Abstract:
The Bayesian approach to constructing models
of the reliability theory is considered. Within this approach, the model
is considered to be incomplete in a certain sense —
it is assumed that the key parameters of the system are
random variables with
known a priori distributions. At some time points, the modifications are
introduced to the system to improve reliability; however, each modification may
either increase or reduce the reliability of the system. Thus, system's reliability
characteristics depend on the ratio of the modification means' parameters of “efficiency”
to the parameters of “defectiveness.” Such relation can be called the “system's
balance index.” In this paper, the case of beta-polynomial
a priori distributions is considered, where one of the parameters
of the system has an a priori beta distribution and the density of the
other parameter has the form of a polynomial. For various combinations
of given a priori distributions, the formulas for calculating
the probabilistic characteristics of the balance index are provided.