A multivariate interval approach for inverse uncertainty quantification with limited experimental data

被引:61
作者
Faes, Matthias [1 ]
Broggi, Matteo [2 ]
Patelli, Edoardo [3 ]
Govers, Yves [4 ]
Mottershead, John [3 ]
Beer, Michael [2 ,3 ,5 ]
Moens, David [1 ]
机构
[1] Katholieke Univ Leuven, Dept Mech Engn, Technol Campus De Nayer,Jan De Nayerlaan 5 St, St Katelijne Waver, Belgium
[2] Leibniz Univ Hannover, Inst Risk & Reliabil, Callinstr 34, Hannover, Germany
[3] Univ Liverpool, Inst Risk & Uncertainty, Peach St, Liverpool L69 7ZF, Merseyside, England
[4] German Aerosp Ctr DLR, Inst Aeroelast, Bunsenstr 10, Gottingen, Germany
[5] Tongji Univ, Int Joint Res Ctr Engn Reliabil & Stochast Mech, Shanghai 200092, Peoples R China
关键词
Multivariate interval uncertainty; Uncertainty quantification; DLR-AIRMOD; Bayesian model updating; Limited data; BAYESIAN-APPROACH; UPDATING MODELS; RANDOM-FIELDS; IDENTIFICATION;
D O I
10.1016/j.ymssp.2018.08.050
中图分类号
TH [机械、仪表工业];
学科分类号
0802 ;
摘要
This paper introduces an improved version of a novel inverse approach for the quantification of multivariate interval uncertainty for high dimensional models under scarce data availability. Furthermore, a conceptual and practical comparison of the method with the well-established probabilistic framework of Bayesian model updating via Transitional Markov Chain Monte Carlo is presented in the context of the DLR-AIRMOD test structure. First, it is shown that the proposed improvements of the inverse method alleviate the curse of dimensionality of the method with a factor up to 10(5). Furthermore, the comparison with the Bayesian results revealed that the selection ofthe most appropriate method depends largely on the desired information and availability of data. In case large amounts of data are available, and/or the analyst desires full (joint)-probabilistic descriptors of the model parameter uncertainty, the Bayesian method is shown to be the most performing. On the other hand however, when such descriptors are not needed (e.g., for worst-case analysis), and only scarce data are available, the interval method is shown to deliver more objective and robust bounds on the uncertain parameters. Finally, also suggestions to aid the analyst in selecting the most appropriate method for inverse uncertainty quantification are given. (C) 2018 Elsevier Ltd. All rights reserved.
引用
收藏
页码:534 / 548
页数:15
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