Aufgaben:Exercise 5.2: Error Correlation Function: Difference between revisions

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{{quiz-Header|Buchseite=Digitalsignalübertragung/Beschreibungsgrößen digitaler Kanalmodelle}}
{{quiz-Header|Buchseite=Digital_Signal_Transmission/Parameters_of_Digital_Channel_Models}}


[[File:P_ID1854__Dig_A_5_2_version1.png|right|frame|Wahrscheinlichkeiten der Fehlerabstände und Fehlerkorrelationsfunktion]]
[[File:P_ID1854__Dig_A_5_2_version1.png|right|frame|Error distance probability & error correlation function]]
Zur Charakterisierung von digitalen Kanalmodellen verwendet man unter Anderem
For the characterization of digital channel models one uses among other things
* die Fehlerkorrelationsfunktion (FKF)
* the  "error correlation function"  $\rm (ECF)$
:$$\varphi_{e}(k) = {\rm E}[e_{\nu} \cdot e_{\nu +
:$$\varphi_{e}(k) = {\rm E}\big[e_{\nu} \cdot e_{\nu +k}\big]\hspace{0.05cm}, \hspace{0.2cm} k \ge 0\hspace{0.05cm},$$
k}]\hspace{0.05cm}, \hspace{0.2cm} k \ge 0\hspace{0.05cm},$$


* die Fehlerabstandswahrscheinlichkeiten
* the  "error distance probabilities"
:$${\rm Pr}( a =k)  \hspace{0.05cm}, \hspace{0.2cm} k \ge
:$${\rm Pr}( a =k)  \hspace{0.05cm}, \hspace{0.2cm} k \ge1\hspace{0.05cm}.$$
1\hspace{0.05cm}.$$


Hierbei bezeichnen
Here denote:
* $〈e_{\rm \nu}〉$ die Fehlerfolge mit $e_{\rm \nu} ∈ \{0, 1\}$, und
* $〈e_{\rm \nu}〉$  is the error sequence with  $e_{\rm \nu} ∈ \{0, 1\}$.
* $a$ den Fehlerabstand.
* $a$  indicates the error distance  with  $a_{\rm \nu} ∈ \{0, 1, 2, \text{...} \}$.




Zwei direkt aufeinanderfolgende Bitfehler werden somit durch den Fehlerabstand $a = 1$ gekennzeichnet.
Two directly consecutive symbol errors are thus characterized by the error distance  $a = 1$. 


Die Tabelle zeigt beispielhafte Werte der Fehlerabstandswahrscheinlichkeiten ${\rm Pr}(a = k)$ sowie der Fehlerkorrelationsfunktion $\varphi_e(k)$. Einige Angaben fehlen in der Tabelle. Diese Werte sollen aus den gegebenen Werten berechnet werden.
The table shows exemplary values of the error distance probabilities  ${\rm Pr}(a = k)$  as well as the error correlation function  $\varphi_e(k)$.  
*Some data are missing in the table.
*These values are to be calculated from the given values.






''Hinweise:''
* Die Aufgabe behandelt den Lehrstoff des Kapitels [[Digitalsignal%C3%BCbertragung/Beschreibungsgr%C3%B6%C3%9Fen_digitaler_Kanalmodelle| Beschreibungsgrößen digitaler Kanalmodelle]].
* Sollte die Eingabe des Zahlenwertes „0” erforderlich sein, so geben Sie bitte „0.” ein.


Note:  The exercise covers the subject matter of the chapter  [[Digital_Signal_Transmission/Parameters_of_Digital_Channel_Models|"Parameters of Digital Channel Models"]].


===Fragebogen===
 
===Questions===
<quiz display=simple>
<quiz display=simple>
{Welcher Wert ergibt sich für die mittlere Fehlerwahrscheinlichkeit?
{Which value results for the mean error probability?
|type="{}"}
|type="{}"}
$p_{\rm M} \ = \ ${ 0.1 3% }
$p_{\rm M} \ = \ ${ 0.1 3% }


{Welcher Wert ergibt sich für den mittleren Fehlerabstand?
{Which value results for the mean error distance?
|type="{}"}
|type="{}"}
${\rm E}[a] \ = \ ${ 10 3% }
${\rm E}\big[a\big] \ = \ ${ 10 3% }


{Berechnen Sie den Wert der Fehlerkorrelationsfunktion (FKF) für $k = 1$.
{Calculate the value of the error correlation function&nbsp; $\rm (ECF)$&nbsp; for&nbsp; $k = 1$.
|type="{}"}
|type="{}"}
$\varphi_e(k = 1) \ = \ ${ 0.0309 3% }  
$\varphi_e(k = 1) \ = \ ${ 0.0309 3% }  


{Welche Näherung gilt für die Wahrscheinlichkeit des Fehlerabstands $a = 2$?
{What is the approximation for the probability of the error distance&nbsp; $a = 2$?
|type="{}"}
|type="{}"}
${\rm Pr}(a = 2) \ = \ ${ 0.1715 3% }  
${\rm Pr}(a = 2) \ = \ ${ 0.1715 3% }  
</quiz>
</quiz>


===Musterlösung===
===Solution===
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'''(1)'''&nbsp; Die mittlere Fehlerwahrscheinlichkeit ist gleich dem FKF&ndash;Wert für $k = 0$. Wegen $e_{\nu} &#8712; \{0, 1\}$ gilt nämlich:
'''(1)'''&nbsp; The mean error probability is equal to the ECF value for&nbsp; $k = 0$.&nbsp; Namely,&nbsp; because of&nbsp; $e_{\nu} &#8712; \{0, 1\}$:
:$$\varphi_{e}(k = 0) = {\rm E}[e_{\nu}^2 ]= {\rm E}[e_{\nu} ]=
:$$\varphi_{e}(k = 0) = {\rm E}[e_{\nu}^2 ]= {\rm E}[e_{\nu} ]=p_{\rm M} \hspace{0.3cm} \Rightarrow \hspace{0.3cm}p_{\rm M}\hspace{0.15cm}\underline { = 0.1}\hspace{0.05cm}.$$
p_{\rm M} \hspace{0.3cm} \Rightarrow \hspace{0.3cm}p_{\rm M}\hspace{0.15cm}\underline { = 0.1}
\hspace{0.05cm}.$$




'''(2)'''&nbsp; Der mittlere Fehlerabstand ist gleich dem Kehrwert der mittleren Fehlerwahrscheinlichkeit. Das heißt: $E[a] = 1/p_{\rm M} \ \underline {= 10}$.
'''(2)'''&nbsp; The mean&nbsp; $($or:&nbsp; "average"$)$&nbsp; error distance is equal to the reciprocal of the mean error probability.&nbsp; That is:
:$${\rm E}\big[a\big] = 1/p_{\rm M} \ \underline {= 10}.$$




'''(3)'''&nbsp; Nach der Definitionsgleichung und dem [[Stochastische_Signaltheorie/Statistische_Abh%C3%A4ngigkeit_und_Unabh%C3%A4ngigkeit#Bedingte_Wahrscheinlichkeit| Satz von Bayes]] erhält man folgendes Ergebnis:
'''(3)'''&nbsp; According to the definition equation and&nbsp; [[Theory_of_Stochastic_Signals/Statistical_Dependence_and_Independence#Conditional_Probability| "Bayes' theorem"]],&nbsp; the following result is obtained:
:$$\varphi_{e}(k = 1) \hspace{-0.1cm} \ = \ \hspace{-0.1cm} {\rm
:$$\varphi_{e}(k = 1) \hspace{-0.1cm} \ = \ \hspace{-0.1cm} {\rm E}[e_{\nu} \cdot e_{\nu + 1}] = {\rm E}[(e_{\nu} = 1) \cdot(e_{\nu + 1}=1)]={\rm Pr}(e_{\nu + 1}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot {\rm Pr}(e_{\nu} = 1)\hspace{0.05cm}.$$
E}[e_{\nu} \cdot e_{\nu + 1}] = {\rm E}[(e_{\nu} = 1) \cdot
(e_{\nu + 1}=1)]=$$
:$$\hspace{-0.1cm} \ = \ \hspace{-0.1cm}{\rm Pr}(e_{\nu + 1}=1
\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot {\rm
Pr}(e_{\nu} = 1)
\hspace{0.05cm}.$$


Die erste Wahrscheinlichkeits ist gleich ${\rm Pr}(a = 1)$ und die zweite Wahrscheinlichkeit ist gleich $p_{\rm M}$:
*The first probability is equal to&nbsp; ${\rm Pr}(a = 1)$&nbsp; and the second probability is equal to&nbsp; $p_{\rm M}$:
:$$\varphi_{e}(k = 1) = 0.3091 \cdot 0.1\hspace{0.15cm}\underline { = 0.0309}
:$$\varphi_{e}(k = 1) = {\rm Pr}(a = 1) \cdot p_{\rm M} = 0.3091 \cdot 0.1\hspace{0.15cm}\underline { = 0.0309}\hspace{0.05cm}.$$
\hspace{0.05cm}.$$




'''(4)'''&nbsp; Der FKF&ndash;Wert $\varphi_e(k = 2)$ kann (näherungsweise) folgendermaßen interpretiert werden:
'''(4)'''&nbsp; The ECF value&nbsp; $\varphi_e(k = 2)$&nbsp; can be interpreted&nbsp; (approximately)&nbsp; as follows:
:$$\varphi_{e}(k = 2) ={\rm Pr}(e_{\nu + 2}=1
:$$\varphi_{e}(k = 2) ={\rm Pr}(e_{\nu + 2}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot p_{\rm M} $$
\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot p_{\rm M}$$
:$$\Rightarrow \hspace{0.3cm}{\rm Pr}(e_{\nu + 2}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) = \frac{\varphi_{e}(k= 2)}{p_{\rm M}} = \frac{0.0267}{0.1} = 0.267\hspace{0.05cm}.$$
:$$\Rightarrow \hspace{0.3cm}{\rm Pr}(e_{\nu + 2}=1
\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) = \frac{\varphi_{e}(k
= 2)}{p_{\rm M}} = \frac{0.0267}{0.1} = 0.267\hspace{0.05cm}.$$


Diese Wahrscheinlichkeit setzt sich zusammen aus den beiden Möglichkeiten &bdquo;Zum Zeitpunkt $\nu+1$ tritt ein Fehler auf&rdquo; sowie &bdquo;Zum Zeitpunkt $\nu+1$ gibt es keinen Fehler&rdquo;:
*This probability is composed of &nbsp;"at time&nbsp; $\nu+1$&nbsp; an error occurs"&nbsp; and &nbsp;"at time&nbsp; $\nu+1$&nbsp; there is no error":
:$${\rm Pr}(e_{\nu + 2}=1 \hspace{0.05cm}|\hspace{0.05cm} e_{\nu} =
:$${\rm Pr}(e_{\nu + 2}=1 \hspace{0.05cm}|\hspace{0.05cm} e_{\nu} =1) = {\rm Pr}( a =1) \cdot {\rm Pr}( a =1) + {\rm Pr}( a =2)\hspace{0.3cm}\Rightarrow \hspace{0.3cm}{\rm Pr}( a =2)= 0.267 - 0.3091^2 \hspace{0.15cm}\underline {= 0.1715}\hspace{0.05cm}.$$
1) = {\rm Pr}( a =1) \cdot {\rm Pr}( a =1) + {\rm Pr}( a =2)$$
:$$\Rightarrow \hspace{0.3cm}{\rm Pr}( a =2)= 0.267 - 0.3091^2 \hspace{0.15cm}\underline {= 0.1715}\hspace{0.05cm}.$$


Bei der Rechnung wurde davon ausgegangen, dass die einzelnen Fehlerabstände statistisch voneinander unabhängig sind. Diese Annahme gilt allerdings nur für eine besondere Klasse von Kanalmodellen, die man als &bdquo;erneuernd&rdquo; bezeichnet. Das hier betrachtete Bündelfehlermodell erfüllt diese Bedingung nicht. Die tatsächliche Wahrscheinlichkeit ${\rm Pr}(a = 2) = 0.1675$ weicht deshalb vom hier berechneten Wert ($0.1715$) geringfügig ab.
*In the calculation,&nbsp; it was assumed that the individual error distances are statistically independent of each other.
#However,&nbsp; this assumption is valid only for a special class of channel models called&nbsp; "renewing".
#The burst error model considered here does not satisfy this condition.
#The actual probability&nbsp; ${\rm Pr}(a = 2) = 0.1675$&nbsp; therefore deviates slightly from the value calculated here&nbsp; $(0.1715)$.&nbsp;


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[[Category:Aufgaben zu Digitalsignalübertragung|^5.1 Zu den Digitalen Kanalmodellen^]]
[[Category:Digital Signal Transmission: Exercises|^5.1 Digital Channel Models^]]
[[de:Aufgaben:Aufgabe 5.2: Fehlerkorrelationsfunktion]]

Latest revision as of 17:53, 16 March 2026

Error distance probability & error correlation function

For the characterization of digital channel models one uses among other things

  • the  "error correlation function"  $\rm (ECF)$
$$\varphi_{e}(k) = {\rm E}\big[e_{\nu} \cdot e_{\nu +k}\big]\hspace{0.05cm}, \hspace{0.2cm} k \ge 0\hspace{0.05cm},$$
  • the  "error distance probabilities"
$${\rm Pr}( a =k) \hspace{0.05cm}, \hspace{0.2cm} k \ge1\hspace{0.05cm}.$$

Here denote:

  • $〈e_{\rm \nu}〉$  is the error sequence with  $e_{\rm \nu} ∈ \{0, 1\}$.
  • $a$  indicates the error distance with  $a_{\rm \nu} ∈ \{0, 1, 2, \text{...} \}$.


Two directly consecutive symbol errors are thus characterized by the error distance  $a = 1$. 

The table shows exemplary values of the error distance probabilities  ${\rm Pr}(a = k)$  as well as the error correlation function  $\varphi_e(k)$.

  • Some data are missing in the table.
  • These values are to be calculated from the given values.



Note:  The exercise covers the subject matter of the chapter  "Parameters of Digital Channel Models".


Questions

1 Which value results for the mean error probability?

$p_{\rm M} \ = \ $

2 Which value results for the mean error distance?

${\rm E}\big[a\big] \ = \ $

3 Calculate the value of the error correlation function  $\rm (ECF)$  for  $k = 1$.

$\varphi_e(k = 1) \ = \ $

4 What is the approximation for the probability of the error distance  $a = 2$?

${\rm Pr}(a = 2) \ = \ $


Solution

(1)  The mean error probability is equal to the ECF value for  $k = 0$.  Namely,  because of  $e_{\nu} ∈ \{0, 1\}$:

$$\varphi_{e}(k = 0) = {\rm E}[e_{\nu}^2 ]= {\rm E}[e_{\nu} ]=p_{\rm M} \hspace{0.3cm} \Rightarrow \hspace{0.3cm}p_{\rm M}\hspace{0.15cm}\underline { = 0.1}\hspace{0.05cm}.$$


(2)  The mean  $($or:  "average"$)$  error distance is equal to the reciprocal of the mean error probability.  That is:

$${\rm E}\big[a\big] = 1/p_{\rm M} \ \underline {= 10}.$$


(3)  According to the definition equation and  "Bayes' theorem",  the following result is obtained:

$$\varphi_{e}(k = 1) \hspace{-0.1cm} \ = \ \hspace{-0.1cm} {\rm E}[e_{\nu} \cdot e_{\nu + 1}] = {\rm E}[(e_{\nu} = 1) \cdot(e_{\nu + 1}=1)]={\rm Pr}(e_{\nu + 1}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot {\rm Pr}(e_{\nu} = 1)\hspace{0.05cm}.$$
  • The first probability is equal to  ${\rm Pr}(a = 1)$  and the second probability is equal to  $p_{\rm M}$:
$$\varphi_{e}(k = 1) = {\rm Pr}(a = 1) \cdot p_{\rm M} = 0.3091 \cdot 0.1\hspace{0.15cm}\underline { = 0.0309}\hspace{0.05cm}.$$


(4)  The ECF value  $\varphi_e(k = 2)$  can be interpreted  (approximately)  as follows:

$$\varphi_{e}(k = 2) ={\rm Pr}(e_{\nu + 2}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) \cdot p_{\rm M} $$
$$\Rightarrow \hspace{0.3cm}{\rm Pr}(e_{\nu + 2}=1\hspace{0.05cm}|\hspace{0.05cm} e_{\nu} = 1) = \frac{\varphi_{e}(k= 2)}{p_{\rm M}} = \frac{0.0267}{0.1} = 0.267\hspace{0.05cm}.$$
  • This probability is composed of  "at time  $\nu+1$  an error occurs"  and  "at time  $\nu+1$  there is no error":
$${\rm Pr}(e_{\nu + 2}=1 \hspace{0.05cm}|\hspace{0.05cm} e_{\nu} =1) = {\rm Pr}( a =1) \cdot {\rm Pr}( a =1) + {\rm Pr}( a =2)\hspace{0.3cm}\Rightarrow \hspace{0.3cm}{\rm Pr}( a =2)= 0.267 - 0.3091^2 \hspace{0.15cm}\underline {= 0.1715}\hspace{0.05cm}.$$
  • In the calculation,  it was assumed that the individual error distances are statistically independent of each other.
  1. However,  this assumption is valid only for a special class of channel models called  "renewing".
  2. The burst error model considered here does not satisfy this condition.
  3. The actual probability  ${\rm Pr}(a = 2) = 0.1675$  therefore deviates slightly from the value calculated here  $(0.1715)$.