Weibull Distribution Examples

These examples also appear in the Life Data Analysis Reference book.

Median Rank Plot Example
In this example, we will determine the median rank value used for plotting the 6th failure from a sample size of 10. This example will use Weibull++'s Quick Statistical Reference (QSR) tool to show how the points in the plot of the following example are calculated.

First, open the Quick Statistical Reference tool and select the Inverse F-Distribution Values option.

In this example, n1 = 10, j = 6, m = 2(10 - 6 + 1) = 10, and n2 = 2 x 6 = 12.

Thus, from the F-distribution rank equation:


 * $$MR=\frac{1}{1+\left( \frac{10-6+1}{6} \right){{F}_{0.5;10;12}}}\,\!$$

Use the QSR to calculate the value of F0.5;10;12 = 0.9886, as shown next:



Consequently:


 * $$MR=\frac{1}{1+\left( \frac{5}{6} \right)\times 0.9886}=0.5483=54.83%\,\!$$

Another method is to use the Median Ranks option directly, which yields MR(%) = 54.8305%, as shown next:

Complete Data Example
Assume that 10 identical units (N = 10) are being reliability tested at the same application and operation stress levels. 6 of these units fail during this test after operating the following numbers of hours, $${T}_{j}\,\!$$: 150, 105, 83, 123, 64 and 46. The test is stopped at the 6th failure. Find the parameters of the Weibull pdf that represents these data.

Solution

Create a new Weibull++ standard folio that is configured for grouped times-to-failure data with suspensions.

Enter the data in the appropriate columns. Note that there are 4 suspensions, as only 6 of the 10 units were tested to failure (the next figure shows the data as entered). Use the 3-parameter Weibull and MLE for the calculations.



Plot the data.



Note that the original data points, on the curved line, were adjusted by subtracting 30.92 hours to yield a straight line as shown above.

Suspension Data Example
ACME company manufactures widgets, and it is currently engaged in reliability testing a new widget design. 19 units are being reliability tested, but due to the tremendous demand for widgets, units are removed from the test whenever the production cannot cover the demand. The test is terminated at the 67th day when the last widget is removed from the test. The following table contains the collected data.

Solution

In this example, we see that the number of failures is less than the number of suspensions. This is a very common situation, since reliability tests are often terminated before all units fail due to financial or time constraints. Furthermore, some suspensions will be recorded when a failure occurs that is not due to a legitimate failure mode, such as operator error. In cases such as this, a suspension is recorded, since the unit under test cannot be said to have had a legitimate failure.

Enter the data into a Weibull++ standard folio that is configured for times-to-failure data with suspensions. The folio will appear as shown next:



We will use the 2-parameter Weibull to solve this problem. The parameters using maximum likelihood are:


 * $$\begin{align}

& \hat{\beta }=1.145 \\ & \hat{\eta }=65.97 \\ \end{align}\,\!$$

Using RRX:


 * $$\begin{align}

& \hat{\beta }=0.914\\ & \hat{\eta }=79.38 \\ \end{align}\,\!$$

Using RRY:


 * $$\begin{align}

& \hat{\beta }=0.895\\ & \hat{\eta }=82.02 \\ \end{align}\,\!$$

Interval Data Example
Suppose we have run an experiment with 8 units tested and the following is a table of their last inspection times and failure times:

Analyze the data using several different parameter estimation techniques and compare the results.

Solution

Enter the data into a Weibull++ standard folio that is configured for interval data. The data is entered as follows:



The computed parameters using maximum likelihood are:


 * $$\begin{align}

& \hat{\beta }=5.76 \\ & \hat{\eta }=44.68 \\ \end{align}\,\!$$

Using RRX or rank regression on X:


 * $$\begin{align}

& \hat{\beta }=5.70 \\ & \hat{\eta }=44.54 \\ \end{align}\,\!$$

Using RRY or rank regression on Y:


 * $$\begin{align}

& \hat{\beta }=5.41 \\ & \hat{\eta }=44.76 \\ \end{align}\,\!$$

The plot of the MLE solution with the two-sided 90% confidence bounds is:

Mixed Data Types Example
From Dimitri Kececioglu, Reliability & Life Testing Handbook, Page 406. [20].

Estimate the parameters for the 3-parameter Weibull, for a sample of 10 units that are all tested to failure. The recorded failure times are 200; 370; 500; 620; 730; 840; 950; 1,050; 1,160 and 1,400 hours.

Published Results:

Published results (using probability plotting):


 * $${\widehat{\beta}} = 3.0\,\!$$, $${\widehat{\eta}} = 1,220\,\!$$, $${\widehat{\gamma}} = -300\,\!$$

Computed Results in Weibull++

Weibull++ computed parameters for rank regression on X are:


 * $${\widehat{\beta}} = 2.9013\,\!$$, $${\widehat{\eta}} = 1195.5009\,\!$$, $${\widehat{\gamma}} = -279.000\,\!$$

The small difference between the published results and the ones obtained from Weibull++ are due to the difference in the estimation method. In the publication the parameters were estimated using probability plotting (i.e., the fitted line was "eye-balled"). In Weibull++, the parameters were estimated using non-linear regression (a more accurate, mathematically fitted line). Note that γ in this example is negative. This means that the unadjusted for γ line is concave up, as shown next.



Benchmark with Published Examples
The following examples compare published results to computed results obtained with Weibull++.

Complete Data RRY Example

From Dimitri Kececioglu, Reliability & Life Testing Handbook, Page 418 [20].

Sample of 10 units, all tested to failure. The failures were recorded at 16, 34, 53, 75, 93, 120, 150, 191, 240 and 339 hours.

Published Results

Published Results (using Rank Regression on Y):


 * $$\begin{align}

& \widehat{\beta }=1.20 \\ & \widehat{\eta} = 146.2 \\ & \hat{\rho }=0.998703\\ \end{align}\,\!$$

Computed Results in Weibull++

This same data set can be entered into a Weibull++ standard data sheet. Use RRY for the estimation method.

Weibull++ computed parameters for RRY are:


 * $$\begin{align}

& \widehat{\beta }=1.1973 \\ & \widehat{\eta} = 146.2545 \\ & \hat{\rho }=0.9999\\ \end{align}\,\!$$

The small difference between the published results and the ones obtained from Weibull++ is due to the difference in the median rank values between the two (in the publication, median ranks are obtained from tables to 3 decimal places, whereas in Weibull++ they are calculated and carried out up to the 15th decimal point).

You will also notice that in the examples that follow, a small difference may exist between the published results and the ones obtained from Weibull++. This can be attributed to the difference between the computer numerical precision employed by Weibull++ and the lower number of significant digits used by the original authors. In most of these publications, no information was given as to the numerical precision used.

Suspension Data MLE Example

From Wayne Nelson, Fan Example, Applied Life Data Analysis, page 317 [30].

70 diesel engine fans accumulated 344,440 hours in service and 12 of them failed. A table of their life data is shown next (+ denotes non-failed units or suspensions, using Dr. Nelson's nomenclature). Evaluate the parameters with their two-sided 95% confidence bounds, using MLE for the 2-parameter Weibull distribution.



Published Results:

Weibull parameters (2P-Weibull, MLE):


 * $$\begin{align}

& \widehat{\beta }=1.0584 \\ & \widehat{\eta} = 26,296 \\ \end{align}\,\!$$

Published 95% FM confidence limits on the parameters:


 * $$\begin{align}

& \widehat{\beta }=\lbrace 0.6441, \text{ }1.7394\rbrace \\ & \widehat{\eta} = \lbrace 10,522, \text{ }65,532\rbrace \\ \end{align}\,\!$$

Published variance/covariance matrix:



Note that Nelson expresses the results as multiples of 1,000 (or = 26.297, etc.). The published results were adjusted by this factor to correlate with Weibull++ results.

Computed Results in Weibull++

This same data set can be entered into a Weibull++ standard folio, using 2-parameter Weibull and MLE to calculate the parameter estimates.

You can also enter the data as given in table without grouping them by opening a data sheet configured for suspension data. Then click the Group Data icon and chose Group exactly identical values.





The data will be automatically grouped and put into a new grouped data sheet.

Weibull++ computed parameters for maximum likelihood are:


 * $$\begin{align}

& \widehat{\beta }=1.0584 \\ & \widehat{\eta} = 26,297 \\ \end{align}\,\!$$

Weibull++ computed 95% FM confidence limits on the parameters:


 * $$\begin{align}

& \widehat{\beta }=\lbrace 0.6441, \text{ }1.7394\rbrace \\ & \widehat{\eta} = \lbrace 10,522, \text{ }65,532\rbrace \\ \end{align}\,\!$$

Weibull++ computed/variance covariance matrix:



The two-sided 95% bounds on the parameters can be determined from the QCP. Calculate and then click Report to see the results.



Interval Data MLE Example

From Wayne Nelson, Applied Life Data Analysis, Page 415 [30]. 167 identical parts were inspected for cracks. The following is a table of their last inspection times and times-to-failure:



Published Results:

Published results (using MLE):



Published 95% FM confidence limits on the parameters:



Published variance/covariance matrix:



Computed Results in Weibull++

This same data set can be entered into a Weibull++ standard folio that's configured for grouped times-to-failure data with suspensions and interval data.

Weibull++ computed parameters for maximum likelihood are:



Weibull++ computed 95% FM confidence limits on the parameters:



Weibull++ computed/variance covariance matrix:



Grouped Suspension MLE Example

From Dallas R. Wingo, IEEE Transactions on Reliability Vol. R-22, No 2, June 1973, Pages 96-100.

Wingo uses the following times-to-failure: 37, 55, 64, 72, 74, 87, 88, 89, 91, 92, 94, 95, 97, 98, 100, 101, 102, 102, 105, 105, 107, 113, 117, 120, 120, 120, 122, 124, 126, 130, 135, 138, 182. In addition, the following suspensions are used: 4 at 70, 5 at 80, 4 at 99, 3 at 121 and 1 at 150.

Published Results (using MLE)



Computed Results in Weibull++



Note that you must select the Use True 3-P MLEoption in the Weibull++ Application Setup to replicate these results.

3-P Probability Plot Example

Suppose we want to model a left censored, right censored, interval, and complete data set, consisting of 274 units under test of which 185 units fail. The following table contains the data.

Solution

Since standard ranking methods for dealing with these different data types are inadequate, we will want to use the ReliaSoft ranking method. This option is the default in Weibull++ when dealing with interval data. The filled-out standard folio is shown next:



The computed parameters using MLE are:


 * $$\hat{\beta }=0.748;\text{ }\hat{\eta }=44.38\,\!$$

Using RRX:


 * $$\hat{\beta }=1.057;\text{ }\hat{\eta }=36.29\,\!$$

Using RRY:


 * $$\hat{\beta }=0.998;\text{ }\hat{\eta }=37.16\,\!$$

The plot with the two-sided 90% confidence bounds for the rank regression on X solution is: