Computation Procedures of Reliability Measures for Interval Data
This paper is to propose two computation procedures of reliability measures for large interval data. First method is efficient to verify the relationship among four reliability measures such as F(t), R(t), f(t) and λ(t). Another method is effective to interpret the concept of various reliability measures. This study is also to reinterpret and recompute the errors of four reliability measures discovered in the reliability textbooks. Various numerical examples are presented to illustrate the application of two proposed procedures.