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Journal Article

A New Metamodeling Approach for Time-Dependent Reliability of Dynamic Systems with Random Parameters Excited by Input Random Processes

2014-04-01
2014-01-0717
We propose a new metamodeling method to characterize the output (response) random process of a dynamic system with random parameters, excited by input random processes. The metamodel can be then used to efficiently estimate the time-dependent reliability of a dynamic system using analytical or simulation-based methods. The metamodel is constructed by decomposing the input random processes using principal components or wavelets and then using a few simulations to estimate the distributions of the decomposition coefficients. A similar decomposition is also performed on the output random process. A kriging model is then established between the input and output decomposition coefficients and subsequently used to quantify the output random process corresponding to a realization of the input random parameters and random processes. What distinguishes our approach from others in metamodeling is that the system input is not deterministic but random.
Journal Article

Reliability and Cost Trade-Off Analysis of a Microgrid

2018-04-03
2018-01-0619
Optimizing the trade-off between reliability and cost of operating a microgrid, including vehicles as both loads and sources, can be a challenge. Optimal energy management is crucial to develop strategies to improve the efficiency and reliability of microgrids, as well as new communication networks to support optimal and reliable operation. Prior approaches modeled the grid using MATLAB, but did not include the detailed physics of loads and sources, and therefore missed the transient effects that are present in real-time operation of a microgrid. This article discusses the implementation of a physics-based detailed microgrid model including a diesel generator, wind turbine, photovoltaic array, and utility. All elements are modeled as sources in Simulink. Various loads are also implemented including an asynchronous motor. We show how a central control algorithm optimizes the microgrid by trying to maximize reliability while reducing operational cost.
Journal Article

Long Life Axial Fatigue Strength Models for Ferrous Powder Metals

2018-04-03
2018-01-1395
Two models are presented for the long life (107 cycles) axial fatigue strength of four ferrous powder metal (PM) material series: sintered and heat-treated iron-carbon steel, iron-copper and copper steel, iron-nickel and nickel steel, and pre-alloyed steel. The materials are defined at ranges of carbon content and densities using the broad data available in the Metal Powder Industries Federation (MPIF) Standard 35 for PM structural parts. The first model evaluates 107 cycles axial fatigue strength as a function of ultimate strength and the second model as a function of hardness. For all 118 studied materials, both models are found to have a good correlation between calculated and 107 cycles axial fatigue strength with a high Pearson correlation coefficient of 0.97. The article provides details on the model development and the reasoning for selecting the ultimate strength and hardness as the best predictors for 107 cycles axial fatigue strength.
Journal Article

Reanalysis of Linear Dynamic Systems using Modified Combined Approximations with Frequency Shifts

2016-04-05
2016-01-1338
Weight reduction is very important in automotive design because of stringent demand on fuel economy. Structural optimization of dynamic systems using finite element (FE) analysis plays an important role in reducing weight while simultaneously delivering a product that meets all functional requirements for durability, crash and NVH. With advancing computer technology, the demand for solving large FE models has grown. Optimization is however costly due to repeated full-order analyses. Reanalysis methods can be used in structural vibrations to reduce the analysis cost from repeated eigenvalue analyses for both deterministic and probabilistic problems. Several reanalysis techniques have been introduced over the years including Parametric Reduced Order Modeling (PROM), Combined Approximations (CA) and the Epsilon algorithm, among others.
Journal Article

Computational Efficiency Improvements in Topography Optimization Using Reanalysis

2016-04-05
2016-01-1395
To improve fuel economy, there is a trend in automotive industry to use light weight, high strength materials. Automotive body structures are composed of several panels which must be downsized to reduce weight. Because this affects NVH (Noise, Vibration and Harshness) performance, engineers are challenged to recover the lost panel stiffness from down-gaging in order to improve the structure borne noise transmitted through the lightweight panels in the frequency range of 100-300 Hz where most of the booming and low medium frequency noise occurs. The loss in performance can be recovered by optimized panel geometry using beading or damping treatment. Topography optimization is a special class of shape optimization for changing sheet metal shapes by introducing beads. A large number of design variables can be handled and the process is easy to setup in commercial codes. However, optimization methods are computationally intensive because of repeated full-order analyses.
Journal Article

A Nonparametric Bootstrap Approach to Variable-size Local-domain Design Optimization and Computer Model Validation

2012-04-16
2012-01-0226
Design optimization often relies on computational models, which are subjected to a validation process to ensure their accuracy. Because validation of computer models in the entire design space can be costly, a recent approach was proposed where design optimization and model validation were concurrently performed using a sequential approach with both fixed and variable-size local domains. The variable-size approach used parametric distributions such as Gaussian to quantify the variability in test data and model predictions, and a maximum likelihood estimation to calibrate the prediction model. Also, a parametric bootstrap method was used to size each local domain. In this article, we generalize the variable-size approach, by not assuming any distribution such as Gaussian. A nonparametric bootstrap methodology is instead used to size the local domains. We expect its generality to be useful in applications where distributional assumptions are difficult to verify, or not met at all.
Journal Article

Multi-Objective Decision Making under Uncertainty and Incomplete Knowledge of Designer Preferences

2011-04-12
2011-01-1080
Multi-attribute decision making and multi-objective optimization complement each other. Often, while making design decisions involving multiple attributes, a Pareto front is generated using a multi-objective optimizer. The end user then chooses the optimal design from the Pareto front based on his/her preferences. This seemingly simple methodology requires sufficient modification if uncertainty is present. We explore two kinds of uncertainties in this paper: uncertainty in the decision variables which we call inherent design problem (IDP) uncertainty and that in knowledge of the preferences of the decision maker which we refer to as preference assessment (PA) uncertainty. From a purely utility theory perspective a rational decision maker maximizes his or her expected multi attribute utility.
Journal Article

Managing the Computational Cost of Monte Carlo Simulation with Importance Sampling by Considering the Value of Information

2013-04-08
2013-01-0943
Importance Sampling is a popular method for reliability assessment. Although it is significantly more efficient than standard Monte Carlo simulation if a suitable sampling distribution is used, in many design problems it is too expensive. The authors have previously proposed a method to manage the computational cost in standard Monte Carlo simulation that views design as a choice among alternatives with uncertain reliabilities. Information from simulation has value only if it helps the designer make a better choice among the alternatives. This paper extends their method to Importance Sampling. First, the designer estimates the prior probability density functions of the reliabilities of the alternative designs and calculates the expected utility of the choice of the best design. Subsequently, the designer estimates the likelihood function of the probability of failure by performing an initial simulation with Importance Sampling.
Journal Article

Warranty Forecasting of Repairable Systems for Different Production Patterns

2017-03-28
2017-01-0209
Warranty forecasting of repairable systems is very important for manufacturers of mass produced systems. It is desired to predict the Expected Number of Failures (ENF) after a censoring time using collected failure data before the censoring time. Moreover, systems may be produced with a defective component resulting in extensive warranty costs even after the defective component is detected and replaced with a new design. In this paper, we present a forecasting method to predict the ENF of a repairable system using observed data which is used to calibrate a Generalized Renewal Processes (GRP) model. Manufacturing of products may exhibit different production patterns with different failure statistics through time. For example, vehicles produced in different months may have different failure intensities because of supply chain differences or different skills of production workers, for example.
Journal Article

Efficient Probabilistic Reanalysis and Optimization of a Discrete Event System

2011-04-12
2011-01-1081
This paper presents a methodology to evaluate and optimize discrete event systems, such as an assembly line or a call center. First, the methodology estimates the performance of a system for a single probability distribution of the inputs. Probabilistic Reanalysis (PRRA) uses this information to evaluate the effect of changes in the system configuration on its performance. PRRA is integrated with a program to optimize the system. The proposed methodology is dramatically more efficient than one requiring a new Monte Carlo simulation each time we change the system. We demonstrate the approach on a drilling center and an electronic parts factory.
Technical Paper

Reliability and Resiliency Definitions for Smart Microgrids Based on Utility Theory

2017-03-28
2017-01-0205
Reliability and resiliency (R&R) definitions differ depending on the system under consideration. Generally, each engineering sector defines relevant R&R metrics pertinent to their system. While this can impede cross-disciplinary engineering projects as well as research, it is a necessary strategy to capture all the relevant system characteristics. This paper highlights the difficulties associated with defining performance of such systems while using smart microgrids as an example. Further, it develops metrics and definitions that are useful in assessing their performance, based on utility theory. A microgrid must not only anticipate load conditions but also tolerate partial failures and remain optimally operating. Many of these failures happen infrequently but unexpectedly and therefore are hard to plan for. We discuss real life failure scenarios and show how the proposed definitions and metrics are beneficial.
Technical Paper

Modeling the Stiffness and Damping Properties of Styrene-Butadiene Rubber

2011-05-17
2011-01-1628
Styrene-Butadiene Rubber (SBR), a copolymer of butadiene and styrene, is widely used in the automotive industry due to its high durability and resistance to abrasion, oils and oxidation. Some of the common applications include tires, vibration isolators, and gaskets, among others. This paper characterizes the dynamic behavior of SBR and discusses the suitability of a visco-elastic model of elastomers, known as the Kelvin model, from a mathematical and physical point of view. An optimization algorithm is used to estimate the parameters of the Kelvin model. The resulting model was shown to produce reasonable approximations of measured dynamic stiffness. The model was also used to calculate the self heating of the elastomer due to energy dissipation by the viscous damping components in the model. Developing such a predictive capability is essential in understanding the dynamic behavior of elastomers considering that their dynamic stiffness can in general depend on temperature.
Journal Article

Flexible Design and Operation of a Smart Charging Microgrid

2014-04-01
2014-01-0716
The reliability theory of repairable systems is vastly different from that of non-repairable systems. The authors have recently proposed a ‘decision-based’ framework to design and maintain repairable systems for optimal performance and reliability using a set of metrics such as minimum failure free period, number of failures in planning horizon (lifecycle), and cost. The optimal solution includes the initial design, the system maintenance throughout the planning horizon, and the protocol to operate the system. In this work, we extend this idea by incorporating flexibility and demonstrate our approach using a smart charging electric microgrid architecture. The flexibility is realized by allowing the architecture to change with time. Our approach “learns” the working characteristics of the microgrid. We use actual load and supply data over a short time to quantify the load and supply random processes and also establish the correlation between them.
Technical Paper

A Methodology of Design for Fatigue Using an Accelerated Life Testing Approach with Saddlepoint Approximation

2019-04-02
2019-01-0159
We present an Accelerated Life Testing (ALT) methodology along with a design for fatigue approach, using Gaussian or non-Gaussian excitations. The accuracy of fatigue life prediction at nominal loading conditions is affected by model and material uncertainty. This uncertainty is reduced by performing tests at a higher loading level, resulting in a reduction in test duration. Based on the data obtained from experiments, we formulate an optimization problem to calculate the Maximum Likelihood Estimator (MLE) values of the uncertain model parameters. In our proposed ALT method, we lift all the assumptions on the type of life distribution or the stress-life relationship and we use Saddlepoint Approximation (SPA) method to calculate the fatigue life Probability Density Functions (PDFs).
Journal Article

A Methodology for Fatigue Life Estimation of Linear Vibratory Systems under Non-Gaussian Loads

2017-03-28
2017-01-0197
Fatigue life estimation, reliability and durability are important in acquisition, maintenance and operation of vehicle systems. Fatigue life is random because of the stochastic load, the inherent variability of material properties, and the uncertainty in the definition of the S-N curve. The commonly used fatigue life estimation methods calculate the mean (not the distribution) of fatigue life under Gaussian loads using the potentially restrictive narrow-band assumption. In this paper, a general methodology is presented to calculate the statistics of fatigue life for a linear vibratory system under stationary, non-Gaussian loads considering the effects of skewness and kurtosis. The input loads are first characterized using their first four moments (mean, standard deviation, skewness and kurtosis) and a correlation structure equivalent to a given Power Spectral Density (PSD).
Journal Article

Time-Dependent Reliability Analysis Using a Modified Composite Limit State Approach

2017-03-28
2017-01-0206
Recent developments in time-dependent reliability have introduced the concept of a composite limit state. The composite limit state method can be used to calculate the time-dependent probability of failure for dynamic systems with limit-state functions of input random variables, input random processes and explicit in time. The probability of failure can be calculated exactly using the composite limit state if the instantaneous limit states are linear, forming an open or close polytope, and are functions of only two random variables. In this work, the restriction on the number of random variables is lifted. The proposed algorithm is accurate and efficient for linear instantaneous limit state functions of any number of random variables. An example on the design of a hydrokinetic turbine blade under time-dependent river flow load demonstrates the accuracy of the proposed general composite limit state approach.
Journal Article

A Subdomain Approach for Uncertainty Quantification of Long Time Horizon Random Processes

2023-04-11
2023-01-0083
This paper addresses the uncertainty quantification of time-dependent problems excited by random processes represented by Karhunen Loeve (KL) expansion. The latter expresses a random process as a series of terms involving the dominant eigenvalues and eigenfunctions of the process covariance matrix weighted by samples of uncorrelated standard normal random variables. For many engineering appli bn vb nmcations, such as random vibrations, durability or fatigue, a long-time horizon is required for meaningful results. In this case however, a large number of KL terms is needed resulting in a very high computational effort for uncertainty propagation. This paper presents a new approach to generate time trajectories (sample functions) of a random process using KL expansion, if the time horizon (duration) is much larger than the process correlation length.
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