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ASTM C 1239 : 2013 : R2024 : EDT 1

Current

Current

The latest, up-to-date edition.

Standard Practice for Reporting Uniaxial Strength Data and Estimating Weibull Distribution Parameters for Advanced Ceramics

Available format(s)

Hardcopy , PDF

Language(s)

English

Published date

15-09-2024

£52.98
Excluding VAT

Committee
C 28
DocumentType
Standard Practice
Pages
18
PublisherName
American Society for Testing and Materials
Status
Current
Supersedes

1.1This practice covers the evaluation and reporting of uniaxial strength data and the estimation of Weibull probability distribution parameters for advanced ceramics that fail in a brittle fashion (see Fig. 1). The estimated Weibull distribution parameters are used for statistical comparison of the relative quality of two or more test data sets and for the prediction of the probability of failure (or, alternatively, the fracture strength) for a structure of interest. In addition, this practice encourages the integration of mechanical property data and fractographic analysis.

1.2The failure strength of advanced ceramics is treated as a continuous random variable determined by the flaw population. Typically, a number of test specimens with well-defined geometry are failed under isothermal, well-defined displacement and/or force-application conditions. The force at which each test specimen fails is recorded. The resulting failure stress data are used to obtain Weibull parameter estimates associated with the underlying flaw population distribution.

1.3This practice is restricted to the assumption that the distribution underlying the failure strengths is the two-parameter Weibull distribution with size scaling. Furthermore, this practice is restricted to test specimens (tensile, flexural, pressurized ring, etc.) that are primarily subjected to uniaxial stress states. The practice also assumes that the flaw population is stable with time and that no slow crack growth is occurring.

1.4The practice outlines methods to correct for bias errors in the estimated Weibull parameters and to calculate confidence bounds on those estimates from data sets where all failures originate from a single flaw population (that is, a single failure mode). In samples where failures originate from multiple independent flaw populations (for example, competing failure modes), the methods outlined in Section 9 for bias correction and confidence bounds are not applicable.

1.5This practice includes the following:

Section

Scope

1

Referenced Documents

2

Terminology

3

Summary of Practice

4

Significance and Use

5

Interferences

6

Outlying Observations

7

Maximum Likelihood Parameter Estimators for Competing Flaw Distributions

8

Unbiasing Factors and Confidence Bounds

9

Fractography

10

Examples

11

Keywords

12

Computer Algorithm MAXL

Appendix X1

Test Specimens with Unidentified Fracture Origins

Appendix X2

1.6The values stated in SI units are to be regarded as the standard per IEEE/ASTM SI 10.

1.7This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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