Template:NormalDistribution: Difference between revisions
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\mu = & \text{mean of the normal times to failure} \\ | \mu = & \text{mean of the normal times to failure} \\ |
Revision as of 23:11, 3 February 2012
The Normal Distribution
The normal distribution is commonly used for general reliability analysis, times-to-failure of
simple electronic and mechanical components, equipment or systems.
The [math]\displaystyle{ pdf }[/math] of the normal distribution is given by:
- [math]\displaystyle{ \begin{align} f(t)= \frac{1}{\sigma \sqrt{2\pi }}{e^{-\tfrac{1}{2}(\tfrac{t-\mu }{\sigma })^2}} \end{align} }[/math]
where,
- [math]\displaystyle{ \begin{align} \mu = & \text{mean of the normal times to failure} \\ \sigma = & \text{standard deviation of the times to failure} \end{align} }[/math]
The normal distribution and its characteristics are presented in more detail in Chapter 9.