10% off all books and free delivery over £40
Buy from our bookstore and 25% of the cover price will be given to a school of your choice to buy more books. *15% of eBooks.

Reliability and Risk Models

View All Editions

The selected edition of this book is not available to buy right now.
Add To Wishlist
Write A Review

About

Reliability and Risk Models Synopsis

A comprehensively updated and reorganized new edition. The updates include comparative methods for improving reliability; methods for optimal allocation of limited resources to achieve a maximum risk reduction; methods for improving reliability at no extra cost and building reliability networks for engineering systems. Includes: A unique set of 46 generic principles for reducing technical risk Monte Carlo simulation algorithms for improving reliability and reducing risk Methods for setting reliability requirements based on the cost of failure New reliability measures based on a minimal separation of random events on a time interval Overstress reliability integral for determining the time to failure caused by overstress failure modes A powerful equation for determining the probability of failure controlled by defects in loaded components with complex shape Comparative methods for improving reliability which do not require reliability data Optimal allocation of limited resources to achieve a maximum risk reduction Improving system reliability based solely on a permutation of interchangeable components

About This Edition

ISBN: 9781118873328
Publication date: 6th November 2015
Author: Michael (Cranfield University, UK) Todinov
Publisher: John Wiley & Sons Inc
Format: Hardback
Pagination: 456 pages
Series: Quality and Reliability Engineering Series
Genres: Reliability engineering