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This monograph presents a survey of mathematical models useful in
solving reliability problems. It includes a detailed discussion of
life distributions corresponding to wearout and their use in
determining maintenance policies, and covers important topics such
as the theory of increasing (decreasing) failure rate
distributions, optimum maintenance policies, and the theory of
coherent systems. The emphasis throughout the book is on making
minimal assumptions--and only those based on plausible physical
considerations--so that the resulting mathematical deductions may
be safely made about a large variety of commonly occurring
reliability situations. The first part of the book is concerned
with component reliability, while the second part covers system
reliability, including problems that are as important today as they
were in the 1960s. Mathematical reliability refers to a body of
ideas, mathematical models, and methods directed toward the
solution of problems in predicting, estimating, or optimizing the
probability of survival, mean life, or, more generally, life
distribution of components and systems. The enduring relevance of
the subject of reliability and the continuing demand for a
graduate-level book on this topic are the driving forces behind its
republication. Mathematical Theory of Reliability now joins a
growing list of volumes in SIAM's Classics series. Although
contemporary reliability books are now available, few provide as
mathematically rigorous a treatment of the required probability
background as this one.
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