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[Keyword] NHPP(4hit)

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  • NHPP-Based Software Reliability Model with Marshall-Olkin Failure Time Distribution

    Xiao XIAO  

     
    PAPER

      Vol:
    E98-A No:10
      Page(s):
    2060-2068

    A new modeling approach for the non-homogeneous Poisson processes (NHPPs) based software reliability modeling is proposed to describe the stochastic behavior of software fault-detection processes, of which the failure rate is not monotonic. The fundamental idea is to apply the Marshall-Olkin distribution to the software fault-detection time distribution. The applicability of Marshall-Olkin distribution in software reliability modeling is studied. The data fitting abilities of the proposed NHPP-based software reliability model is compared with the existing typical ones through real software project data analysis.

  • Software Failure Time Data Analysis via Wavelet-Based Approach

    Xiao XIAO  Tadashi DOHI  

     
    PAPER

      Vol:
    E95-A No:9
      Page(s):
    1490-1497

    The non-homogeneous Poisson process (NHPP) has been applied successfully to model nonstationary counting phenomena for a large class of problems. In software reliability engineering, the NHPP-based software reliability models (SRMs) are of a very important class. Since NHPP is characterized by its rate (intensity) function, which is known as the software failure rate of NHPP-based SRM, it is of great interest to estimate accurately the rate function from observed software failure data. In the existing work the same authors introduced a Haar-wavelet-based technique for this problem and found that the Haar wavelet transform provided a very powerful performance in estimating software failure rate. In this paper, we consider the application potentiality of a Daubechies wavelet estimator in the estimation of software failure rate, given the software failure time data. We give practical solutions by overcoming technical difficulties in applying the Daubechies wavelet estimator to the real software failure time data.

  • NHPP-Based Software Reliability Models Using Equilibrium Distribution

    Xiao XIAO  Hiroyuki OKAMURA  Tadashi DOHI  

     
    PAPER-Reliability, Maintainability and Safety Analysis

      Vol:
    E95-A No:5
      Page(s):
    894-902

    Non-homogeneous Poisson processes (NHPPs) have gained much popularity in actual software testing phases to estimate the software reliability, the number of remaining faults in software and the software release timing. In this paper, we propose a new modeling approach for the NHPP-based software reliability models (SRMs) to describe the stochastic behavior of software fault-detection processes. The fundamental idea is to apply the equilibrium distribution to the fault-detection time distribution in NHPP-based modeling. We also develop efficient parameter estimation procedures for the proposed NHPP-based SRMs. Through numerical experiments, it can be concluded that the proposed NHPP-based SRMs outperform the existing ones in many data sets from the perspective of goodness-of-fit and prediction performance.

  • Bayesian Approach to Optimal Release Policy of Software System

    HeeSoo KIM  Shigeru YAMADA  DongHo PARK  

     
    PAPER-Reliability, Maintainability and Safety Analysis

      Vol:
    E88-A No:12
      Page(s):
    3618-3626

    In this paper, we propose a new software reliability growth model which is the mixture of two exponential reliability growth models, one of which has the reliability growth and the other one does not have the reliability growth after the software is released upon completion of testing phase. The mixture of two such models is characterized by a weighted factor p, which is the proportion of reliability growth part within the model. Firstly, this paper discusses an optimal software release problem with regard to the expected total software cost incurred during the warranty period under the proposed software reliability growth model, which generalizes Kimura, Toyota and Yamada's (1999) model with consideration of the weighted factor. The second main purpose of this paper is to apply the Bayesian approach to the optimal software release policy by assuming the prior distributions for the unknown parameters contained in the proposed software reliability growth model. Some numerical examples are presented for the purpose of comparing the optimal software release policies depending on the choice of parameters by the non-Bayesian and Bayesian methods.

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