可用性和不可用性数据的马尔可夫建模

P. Buchholz, J. Kriege
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引用次数: 10

摘要

马尔可夫模型经常用于性能和可靠性分析,它允许对许多结果度量进行精确和数值稳定的计算,包括那些由罕见事件引起的结果度量。然而,众所周知,作为马尔可夫建模基础的简单指数分布不能充分描述分布式系统中组件的可用性或不可用间隔的持续时间。通常用于建模这些持续时间的是威布尔分布,对数正态分布或帕累托分布,这些分布也可以捕获可能的重尾行为,但无法进行分析或数值分析。在可用性或不可用性区间建模中应用上述分布的另一种选择是阶段类型分布和马尔可夫到达过程,它们仍然会导致马尔可夫模型。基于对大量公开可用性跟踪的实验,我们表明阶段类型分布是其他已知分布的灵活替代方案,甚至马尔可夫模型可以很容易地扩展到捕获可用性或不可用间隔长度的相关性。
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Markov Modeling of Availability and Unavailability Data
Markov models are often used in performance and dependability analysis and allow a precise and numerically stable computation of many result measures including those which result from rare events. It is, however, known that simple exponential distributions, which are the base of Markov modeling, cannot adequately describe the duration of availability or unavailability intervals of components in a distributed system. Commonly used in modeling those durations are Weibull, log-normal or Pareto distributions that can also capture a possibly heavy tailed behavior but cannot be analyzed analytically or numerically. An alternative to applying the mentioned distributions in modeling availability or unavailability intervals are phase type distributions and Markovian arrival processes that still result in a Markov model. Based on experiments for a large number of publically available availability traces, we show that phase type distributions are a flexible alternative to other commonly known distributions and even more that Markov models can be easily extended to capture also correlation in the length of availability or unavailability intervals.
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