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Import model of flexible woven composites in ANSYS Mechanical APDL
Computer Research and Modeling, 2018, v. 10, no. 6, pp. 789-799Views (last year): 34.A variant of import into ANSYS Mechanical APDL system of the model of behavior of flexible woven composite materials with reinforcing weaving cloth of linen at static stretching along the reinforcement yarns is offered. The import was carried out using an integration module based on the use of an analytical model of deformation of the material under study. The model is presented in the articles published earlier and takes into account the changes in the geometric structure occurring in the reinforcing layer of the material during the deformation process, the formation of irreversible deformations and the interaction of cross-lying reinforcing fabric threads. In the introduction input characteristics of the plain weave of the reinforcing fabric and the analytical model imported into ANSYS are briefly described. The input parameters of the module are the mechanical characteristics of the materials that make up the composite (binder and material of reinforcement yarns), the geometric characteristics of the interlacing of the reinforcing fabric. The algorithm for importing the model is based on the calculation and transfer in ANSYS of the calculated points of the material stress-strain diagram for uniaxial stretching along the reinforcement direction and using the Multilinear Kinematich Hardening model material embedded in the ANSYS. The analytical model imported with the help of the presented module allows to model a composite material with reinforcing fabric without a detailed description of the geometry of the interlacing of threads during modeling of the material as a whole. The imported model was verified. For verification full-scale experimental studies and numerical simulation of the stretching of samples from flexible woven composites were carried out. The analysis of the obtained results showed good qualitative and quantitative agreement of calculations.
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Modeling of deformation processes in structure of flexible woven composites
Computer Research and Modeling, 2020, v. 12, no. 3, pp. 547-557Flexible woven composites are classified as high-tech innovative materials. Due to the combination of various components of the filler and reinforcement elements, such materials are used in construction, in the defense industry, in shipbuilding and aircraft construction, etc. In the domestic literature, insufficient attention is paid to woven composites that change their geometric structure of the reinforcing layer during deformation. This paper presents an analysis of the previously proposed complex approach to modeling the behavior of flexible woven composites under static uniaxial tension for further generalization of the approach to biaxial tension. The work is aimed at qualitative and quantitative description of mechanical deformation processes occurring in the structure of the studied materials under tension, which include straightening the strands of the reinforcing layer and increasing the value of mutual pressure of the cross-lying reinforcement strands. At the beginning of the deformation process, the straightening of the threads and the increase in mutual pressure of the threads are most intense. With the increase in the level of load, the change of these parameters slows down. For example, the bending of the reinforcement strands goes into the Central tension, and the value of the load from the mutual pressure is no longer increased (tends to constant). To simulate the described processes, the basic geometrical and mechanical parameters of the material affecting the process of forming are introduced, the necessary terminology and description of the characteristics are given. Due to the high geometric nonlinearity of the all processes described in the increments, as in the initial load values there is a significant deformation of the reinforcing layer. For the quantitative and qualitative description of mechanical deformation processes occurring in the reinforcing layer, analytical dependences are derived to determine the increment of the angle of straightening of reinforcement filaments and the load caused by the mutual pressure of the cross-lying filaments at each step of the load increment. For testing of obtained dependencies shows an example of their application for flexible woven composites brands VP4126, VP6131 and VP6545. The simulation results confirmed the assumptions about the processes of straightening the threads and slowing the increase in mutual pressure of the threads. The results and dependences presented in this paper are directly related to the further generalization of the previously proposed analytical models for biaxial tension, since stretching in two directions will significantly reduce the straightening of the threads and increase the amount of mutual pressure under similar loads.
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A modified model of the effect of stress concentration near a broken fiber on the tensile strength of high-strength composites (MLLS-6)
Computer Research and Modeling, 2020, v. 12, no. 3, pp. 559-573The article proposes a model for assessing the potential strength of a composite material based on modern fibers with brittle fracture.
Materials consisting of parallel cylindrical fibers that are quasi-statically stretched in one direction are simulated. It is assumed that the sample is not less than 100 pieces, which corresponds to almost significant cases. It is known that the fibers have a distribution of ultimate deformation in the sample and are not destroyed at the same moment. Usually the distribution of their properties is described by the Weibull–Gnedenko statistical distribution. To simulate the strength of the composite, a model of fiber breaks accumulation is used. It is assumed that the fibers united by the polymer matrix are crushed to twice the inefficient length — the distance at which the stresses increase from the end of the broken fiber to the middle one. However, this model greatly overestimates the strength of composites with brittle fibers. For example, carbon and glass fibers are destroyed in this way.
In some cases, earlier attempts were made to take into account the stress concentration near the broken fiber (Hedgepest model, Ermolenko model, shear analysis), but such models either required a lot of initial data or did not coincide with the experiment. In addition, such models idealize the packing of fibers in the composite to the regular hexagonal packing.
The model combines the shear analysis approach to stress distribution near the destroyed fiber and the statistical approach of fiber strength based on the Weibull–Gnedenko distribution, while introducing a number of assumptions that simplify the calculation without loss of accuracy.
It is assumed that the stress concentration on the adjacent fiber increases the probability of its destruction in accordance with the Weibull distribution, and the number of such fibers with an increased probability of destruction is directly related to the number already destroyed before. All initial data can be obtained from simple experiments. It is shown that accounting for redistribution only for the nearest fibers gives an accurate forecast.
This allowed a complete calculation of the strength of the composite. The experimental data obtained by us on carbon fibers, glass fibers and model composites based on them (CFRP, GFRP), confirm some of the conclusions of the model.
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Buckling prediction for shallow convex shells based on the analysis of nonlinear oscillations
Computer Research and Modeling, 2023, v. 15, no. 5, pp. 1189-1205Buckling problems of thin elastic shells have become relevant again because of the discrepancies between the standards in many countries on how to estimate loads causing buckling of shallow shells and the results of the experiments on thinwalled aviation structures made of high-strength alloys. The main contradiction is as follows: the ultimate internal stresses at shell buckling (collapsing) turn out to be lower than the ones predicted by the adopted design theory used in the USA and European standards. The current regulations are based on the static theory of shallow shells that was put forward in the 1930s: within the nonlinear theory of elasticity for thin-walled structures there are stable solutions that significantly differ from the forms of equilibrium typical to small initial loads. The minimum load (the lowest critical load) when there is an alternative form of equilibrium was used as a maximum permissible one. In the 1970s it was recognized that this approach is unacceptable for complex loadings. Such cases were not practically relevant in the past while now they occur with thinner structures used under complex conditions. Therefore, the initial theory on bearing capacity assessments needs to be revised. The recent mathematical results that proved asymptotic proximity of the estimates based on two analyses (the three-dimensional dynamic theory of elasticity and the dynamic theory of shallow convex shells) could be used as a theory basis. This paper starts with the setting of the dynamic theory of shallow shells that comes down to one resolving integrodifferential equation (once the special Green function is constructed). It is shown that the obtained nonlinear equation allows for separation of variables and has numerous time-period solutions that meet the Duffing equation with “a soft spring”. This equation has been thoroughly studied; its numerical analysis enables finding an amplitude and an oscillation period depending on the properties of the Green function. If the shell is oscillated with the trial time-harmonic load, the movement of the surface points could be measured at the maximum amplitude. The study proposes an experimental set-up where resonance oscillations are generated with the trial load normal to the surface. The experimental measurements of the shell movements, the amplitude and the oscillation period make it possible to estimate the safety factor of the structure bearing capacity with non-destructive methods under operating conditions.
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Computer analysis of the bone regeneration strength in a model system of osteosynthesis by the Ilizarov fixator with static loads
Computer Research and Modeling, 2014, v. 6, no. 3, pp. 427-440Views (last year): 3.The adequate complexity three-dimensional finite element model of biomechanical system with space, shell and beam-type elements was built. The model includes the Ilizarov fixator and tibial bone’s simulator with the regenerating tissue at the fracture location. The proposed model allows us to specify the orthotropic elastic properties of tibial bone model in cortical and trabecular zones. It is also possible to change the basic geometrical and mechanical characteristics of biomechanical system, change the finite element mash density and define the different external loads, such as pressure on the bone and compression or distraction between the repositioned rings of Ilizarov device.
By using special APDL ANSYS program macros the mode of deformation was calculated in the fracture zone for various static loads on the simulator bone, for compression or distraction between the repositioned rings and for various mechanical properties during different stages of the bone regenerate formation (gelatinous, cartilaginous, trabecular and cortical bone remodeling). The obtained results allow us to estimate the permissible values of the external pressure on the bone and of the displacements of the Ilizarov fixator rings for different stages of the bone regeneration, based on the admittance criterion for the maximum of the stresses in the callus. The presented data can be used in a clinical condition for planning, realization and monitoring of the power modes for transosseous osteosynthesis with the external Ilizarov fixator.
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Model for operational optimal control of financial recourses distribution in a company
Computer Research and Modeling, 2019, v. 11, no. 2, pp. 343-358Views (last year): 33.A critical analysis of existing approaches, methods and models to solve the problem of financial resources operational management has been carried out in the article. A number of significant shortcomings of the presented models were identified, limiting the scope of their effective usage. There are a static nature of the models, probabilistic nature of financial flows are not taken into account, daily amounts of receivables and payables that significantly affect the solvency and liquidity of the company are not identified. This necessitates the development of a new model that reflects the essential properties of the planning financial flows system — stochasticity, dynamism, non-stationarity.
The model for the financial flows distribution has been developed. It bases on the principles of optimal dynamic control and provides financial resources planning ensuring an adequate level of liquidity and solvency of a company and concern initial data uncertainty. The algorithm for designing the objective cash balance, based on principles of a companies’ financial stability ensuring under changing financial constraints, is proposed.
Characteristic of the proposed model is the presentation of the cash distribution process in the form of a discrete dynamic process, for which a plan for financial resources allocation is determined, ensuring the extremum of an optimality criterion. Designing of such plan is based on the coordination of payments (cash expenses) with the cash receipts. This approach allows to synthesize different plans that differ in combinations of financial outflows, and then to select the best one according to a given criterion. The minimum total costs associated with the payment of fines for non-timely financing of expenses were taken as the optimality criterion. Restrictions in the model are the requirement to ensure the minimum allowable cash balances for the subperiods of the planning period, as well as the obligation to make payments during the planning period, taking into account the maturity of these payments. The suggested model with a high degree of efficiency allows to solve the problem of financial resources distribution under uncertainty over time and receipts, coordination of funds inflows and outflows. The practical significance of the research is in developed model application, allowing to improve the financial planning quality, to increase the management efficiency and operational efficiency of a company.
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Performance prediction for chosen types of loops over one-dimensional arrays with embedding-driven intermediate representations analysis
Computer Research and Modeling, 2023, v. 15, no. 1, pp. 211-224The method for mapping of intermediate representations (IR) set of C, C++ programs to vector embedding space is considered to create an empirical estimation framework for static performance prediction using LLVM compiler infrastructure. The usage of embeddings makes programs easier to compare due to avoiding Control Flow Graphs (CFG) and Data Flow Graphs (DFG) direct comparison. This method is based on transformation series of the initial IR such as: instrumentation — injection of artificial instructions in an instrumentation compiler’s pass depending on load offset delta in the current instruction compared to the previous one, mapping of instrumented IR into multidimensional vector with IR2Vec and dimension reduction with t-SNE (t-distributed stochastic neighbor embedding) method. The D1 cache miss ratio measured with perf stat tool is considered as performance metric. A heuristic criterion of programs having more or less cache miss ratio is given. This criterion is based on embeddings of programs in 2D-space. The instrumentation compiler’s pass developed in this work is described: how it generates and injects artificial instructions into IR within the used memory model. The software pipeline that implements the performance estimation based on LLVM compiler infrastructure is given. Computational experiments are performed on synthetic tests which are the sets of programs with the same CFGs but with different sequences of offsets used when accessing the one-dimensional array of a given size. The correlation coefficient between performance metric and distance to the worst program’s embedding is measured and proved to be negative regardless of t-SNE initialization. This fact proves the heuristic criterion to be true. The process of such synthetic tests generation is also considered. Moreover, the variety of performance metric in programs set in such a test is proposed as a metric to be improved with exploration of more tests generators.
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