quality characteristics presented in ISO/IEC 25023, the result of this study is the software quality measurement result considering software characteristics, whereas the result of this study is the software quality measurement result by applying the same weight when measuring quality.