软件可靠性模型的可预测性度量

Y. Malaiya, N. Karunanithi, P. Verma
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引用次数: 31

摘要

提出了一种描述软件可靠性增长模型长期可预测性的双分量可预测性度量方法。第一个组件,平均可预测性,衡量模型在整个测试阶段的预测情况。第二个组成部分,平均偏差,是对高估或低估故障数量的一般倾向的衡量。分析了来自不同来源的大型和小型项目的数据集。结果似乎支持对数模型在大多数情况下具有良好可预测性的观察。然而,在非常低的断层密度下,指数模型可能稍好一些。延迟s形模型在某些情况下具有良好的拟合性,但通常表现不佳。
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Predictability measures for software reliability models
A two-component predictability measure is presented that characterizes the long-term predictability of a software reliability growth model. The first component, average predictability, measures how well a model predicts throughout the testing phase. The second component, average bias, is a measure of the general tendency to overestimate or underestimate the number of faults. Data sets for both large and small projects from diverse sources have been analyzed. The results seem to support the observation that the logarithmic model appears to have good predictability is most cases. However, at very low fault densities, the exponential model may be slightly better. The delayed S-shaped model which in some cases has been shown to have good fit, generally performed poorly.<>
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