Calculating The Parameters of The Weibull Distribution
Calculating The Parameters of The Weibull Distribution
Calculating The Parameters of The Weibull Distribution
Parameter Estimation
The estimates of the parameters of the Weibull distribution can be found graphically on
probability plotting paper or analytically using either least squares or maximum likelihood.
Parameter estimation methods are presented in detail in Appendix B: Parameter Estimations.
Probability Plotting
One method of calculating the parameters of the Weibull distribution is by using probability
plotting. To better illustrate this procedure, consider the following example [ 19].
Example 3
Let's assume six identical units are being reliability tested at the same application and operation
stress levels. All of these units fail during the test after operating the following times (in hours),
Ti: 93, 34, 16, 120, 53 and 75.
The steps for determining the parameters of the Weibull pdf representing the data, using
probability plotting, are as follows:
Obtain their median rank plotting positions. The times-to-failure, with their
corresponding median ranks, are shown next.
On a Weibull probability paper, plot the times and their corresponding ranks. Figure 8
displays an example of a Weibull probability paper (the solution is given in Figure 9).
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Fig. 8: Sample Weibull probability plotting paper
Draw the best possible straight line through the plotted points (as shown in Figure 9).
Obtain the slope of this line by drawing a line, parallel to the one just obtained, through
the slope indicator. This value is the estimate of the shape parameter . In this case
= 1.4.
At the Q(t) = 63.2% ordinate point, draw a straight horizontal line until this line
intersects the fitted straight line. Draw a vertical line through this intersection until it
crosses the abscissa. The value at the intersection of the abscissa is the estimate of .
For this case = 76 hr. (This is always at 63.2% since Q(t) = = 1 - e-1 = 0.632
= 63.2%).
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Fig. 9: Probability Plot for Example 3
Now any reliability value for any mission time t can be obtained. For example the reliability for a
mission of 15 hr, or any other time, can now be obtained either from the plot or analytically (i.e.
using the equations given in the Weibull Distribution section).
To obtain the value from the plot, draw a vertical line from the abscissa, at t = 15 hr, to the fitted
line. Draw a horizontal line from this intersection to the ordinate and read Q(t), in this case Q(t
= 15) = 9.8%. Thus, R(t = 15) = 1 - Q(t) = 90.2%. This can also be obtained analytically,
from the Weibull reliability function, since both of the parameters are known or:
The parameters of the 2-parameter Weibull distribution can also be estimated using maximum
likelihood estimation (MLE). This log-likelihood function is:
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where:
and:
is the Weibull shape parameter (unknown a priori, the first of two parameters to be
found).
is the Weibull scale parameter (unknown a priori, the second of two parameters to be
found).
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is the ending of the ith interval.
The solution will be found by solving for a pair of parameters so that = 0 and = 0.
(Other methods can also be used, such as direct maximization of the likelihood function, without
having to compute the derivatives.)
(
10)
(11)
Example 4
Using the same data as in the probability plotting example (Example 3) and assuming a 2-
parameter Weibull distribution, estimate the parameter using the MLE method.
Solution
In this case we have non-grouped data with no suspensions, thus Eqns. (10) and (11) become:
and:
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Solving the above equations simultaneously we get:
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