100%(1)100% found this document useful (1 vote) 491 views217 pagesStatistical Process Control
Controle estatístico de processo
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content,
claim it here.
Available Formats
Download as PDF or read online on Scribd
Statistical Process Control
So
Second EditionSTATISTICAL PROCESS
CONTROL
(SPC)
REFERENCE MANUAL
Second Edition, Issued July 2005
Issued 1992, Second Printing March 1995 (new cover only)
Copyright © 1992, © 1995, © 2005
DaimlerChrysler Corporation, Ford Motor Company, and General Motors CorporationSTATISTICAL PROCESS CONTROL
SPC
FOREWORD to Second Edition
This Reference Manual was developed by the Statistical Process Control (SPC) Work Group, sanctioned
by the DaimlerChrysler/Ford/General Motors Supplier Quality Requirements Task Force, and under the
auspices of the American Society for Quality (ASQ) and the Automotive Industry Action Group (AIAG).
‘The Work Group responsible for this Second edition was prepared by the quality and supplier assessment
staff at DaimlerChrysler Corporation, Delphi Corporation, Ford Motor Company, General Motors
Corporation, Omnex, Inc. and Robert Bosch Corporation working in collaboration with the Automotive
Industry Action Group (AIAG).
The Task Force charter is to standardize the reference manuals, reporting formats and technical
‘nomenclature used by DaimlerChrysler, Ford and General Motors in their respective supplier assessment
systems. Accordingly, this Reference Manual can be used by any supplier to develop information
responding to the requirements of either DaimlerChrysler's, Ford's or General Motors’ supplier
assessment systems. This second edition was prepared to recognize the needs and changes within the
automotive industry in SPC techniques that have evolved since the original manual was published in
191.
‘The manual is an introduction to statistical process control. tis not intended to limit evolution of SPC
methods suited to particular processes or commodities. While these guidelines are intended to cover
normally occurring SPC system situations, there will be questions that arise. These questions should be
directed to your customer’s Supplier Quality Assurance (SQA) activity. If you are uncertain as to how to
‘contact the appropriate SQA activity, the buyer in your customer's purchasing office can help.
‘The Task Force gratefully acknowledges: the leadership and commitment of Vice Presidents Peter
Rosenfeld at DaimlerChrysler Corporation, Thomas K. Brown at Ford Motor Company and Bo
Andersson of General Motors Corporation; the assistance of the AIAG in the development, production
and distribution of the manual; the guidance of the Task Force principals Hank Gryn (DaimlerChrysler
Corporation), Russ Hopkins (Ford Motor Company), and Joe Bransky (General Motors Corporation).
Therefore this manual was developed to meet the specific needs of the automotive industry.
This Manual is copyrighted by DaimlerChrysler Corporation, Ford Motor Company, and General Motors
Corporation, all rights reserved, 2005, Additional manuals can be ordered from AIAG and/or permission
to copy portions of this manual for use within supplier organizations may be obtained from AIAG at 248-
358-3570 or http://www.aiag.org.STATISTICAL PROCESS CONTROL
SPC
FOREWORD to Second Edition
‘This Reference Manual was developed by the Statistical Process Control (SPC) Work Group, sanctioned
by the DaimlerChrysler/Ford/General Motors Supplier Quality Requirements Task Force, and under the
auspices of the American Society for Quality (ASQ) and the Automotive Industry Action Group (AIAG).
‘The Work Group responsible for this Second edition was prepared by the quality and supplier assessment
staffs at DaimlerChrysler Corporation, Delphi Corporation, Ford Motor Company, General Motors
Conporation, Omnex, Inc. and Robert Bosch Corporation working in collaboration with the Automotive
Industry Action Group (AIAG).
‘The Task Force charter is to standardize the reference manuals, reporting formats and technical
nomenclature used by DaimlerChrysler, Ford and General Motors in their respective supplier assessment
systems. Accordingly, this Reference Manual can be used by any supplier to develop information
responding to the requirements of either DaimlerChrysler's, Ford’s or General Motors’ supplier
assessment systems. This second edition was prepared to recognize the needs and changes within the
automotive industry in SPC techniques that have evolved since the original manual was published in
1991
The manual is an introduction to statistical process control. 1 i not intended to limit evolution of SPC
‘methods suited to particular processes or commodities. While these guidelines are intended to cover
normally occurring SPC system situations, there will be questions that arise. These questions should be
directed to your customer's Supplier Quality Assurance (SQA) activity. If you are uncertain as to how to
Contact the appropriate SQA activity, the buyer in your customer's purchasing office can help.
‘The Task Force gratefully acknowledges: the leadership and commitment of Vice Presidents Peter
Rosenfeld at DaimlerChrysler Corporation, Thomas K. Brown at Ford Motor Company and Bo
Andersson of General Motors Corporation: the assistance of the AIAG in the development, production
and distribution of the manual; the guidance of the Task Force principals Hank Gryn (DaimlerChrysler
Corporation), Russ Hopkins (Ford Motor Company), and Joe Bransky (General Motors Corporation).
‘Therefore this manual was developed to meet the specific needs of the automotive industry
‘This Manual is copyrighted by DaimlerChrystet Corporation, Ford Motor Company, and General Motors
Corporation, all rights reserved, 2005. Additional manuals can be ordered from AIAG and/or permission
{0 copy portions ofthis manual for use within supplier organizations may be obtained from AIAG at 248-
358-3570 or http:/www.siag.org.ACKNOWLEDGEMENTS 1 Second Edition
‘The joint consensus on the contents of this document was effected through Task Team Subcommittee
‘Members representing DaimlerChrysler, Ford, and General Motors, respectively, whose approval
signatures appear below, and who gratefully acknowledge the significant contribution of Gregory Gruska
of Omnex Inc., Gary A. Hiner of Delphi Corporation, and David W. Stamps of The Robert Bosch Corp.
‘The latest improvements were updating the format to conform to the current ALAG/ ISO/TS 16949:2002,
documentation, more clarification and examples to make the manual more user friendly and additional
areas which where not included or did not exist when the original manual was written,
‘The current re-write subcommittee is chaired by Mike Down from General Motors Corporation and
consists of Todd Kerkstra and Dave Benham from DaimlerChrysler Corporation, Peter Cvetkovski from
Ford Motor Company, Gregory Gruska, asa representative ofthe Ornnex Ine. and ASQ, Gary A. Hiner of
Delphi Corporation, and David W. Stamps of The Robert Bosch Corp.
Michael H, Down Todd Kerkstra
General Motors Corporation DaimlerChrysler Comporation
Peter Cvetkovski David R, Benham
Ford Motor Company DaimlerChrysler CorporationSTATISTICAL PROCESS CONTROL
SPC
FOREWORD to First Edition
This Reference Manual was prepared by the quality and supplier assessment staffs at Chrysler, Ford and
General Motors, working under the auspices ofthe Automotive Division of the American Society for Quality
Control Supplier Quality Requirements Task Force, in collaboration with the Automotive Industry Action
Group,
The ASQCIAIAG Task Force charter isto standardize the reference manuals, reporting formats and technical
omenclature used by Chrysler, Ford and General Motors in their respective supplier assesement systems
Supplier Quality Assurance, Total Quality Excellence and Targets for Excellence. Accordingly, this Referenee
Manual can be used by any supplier to develop information responding to the requirements of either
Chrysler's, Ford’s or General Motors’ supplier assessment systems. Until now, there has been no unified
formal approach in the automotive industry on statistical process control. Certain manufacturers provided
methods for their suppliers, while others had no specific requirements. in an effort to simplify and minimise
‘aration in supple: quality requirements, Chrysler, Ford, and General Motors agreed to develop and, through
AIAG, distribute this manual. The work team responsible for the Manual’s content was led by Leonard 8
Brown of General Motors. The manual should be considered an introduction to statistical process control It fs
‘not intended to limit evolution of statistical methods suited to particular processes or commodities nor is it
intended to be comprehensive ofall SPC techniques. Questions on the use of alternate methods should be
‘referred to your customer's quality activity.
The Task Force gratefully acknowledges: the senior leadership and commitment of Vice Presidents Thomas T.
Stalkamp at Chrysler. Clinton D. Lauer at Ford, and Donald A. Pais at General Motors; the lcchoicel
competence and hard work oftheir quality and supplier assessment teams; and the invaluable contributions of
the “Automotive Industry Action Group (under AIAG Executive Director Joseph R, Phelan) inthe
development, production and distribution of this Reference manual. We also wish to thank the ASQC reading
team led by Tripp Martin of Peterson Spring, who reviewed the Manual and in the process made vsivable
‘contributions to intent and content.
Bruce W. Pince
Task Force Coordinator
Sandy Corporation
Troy, Michigan
December, 1991
This Manual is copyrighted by Chrysler Corporation, Ford Motor Company, General Motors Corporation,
all rights reserved, 1991. Additional copies can be ordered from A.1.A.G., andor permission to copy portions
‘of the Manual for use within supplier organizations may be obtained from A.A.G. at (248) 358.3570ACKNOWLEDGEMENTS 0 First Edition
‘The joint consensus on the contents of this document was effected through Task Team Subcommittee
Members representing General Motors, Ford, and Chrysler, respectively, whose approval signatures appear
below, and who gratefully acknowledge the significant contribution of Pete Jessup of the Ford Motor
‘Company, who was responsible for developing the majority ofthe material found in Chapters 1, I, and Ill, and
the Appendix ofthis document.
Harvey Goltzer ofthe Chrysler Corporation contributed concepts relative to process capability and capability
studies, found in the introduction section of Chapter I. Jack Herman of Du Pont contributed some of the
concep relative to capability and performance indices andthe importance of measurement variability, found
{in portions of Chapters If and TV, respectively
‘The General Motors Powertrain Division contributed the discussion and examples relative to subgrouping and
process over-adjustment, The section in Chapter II which provides understanding of process capability and
related issues was developed by the General Motors Corporate Statistical Review Committee. This committee
«also contributed to the development of Chapter IV, Process Measurement Systems Analysis, as well as to some
Appendix items.
Finally, valuable input to all sections of the manual was provided by ASQC representatives Gregory Gruska,
‘Doug Berg, and Tripp Martin
Leonard A. Brown, Victor W. Lowe, Jr David R. Benham,
GM. Ford Chrysler
viiTABLE OF CONTENTS
CHAPTER I. —
Continual Improvement and Statistical Process Control
Introduction =
Six Points
CHAPTER 1 Section A
Prevention Versus Detection..
CHAPTER I — Section B
‘A Process Control System.
CHAPTER I— Section Cu
Variation: Common...
and Special Causes...
CHAPTER I - Section D nom
Local Actions And Actions On The System
(CHAPTER I - Section E ...
Process Control and Process Capabil
Control vs. Capatitiny.
Process Indices.
CHAPTER I— Section Fewnminm
‘The Process Improvement Cycle and Process Control
CHAPTER I — Section Geminmnnnn
Control Charts: Tools For Process Control and Improvement...
How do they Work? ee é
Approach:
CHAPTER I ~ Section H..
Effective Use and Benefits of Control Charts... '
CHAPTER IL. 4
Control Chats rnnonn few . 41
Introduction: ssn 43
Variables Control Charts. 45
Attributes Control Charts ”
Elements of Comrol Charts. a 48
CHAPTER II - Section A.
Control Chart Process.
Preparatory Steps
Contro! Chart Mechanics . ci z :
Establish Control Limits : : : 59
Interpret for Statistical Control . : — Ss 60
Final Comments. : ; 63
Extend Control Limits for Ongoing Control. 65
CHAPTER fl - Section B
Defining “Out-of-Control” Signals
Point Beyond a Control Limit.
Pauierns or Trends Within the Control Limits 70
Special Cause Criteria 75
Average Runt Length (ARL). 7 76
CHAPTER IT - Section C
Contro! Chart Formulas.Variables Control Charts
Average and Range Charts (
+R).
Average and Standard Deviation Chas (¥, s)
senmnnnnnnes TD
Median and Range Chars (, 2).
Individuals and Moving Range Charts (X,, MR)
Attributes Control Charts.
IntrodctiON wm
Probability Based Charts
Charts for Detecting Small Change:
Non-Normal Charts
Multivariate...
Other Chart wesisonsanonn,
Regression Control Charts
Residual Charts.
Autoregressive Chants
Zone Chart...
CHAPTER Wes
Understanding Process Capability
and Process Performance for Variables Data.
IntrOdtetiOR ooonenninsssse
CHAPTER IV - Section A...
Definitions of Process Terms
Process Measures for Predictable Processes .
Indices ~ Bilateral Tolerances...
Indices ~ Unilateral Tolerances...
‘CHAPTER IV - Section B...
Description of Conditions... :
Handling Non-Normal and Multivariate Distributions
Relationship of Indices and Proportion Nonconforming.
140
Non-Normal Distributions Using Transformations... 140
‘Non-Normal Distributions Using Non-Normal Forms 142
Multivariate Distributions...
The Loss Function Concept wwniuer
Alignment of Process to Cusiomer Requirements...
APPENDIX A...
‘Some Comments on Sampling
Effects of Subgronping...Autocorretated Dara...
Multiple Stream Process Example..
Effects of Sample Size on Indices.
APPENDIX B.
‘Some Comments on Special Causes
Over-Adjustment
Time Dependent Processes
Repeating Patterns,
APPENDIX C.
Selection Procedure for the Use of the Control Charts Described in This Manual
APPENDIX D.
Relationship Between Cyaan
APPENDIX E
APPENDIX F
Capability Index Calculations Examle
Data Set:
Analysis.
Diameter Staristies:
Conclusion:
APPENDIX Gorn
Gtossary of Terms and Symbols
Terms Used in This Manual.
Symbols. as Used in This Manual.
APPENDIX H.
References and Suggested Readings.
APPENDIX
Standard Normal Tables...
INDEX..
S.P.C, Manual User Feedback Process.
xiLIST OF ILLUSTRATIONS
Figure 1.1: A Process Control System.
Figure 1.2: Variation: Common Cause and Special Cause.
Figure 1.3: Process Control and Process Capability
Figure L4: The Process Improvement Cyete.
Figure I.
igure Il 4a: Sample Control Chart (Frontside)
Figure II.4b: Sample Control Chart (back side) ~ Event Log...
Figure IL 5: Extending Control Lis
Figure 11.6: Control Limits Recalculation... :
Figure 1.7: Extend Control Limits for Ongoing Control...
Figure 11.8: Process Variation Relative to Speciation Limits
Figure I1.9: Points Beyond Control Limits.
Figure 11.10: Runs in an Average Control Chart.
Figure II.11: Runs in a Range Control Chart.
Figure Il.12: Nonrandom Patterns in a Control
Figure 11.13: Average and Range Charts...
Figure Il.14: Average and Standard Deviation Charts
Figure IL.15: Median and Range Charts.
Figure Il. 16: Individual and Moving Range Charts.
Figure II-17: Proportion Nonconforming Chart.
Figure Il.18: Number of Nonconforming Chart.
Figure Il.19: Number of Nonconforming per Unit Chart.
Figure I1.20: Number of Nonconformities Chat...
Figure Ill.1: Control Charts.
Figure Il1.2: Stoplight Control
Figure [11.3: Pre-Control
Figure ITl4: DNOM Cont
Figure IIL.6: X, :
Figure [I1.7: EWMA Chart of Viscosity.
Figure IIL8: X, MR Chart of Viscosity.
Figure IV.1: Within- and Between-Subgroup Vari
Figure IV.2: Cy.and Pj Comparison. :
Figure IV.3: Comparison between a Predictable and Immature Process sm
Figure 1V.4: Cpk and Ppk Values Produced by a Predictable and Immature Process
Figure IV.5: "Goal Post” vs. Loss Function .
Figure IV.6; Comparison of Loss Function and Specification:
Figure IV.7: Comparison of Loss Functions...
Figure IV.8: A Process Control System...
Figure IV.9: Process Alignment to Requirements
xiiCHAPTER!
Continual Improvement
and
Statistical Process ControlCHAPTER!
Continual Improvement and Statistical Prosess Contal
Introduction
To prosper in today's economic climate, we — automotive manufacturers.
suppliers and dealer organizations — must be dedicated to continual
improvement. We must constantly seek more efficient ways to produce
products and services. These products and services must continue to
improve in value, We must focus upon our customers, both internal and
‘external, and make customer satisfaction a primary business goal
‘To accomplish this, everyone in our organizations must be committed to
improvement and to the use of effective methods. This manual describes
several basic statistical methods that can be used to make our efforts at
improvement more effective. Different levels of understanding are
needed to perform different tasks, This manual is aimed at practitioners
and managers beginning the application of statistical methods. It will
also serve as a reffesher on these basic methods for those who are now
using more advanced techniques. Not all basic methods are included
here. Coverage of other basic methods (such as check sheets, flowcharts,
Pareto charts, cause and effect diagrams) and some advanced methods
(uch as other control charts. designed experiments, quality fumetion
deployment, etc.) is available in books and booklets such as those
referenced in Appendix H.
‘The basic statistical methods addressed in this manual include those
associated with statistical process control and process capability analysis,
Chapter 1 provides background for process control, explains several
important concepts such as special and common causes of variation. It
Also introduces the control chart, which can be a very effective tool for
‘analyzing and monitoring processes.
Chapter 11 describes the construction and use of control charts for both
variables' data and attributes data
Chapter Il describes other types of control charts that can be used for
specialized situations — probabitity based charts, short-run charts, charts,
for detecting small changes, non-normal. multivariate and other charts.
‘Chapter IV addresses process capability analysis
The Appendices address sampling, over-adjustment. a process for
selecting control chars, table of constants and formulae. the normal
table, a glossary of terms and symbols, and references.
The term “Variables”, although awkward sounding. is used in order to distinguish the difference
between something that varies, and the control chart used for data taken from a continuous variable.CHAPTER
Continual improvement and Statistical Process Contr!
Six Points
Six points should be made before the main discussion begins:
1) Gathering data and using statistical methods to interpret them are not
ends in themselves. The overall aim should be increased
understanding of the reader's processes. It is very easy to become
technique experts without realizing any improvements. Increased
knowledge should become a basis for action.
2) Measurement systems are critical to proper data analysis and they
should be well understood before process data are collected. When
such systems lack statistical control or their variation accounts for a
substantial portion of the total variation in process dala,
inappropriate decisions may be made. For the purposes of this
manual, it will be assumed that this system is under control and is
‘ot a significant contributor to total variation in the data, The reader
is referred to the Measurement Systems Analysis (MSA) Manual
available from AIAG for more information on this topic.
3). The basic concept of studying variation and using statistical signals
to improve performance can be applied to any area. Such areas can
be on the shop floor or in the office. Some examples are machines
(performance characteristics), bookkeeping (error rates), gross sales,
waste analysis (scrap rates), computer systems (performance
characteristics) and materials management (transit times). This
manual focuses upon shop floor applications. The reader is
encouraged to consult the references in Appendix H for
administrative and service applications.
4) SPC stands for Statistical Process Control, Historically, statistical
‘methods have been routinely applied to parts, rather than processes.
Application of statistical techniques to control output (such as parts)
should be only the first step. Until the processes that generate the
‘output become the focus of our efforts, the full power of these
‘methods to improve quality, increase productivity and reduce cost
may not be fully realized
5) Although each point im the text is illustrated with a worked-out
example, real understanding of the subject involves deeper contact
with process control situations. The study of actual cases from the
reader's own job location or from similar activities would be an
important supplement to the text. There is no substitute for hands-on
experience.
6) This manual should be considered a first step toward the use of
statistical methods. It provides generally accepted approaches,
which work in many instances, However, there exist exceptions
where it is improper to blindly use these approaches. This manual
does not replace the need for practitioners to increase their
knowledge of statistical methods and theory. Readers are
encouraged to pursue formal statistical education. Where the
reader's processes and application of ‘statistical methods haveCHAPTER I
Continual Improvement and Statistical Process Contel
advanced beyond the material covered here, the reader is also
encouraged to consult with persons who have the proper knowledge
‘and practice in statistical theory as to the appropriateness of other
techniques. In any event, the procedures used must satisfy the
customer's requirements.CHAPTER | -Section A
Detection
THE NEED FOR
PROCESS CONTROL
Detection — Tolerates Waste
Prevention — Avoids Waste‘CHAPTER I~ Section A
Prevention Versus Detection
CHAPTER | - Section A
Prevention Versus Detection
In the past, Manufacturing often depended on Production to make the
product and on Quality Control to inspect the final product and screen
‘ut items not meeting specifications. In administrative situations, work
is often checked and rechecked in efforts to catch errors. Both cases
involve a strategy of detection, which is wasteful, because it allows time
and materials to be invested in products or services that are not always
usable,
It is much more effective to avoid waste by not producing unusable
‘output in the first place ~ a strategy of prevention,
‘A prevention strategy sounds sensible — even obvious ~ to most people.
It is easily captured in such slogans as, “Do it right the first time”.
However, slogans are not enough. What is required is an understanding.
of the elements of a statistical process control system, The remaining.
seven subsections of this introduction cover these elements and can be
viewed as answers to the following questions:
‘¢ What is meant by a process control system?
© How does variation affect process output?
+ How can statistical techniques tell whether 2 problem is local in
nature or involves broader systems?
‘+ What is meant by a process being in statistical control?
‘What is meant by a process being capable?
+ What is a continual improvement cycle, and what part can process
control play init?
© What are control charts, and how are they used?
‘+ What benefits can be expected from using control charts?
AAs this material is being studied, the reader may wish to refer to the
Glossary in Appendix G for brief definitions of key terms and symbols.(CHAPTER - Section B
‘A Process Contol System
PROCESS CONTROL SYSTEM MODEL
WITH FEEDBACK
VOICE
OF THE
PROCESS
STATISTICAL
METHODS
THE WAY '—pRopucTs
WE WORK! Terentia
BLENDING OF
RESOURCES SERVICES
rN a
processevsren OUTPUTS
‘CUSTOMERS
IDENTIFYING
‘CHANGING NEEDS
AND EXPECTATION:
VOICE
OF THE
CUSTOMER
Figure |.1: A Process Control System(CHAPTER I~ Section B
[A Prooess Contol System
CHAPTER | - Section B
A Process Control System
{A process control system can be described as a feedback system. SPC is
‘one type of feedback system. Other such systems, which are not
statistical, also exist. Four elements of that system are important to the
discussions that will follow:
1, The Process ~ By the process, we mean the whole combination of
suppliers, producers, people, equipment, input materials, methods, and
environment that work together to produce output, and the customers
who use that output (see Figure 1.1). The total performance of the
process depends upon communication between supplier and customer.
the way the process is designed and implemented, and on the way it is
‘operated and managed. The rest of the process control system is useful
only if it contributes either to maintaining a level of excellence or to
improving the total performance of the process.
2, Information About Performance - Much information about the
actual performance of the process can be leemed by studying the process.
‘output. The most helpful information about the performance of a process
‘comes, however, from understanding the process itself and its internal
variability. Process characteristics (such as temperatures, cycle times.
feed rates, absenteeism, turnover, tardiness, or number of interruptions)
should be the ultimate focus of our efforts. We need to determine the
target values for those characteristics that result in the most productive
‘operation of the process, and then monitor how near to or far from those
target values we ate. If this information is gathered and interpreted
correctly, it ean show whether the process is acting in a usual or unusual
manner. Proper actions can then be taken, if needed, to correct the
process of the just-produced output. When action is needed it must be
timely and appropriate, o the information-gathering effort is wasted,
3. Action on the Process — Action on the process is frequently most
‘economical when taken to prevent the important characteristics (process
of output) from varying too far ftom their target values. This ensures the
stability and the variation of the process output is maintained within
acceptable limits. Such action might consist of:
* Changes inthe operations
operator training
changes tothe ineoming materials
* Changes in the more basi elements of the process itself
¥ the equipment
¥ how people communicate and relate
the design of the process as a whole ~ which may be vulnerable
to changes in shop temperature or humidity
‘The effect of actions should be monitored, with further analysis and
action taken if necessary.CHAPTER I Section B
‘A Process Control System
4, Action on the Output ~ Action on the output is frequently least
economical when it is restricted to detecting and correcting out-of-
specification product without addressing the underlying process problem.
Unfortunately, if current output does not consistently meet customer
requirements, it may be necessary to sort all products and to scrap or
rework any nonconforming items. This must continue until the
necessary corrective action on the process has been taken and verified.
It is obvious that inspection followed by action on only the output is a
poor substitute for effective process management. Action on only the
‘output should be used strictly as an interim measure for unstable or
incapable processes (see Chapter I, Section E). Therefore, the
discussions that follow focus on gathering process information and
analyzing it so that action can be taken to correct the process itself.
Remember, the focus should be on prevention not detection,
10(CHAPTER I -Section B
‘A Process Contol Syatern
‘This page intentionally left blankCHAPTER I~ Section C
‘Variation: Common and Special Causes
PIECES VARY FROM EACH OTHER
a ee
sze——> swe——> sae
[BUT THEY FORM A PATTERN THAT, IF STABLE, CAN BE DESCRIBED AS A DISTRIBUTION
mn LN
sze——> ‘E>
DISTRIBUTION CAM DIFFER IN:
\© ONLY COMMON CAUSES OF VARIATION
[ARE PRESENT, THE OUTPUT OF a PROCESS
Foraks A DISTRIOUTION THAT STABLE OVER
‘The AND 1S PREDICTABLE”
ze —>
\F SPECIAL CAUSES OF VARIATION ARE
PRESENT, THE PROCESS OUTPUTIS MOT
‘STABLE OVER Tove:
UNABLETO
PREDICT
sae ——>
Variation: Common Cause and Special Cause
2CHAPTER I Section C
‘Variation: Common and Special Causes
CHAPTER | - Section C
Variation: Common and Special Causes
In order to effectively use process control measurement data, it is
sportant to understand the concept of variation, as illustrated in Figure
12,
[No two products or characteristics are exactly alike, because any process
contains many sources of variability. The differences among products
may be large, of they may be immeasurably small, but they are always
present. The diameter of a machined shaft, for instance, would be
susceptible to potential variation from the machine (clearances, bearing
‘Weat), tool (strength, rate of wear), material (diameter, hardness),
‘operator (part feed, accuracy of centering), maintenance (lubrication,
replacement of worn parts), environment (temperature, constancy of
power supply) and measurement system, Another example isthe time
required to process an invoice could vary according to the people
performing various steps, the reliability of any equipment they were
Using, the accuracy and iegibilty of the invoice itself, the procedures
followed, and the volume of other work inthe office.
‘Some sources of variation in the process cause short-term, piece-to-piece
differences, eg.. backlash and clearances within a machine and its
fixturing, or the accuracy of a bookkeeper’s work. Other sources of
variation tend to cause changes in the output only over a longer period of
time. These changes may occur either gradually as with tool or machine
‘wear, stepwise a with procedural changes, or irregularly as with
environmental changes such as power surges. Therefore, the lime period
and conditions over which measurements are made are critical since they
will affect the amount ofthe total variation that will be observed
While individual measured values may all be different, as a group they
tend to form a pattern that can be described as a distribution (see Figure
1.2), This distribution can be characterized by:
‘© Location (typical or “central” value)
‘© Spread (span or "width" of values from smallest to largest)
© Shape (the pattern of variation — whether itis symmetrical, skewed,
ete.)
From the standpoint of minimum requirements, the issue of variation is
often simplified: parts within specification tolerances are acceptable,
parts beyond specification tolerances are not acceptable; reports on time
ate acceptable, late reports are not acceptable. However, the goal should
be to maintain the location to a target value with minimal variability. To
‘manage any process and reduce variation, the variation should be traced
back to its sources. The first step is to| make the distinction between
‘common and special causes of variation.
Common causes refer to the many sources of variation that consistently
‘acting on the process. Common causes within a process produce a stable
and repeatable distribution over time. This is called “in a state of
13CHAPTER I - Section €
‘Variation: Common and Special Causes
statistical control,” “in statistical control,” or sometimes just “in control.”
‘Common causes yield a stable system of chance causes. If only common
causes of variation are present and do not change, the output of a process
is predictable.
Special causes (often called assignable causes) refer to any factors
causing variation that affect only some of the process output. They are
often intermittent and unpredictable. Special causes are signaled by one
‘or more points beyond the control limits or non-random pattems of
points within the control limits. Unless all the special causes of variation
are identified and acted upon, they may continue to affect the process
‘output in unpredictable ways, If special causes of variation are present,
the process output will not be stable over time.
The changes in the process distribution due to special causes can be
either detrimental or beneficial. When detrimental, they need to be
understood and removed. When beneficial, they should be understood
and made a permanent part of the process. With some mature processe
the customer may give special allowance to run a process with a
consistently occurring special cause. Such allowances will usually
require that the process control plans can assure conformance to
customer requirements and protect the process from other special causes
(see Chapter I, Section E).
* Processes that have undergone several cycles of continual improvement.
4(CHAPTER I~ Section C
Variation: Common and Special Causes
‘This page intemionally let blank(CHAPTER I Section D
Local Actions And Actions On The System
LOCAL ACTIONS AND ACTIONS ON THE SYSTEM
Local Actions
* Are usually required to eliminate special causes of variation
* Can usually be taken by people close to the process
* Can correct typically about 15% of process problems
Actions on the System
* Are usually required to reduce the variation due to common causes
* Almost always require management action for correction
* Are needed to correct typically about 85% of process problemsCHAPTER I Section D
Local Actions And Actions On The System
CHAPTER | - Section D
Local Actions And Actions On The System
‘There is an important connection between the two types of variation just
discussed and the types of action necessary to reduce them.’
Simple statistical process control techniques can detect special causes of
variation. Discovering a special cause of variation and taking the proper
action is usually the responsibility of someone who is directly connected
‘with the operation. Although management can sometimes be involved to
correct the condition, the resolution of a special cause of variation
usually requires local action, i., by people directly connected with the
operation. This is especially true during the early process improvement
‘efforts. As one succeeds in taking the proper action on special causes,
‘those that remain will often require management action, rather than local
action.
‘These same simple statistical techniques can also indicate the extent of
common causes of variation, but the causes themselves need more
detailed analysis to isolate. The correction of these common causes of
variation is usually the responsibility of management. Sometimes people
directly connected with the operation will be in a better position to
identify ther and pass them on to management for action. Overall, the
resolution of common causes of variation usually requires action on the
system.
Only a relatively small proportion of excessive process variation —
industrial experience suggests about 15% ~ is correctable locally by
people directly connected with the operation. The majority ~ the other
85% — is correctable only by management action on the system.
Confusion about the type of action to take is very costly to the
‘organization, in terms of wasted effort, delayed resolution of trouble, and
aggravating problems, It may be wrong, for example, to take local action
(€g.. adjusting @ machine) when management action on the system is
required (e.g. selecting suppliers that provide consistent input
materials)" Nevertheless, close teamwork between menagement and
those persons directly connected with the operation is a must for
enhancing reduction of common causes of process variation.
Dr. W. E. Deming has treated ths issue in many articles; ¢g., see Deming (1967).
These observations were first made by Dr. J. M. Juran, and have been borne out in Dr. Deming’s
‘experience.CHAPTER I~ Section E
Process Control and Process Capability
PROCESS CONTROL
CONTROL
(SPECIAL CAUSE ELIMINATED)
see —>
‘OUT OF CONTROL
{SPECIAL CAUSES PRESENT)
PROCESS CAPABII
WW CONTROL AND
‘CAPABLE
OF MEETING
SPECIFICATIONS
(WARIATION FROM COMMON
‘CAUSES
HAS BEEN REDUCED}
(IM CONTROL BUT NOT CAPABLE
‘OF MEETING SPECIFICATIONS,
(VARIATION FROM COMMON CAUSES
18 EXCESSIVE)
Figure 1.3: Process Control and Process CapabilityCHAPTER I~ Section E
Process Control and Process Capability
CHAPTER | - Section E
Process Control and Process Capability
The process control system is an integral part of the overall business
‘management system.* As such, the goal of the process control system is
to make predictions about the current and future state ofthe process. This
leads to economically sound decisions about actions affecting the
process. These decisions require balancing the risk of taking action when
action is not necessary (over-control or “tampering”) versus failing to
take action when action is necessary (under-control).° These risks should
bbe handled, however, in the context of the two sources of variation -
special causes and common causes (see Figure 13)
A process is seid to be operating in statistical control when the only
sources of variation are common causes. One function of a process
‘controt system, then, is to provide a statistical signal when special causes,
of variation are present, and to avoid giving false sigoals when they are
‘not present. This allows appropriate action(s) to be taken upon those
special causes (either removing them or, if they are beneficial, making
them permanent)
The process control system can be used as a one-time evaluation too! but
the real benefit of a process control system is realized when itis used es
4 continual learning tool instead of a conformance too! (good/bad,
stable/not stable, capable/not capable. etc.)
Control vs. Capability
§ See TS 16949.
When discussing process capability, two somewhat contrasting concepts
need to be considered:
© Process capability
© Process performance
Process capability is determined by the variation that comes from
common causes. It generally represents the best performance of the
process itself. This is demonstrated when the process is being operated
ina state of statistical control regardless of the specifications.
Customers, internal or extemal, are however more typically concerned
with the process performance; that is, the overall output of the process
and how it relates to their requirements (defined by specifications),
imrespective of the process variation.
® See W. E. Deming, (1994), and W. Shewhart, (1931)
9CHAPTER I ~ Section E
Process Control and Process Capability
In general, since a process in statistical control can be described by a
predictable distribution, the proportion of in-specification parts can be
‘estimated from this distribution. As long as the process remains in
statistical control and does not undergo a change in location, spread or
shape, it will continue to produce the same distribution of in-
specification parts.
‘Once the process is in statistical control the first action on the process
should be to locate the process on the target. If the process spread is
unacceptable, this strategy allows the minimum number of out-of-
specification parts to be produced. Actions on the system to reduce the
variation from common causes are usually required to improve the ability
of the process (and its output) to meet specifications consistently. For a
more detailed discussion of process capability, process performance and
the associated assumptions, refer to Chapter I
‘The process must first be brought into statistical control by detecting and
acting upon special causes of variation. Then its performance is
predictable, and its capability to meet customer expectations can be
assessed. This is a basis for continual improvement.
Every process is subject to classification based on capability and control.
A process can be classified into | of 4 cases, as illustrated by the
following chart:
Statistical Control
In-Control Qut-of-Control
Acceptable Case} Case 3
Capability
Unacceptable Case 2 Case 4
To be acceptable, the process must be in a state of statistical contro! and
the capability (common cause variation) must be less than the tolerance.
‘The ideal situation is to have a Case 1 process where the process is in
statistical control and the ability to meet tolerance requirements is
acceptable. A Case 2 process is in control but has excessive common
cause variation, which must be reduced. A Case 3 process meets
tolerance requirements but is not in statistical control: special causes of
variation should be identified and acted upon. In Case 4. the process is
not in control nor is it acceptable. Both common and special cause
variation must be reduced.
Under certain circumstances, the customer may allow a producer to run a
process even though it is a Case 3 process. These circumstances may
include:
+ The customer is insensitive to variation within specifications (see
discussion on the loss function in Chapter IV),
20Process Indices
CHAPTER 1 Section E
Process Control and Process Capability
‘* The economics involved in acting upon the special cause exceed the
benefit to any and all customers. Economically allowable special
causes may include tool wear, tool regrind, cyclical (seasonal)
variation, etc
‘+The special cause has been identified and has been documented as
consistent and predictable.
In these situations, the customer may require the following:
‘+ The process is mature.
‘+ The special cause to be allowed has been shown to act in a consistent
‘manner over a known period of time.
‘+ A process control plan is in effect which will assure conformance to
specification of all process output and protection from other special
causes or inconsistency in the allowed special cause.
See also Appendix A for a discussion on time dependent processes.
‘The accepted practice in the automotive industry is to calculate the
capability (common cause variation) only after a process has been
‘demonstrated to be in a state of statistical control. These results are used
as a basis for prediction of how the process will perform. There is litte
‘value in making predictions based on data collected from a process that
is not stable and not repeatable over time. Special causes are responsible
for changes in the shape, spread, or location of a process distribution, and
thus can rapidly invalidate prediction about the process. That is, in
‘order for the various process indices and ratios to be used. as
redictive tools, the requirement is that the data used to calculate
‘them are gathered from processes that are in a state of statistical
control.
Process indices can be divided into two categories: those that are
calculated using within-subgroup estimates of variation and those using
‘otal variation when estimating a given index (see also chapter IV).
Several different indices have been developed because:
1) No single index can be universally applied to all processes, end
2) No given process can be completely described by a single index.
For example, it is recommended that C; and Cx both be used (see
Chapter IV), and further that they be combined with graphical techniques,
to better understand the relationship between the estimated distribution
and the specification limits. In one sense, this amounts to comparing (and
trying to align) the “voice of the process” with the “voice of the
customer” (see also Sherkenbach (1991),
All indices have weaknesses and can be misleading. Any inferences
drawn from computed indices should be driven by appropriate
interpretation of the data from which the indices were computed,
alCHAPTER I Section &
Process Control and Process Capability
Automotive companies have set requirements for process capability. It is
the reader’s responsibility to communicate with their customer and
determine which indices to use. In some cases, it might be best to use no
index at all. It is important to remember that most capability indices
clude the product specification in the formula. If the specification is
inappropriate, or not based upon customer requirements, much time and
effort may be wasted in trying to force the process to conform. Chapter
TV deals with selected capability and performance indices and contains
advice on the application of those indices.CHAPTER 1 - Section F
‘The Process Improvement Cycle and Process Control
STAGES OF THE CONTINUAL PROCESS IMPROVEMENT CYCLE
1, ANALYZE THE PROCESS 2. MAINTAIN THE PROCESS.
= What should the process be doing? = Monitor process performance
= What can go wrong? = Detect special cause
= What is the process doing? Variation and act upon it.
Achieve a state of statistical control.
~Determine capability
acr ‘sTuDY
3. IMPROVE THE PROCESS
~ Change the process to better
aoe understand common cause
variation.
- Reduce common cause
variation,
Figure |.4; The Process Improvement Cycle
4CHAPTER I Section F
‘The Process Improvement Cycle and Process Contol
CHAPTER | - Section F
The Process Improvement Cycle and Process Control
1.
Jn applying the concept of continual improvement to processes, there is a
three-stage eycle that can be useful (see Figure 14), Every process is in
‘one of the thee stages ofthe Improvement Cycle.
Analyze the Process
A basic understanding of the process is a must when considering process
improvement. Among the questions to be answered in order to achieve a
better understanding of the process are:
What should the process be doing?
What is expected at each step of the process?
What are the operational definitions of the deliverables?
© What can go wrong?
¥ What can vary in this process?
What do we already know about this process’ variability?
Y What parameters are most sensitive to variation?
'* What is the process doing?
Is this process producing scrap or output that requires rework?
Does this process produce output that is in a state of statistical
control?
Is the process capable?
Is the process reliable?
KKK
Many techniques discussed in the APOP Manual” may be applied to gain
a better understanding of the process. ‘These activities include:
© Group meetings
© Consultation with people who develop or operate the process
(subject matter experts”)
«Review of the process’ history
* Construction of a Failure Modes and Effects Analysis (FMEA)
‘Control charts explained in this manual are powerful tools that should be
used during the Process Improvement Cycle. These simple statistical
methods help differentiate between common and special causes of
variation. The special causes of variation must be addressed. When
state of statistical control has been reached, the process" current level of
Tong-term capability can be assessed (see Chapter [V),
” Chrysler, Ford, and General Motors, (1995),
25CHAPTER | -Section F
‘The Process Improvement Cycle and Process Contr
2. Maintain (Control) the Process
Once a better understanding of the process has been achieved, the
process must be maintained at an appropriate level of capability.
Processes are dynamic and will change. The performance of the process
should be monitored so effective measures to prevent undesirable change
can be taken. Desirable change also should be understood and
institutionalized. Again, the simple statistical methods explained in this
‘manual can assist. Construction and use of control charts and other tools
will allow for efficient monitoring of the process. When the too! signals
that the process has changed, quick and efficient measures can be taken
to isolate the cause(s) and act upon them.
Its to0 easy to stop at this stage of the Process Improvement Cycle. Itis
important to realize that there is a limit to any company's resources.
‘Some, perhaps many, processes should be at this stage. However, failure
to proceed fo the next stage in this cycle can result in a significant
competitive disadvantage. The attainment of “world class” requires a
steady and planned effort to move into the next stage of the Cycle.
Improve the Process
Up to this point, the effort has been to stabilize the processes and
‘maintain them. However, for some processes. the customer will be
sensitive even to variation within engineering specifications (see Chapter
IV), In these instances, the value of continual improvement will not be
realized until variation is reduced. At this point, additional process
analysis tools, including more advanced statistical methods such as
designed experiments and advanced control charts may be useful.
Appendix H lists some helpful references for further study.
Process improvement through variation reduction typically involves
purposefully introducing changes into the process and measuring the
effects. The goal is a better understanding of the process, so that the
common cause variation can be further reduced. The intent of this
reduction is improved quality at lower cost.
When new process parameters have been determined, the Cycle shifts
back to Analyze the Process. Since changes have been made, process
stability will need to be reconfirmed. The process then continues to
move around the Process Improvement Cycle.
26CHAPTER | - Section G
‘Control Charts: Tools For Process Control and Improvement
CONTROL CHARTS
Upper Control Limit
Lower Control Limit
1. Collection
+ Gather Data and plot on a chart.
2. Controt
* Calculate trial contro! limits from process data.
+ Identify special causes of variation and act upon them.
3. Analysis and Improvement
+ Quantify common cause variation; take action to reduce it.
These three phases are repeated for continual process improvement
Figure 1.5: Control ChartsCHAPTER I Section G
Control Chants: Tools For Process Contra and Improvement
CHAPTER | - Section G
Control Charts:
Tools For Process Control and Improvement
In his books", Dr. W. E. Deming identifies two mistakes frequently made
in process control:
“Mistake 1. Ascribe a variation or a mistake to a special cause,
when in fact the cause belongs to the system (common causes)
Mistake 2. Ascribe a variation or a mistake to a system (common
causes), when in fact the cause was special
Over adjustment [tampering] is @ common example of mistake
No. 1. Never doing anything to try to find a special cause is a
‘common example of mistake No.2."
For effective variation management during production, there must be an
effective means of detecting special causes. There is a common
‘misconception that histograms can be used for this purpose. Histograms
are the graphical representation of the distributional form of the process
variation. The distributional form is studied to verify that the process
variation is symmetric and unimodal and that it follows a normal
distribution,
Unfortunately normality does not guarantee that there are no special
‘causes acting on the process. That is, some special causes may change
‘the process without destroying its symmetry or unimodality. Also a non-
ormal distribution may have no special causes acting upon it but its
istributional form is non-symmetric
Time-based statistical and probabilistic methods do provide necessary
and sufficient methods of determining if special causes exist. Although
several classes of methods are useful in this task, the most versatile and
robust is the genre of control charts which were first developed and
implemented by Dr. Walter Shewhart of the Bell Laboratories" while
studying process data in the 1920's. He first made the distinction
between controlled and uncontrolled variation due to what is called
‘common and special causes. He developed a simple but powerful tool to
separate the two ~ the control chart, Since that time, control charts have
been used successfully in @ wide variety of process control and
improvement situations. Experience has shown that control charts
effectively direct attention toward special causes of variation when they
ecur and reflect the extent of common cause variation that must be
reduced by system or process improvement.
It is impossible to reduce the above mistakes to zero. Dr. Shewhart
realized this and developed a graphical approach to minimize, over the
Jong ran, the economic loss from both mistakes.
* Deming (1989) and Deming (1994),
* Shewhart (1931).
29CHAPTER 1 - Section G
Control Chants: Tools For Process Control snd Improvernent
If process control activities assure that no special cause sources of
variation are active" the process is said to be in statistical control or “in
control.” Such processes are said to be stable, predictable, and consistent
since it is possible to predict'’ the performance of the process.
The active existence of any special cause will render the process out of
statistical control or “out of control.” The performance of such unstable
processes cannot be predicted.
How do they work?
Control Limits
When Shewhart developed control charts he was concerned with the
economic control of provesses; i.e., action is taken on the process only
when special causes are present. To do this, sample statistics are
compared to control limits. But how are these limits determined?
Consider a process distribution that can be described by the normal form.
‘The goal is to determine when special causes are affecting it. Another
way of saying this is, “Has the process changed since it was last looked
at it or during the period sampled?”
‘Shewhart’s Two Rules for the Presentation of Data:
Data should always be presented in such a way that preserves the
‘evidence in the data for all the predictions that might be made from these
data,
Whenever an average, range, or histogram is used to summarize data,
the summary should not mislead the user into taking any action that the
user would not fake if the data were presented in a time series.
Has the process
changed
Since the normal distribution is described by its process location (mean)
‘and process width (range or standard deviation) this question becomes:
Has the process location or process width changed?
Consider only the location, What approach can be used to determine if
the process location has changed? One possibility would be to look at
' This is done by using the process information to identify and eliminate the existence of special causes
or detecting them and removing their effect when they do occur.
"As with all probabilistic methods some risk is involved. The exact level of belief in prediction of
future actions cannot be determined by statistical measures alone, Subject-matter expertise is
required
30(CHAPTER I~ Section G
Control Chants: Tools Fr Process Control and Improvernent
every part produced by the process, but that is usually not economical
‘The alternative is to use a sample of the process, and caloulate the mean
of the sample.
Has the process
location changed
take n samples
calculate x
If the process has not changed, will the sample mean be equal to the
distribution mean?
‘The answer is that this very rarely happens. But how is this possible?
‘After all, the process has not changed, Doesn’t that imply that the
process mean remains the same? The reason for this is that the sample
‘mean is only an estimation of the process mean.
‘To make this a little clearer. consider taking a sample of size one. The
mean of the sample is the individual sample itself, With such random
samples from the distribution, the readings will eventually cover the
entire process range. Using the formula:
Range ofthe dsrbuton of means = ( Y/-} Process Range
for a sample of size four, the resulting range of sample averages will be
Yuli =¥4 of the process range: for a sample of size 100 it will be
yi i, ofthe process range.
‘Shewhart used this sampling distribution to establish an operational
definition of *in statistical control." Fist, start off with the assumption
that the process is in statistical control, i., innocent until proven guilty.
Then, compare the sample to the sampling distribution using the =3
standard deviation limits”. These are called control limits. If the sample
falls outside these limits then there is reason to believe that a special
cause is present. Further, itis expected that all the (random) samples will
exhibit a random ordering within these limits. If a group of samples
shows a pattem there is reason to believe that a special cause is present
(see Chapter I. Section C, and Chapter Il, Section A).
* See the Central Limit Theorem
'" ghewhart selected the #3 standard deviation limits as useful limits in achieving the economic control of
processes.
a‘CHAPTER I- Section @
‘Contr! Charis: Tools For Process Control and Improvement
Distribution of Averages Distribution of Individuals
take n samples
caloulate x
due to Sampling Variation
In general, to set up a control chart we calculate:
Cenertine = average of the statistic being analyzed
UCL = upper contro limit = centerine + 3x standard deviation of the averages
LCL =lower contol init = centerline - 3x standard deviation of the averages
Since Control Charts provide the operational definition of “in statistical
contol,” they are useful tools at every stage of the Improvement Cycle
(see Chapter 1, Section F). Within each stage, the PDSA"* cycle should
be used.
For analysis of existing data sets
For the Analysis and Improvement stages of the cycle:
Review the data:
¥ Is the metric appropriate; ie., does it reflect a process attribute
and tied to a key business factor?
Are the data consistent; ie., is the same operational definition
used by all parties collecting the data?
Y Are the data reliable; ie., is a planned data collection scheme
utilized?
Is the measurement system appropriate and acceptable?
© Plot the data:
Y Plot using the time order
Y Compare to control limits and determine if there are any points
‘outside the control limits
Plan-Do-Study-Act cycle, also known as the PDCA, (Plan-Do-Check-Act) cycle.
32,CHAPTER I~ Section G
Control Chants: Tools For Process Control and Improvement
Y Compare to the centerline and determine if there are any non-
random patterns clearly discernible
© Analyze the data
Take appropriate action
‘The data are compared with the control limits to see whether the
variation is stable and appears to come from only common causes. If
special causes of variation are evident, the process is studied to further
determine what is affecting it. After actions (see Chapter 1, Section D)
hhave been taken, further data are collected, control mits are recalculated
if necessary, and any additional special causes are acted upon.
‘Afterall special causes have been addressed and the process is running in
statistical control, the control chart continues as 2 monitoring tool.
Process capability can also be calculeted. Ifthe variation from common
causes is excessive, the process cannot produce output that consistently
meets customer requirements. The process itself must be investigated.
and, typically, management action must be taken to improve the system.
For control
‘+ Review the data collection scheme before statin:
¥ Is the metric appropriate: ic., does it reflect a process attribute
and tied to a key business Factor?
Y Will the data be consistent; i.e., is the same operational
definition used by all partes collecting the data?
Will the data be reliable; ie, isa planned data collection scheme
used?
Is the measurement system appropriate and acceptable?
+ Plot each point as itis determined:
¥ Compare to control limits and determine if there are any points
‘outside the control limits
Y Compare to the centerline and determine if there are any non-
random patterns clearly discernible
© Analyze the d
Take appropiate action
‘Continue to run with no action taken; or
Identify source of the special cause and remove (if unacceptable
response) or reinforce (if acceptable response); or
¥ Continue to run with no action taken and reduce sample size or
frequency; or
¥ Initiate a continual improvement action
aS
‘Often it is found that although the process was aimed at the target
value during initial setup, the actual process location (4) may not
The Greek leter 11 is used to indicate the actual process mean, which is estimated by the sample
mean X
3CHAPTER |
section G
‘Control Charts: Tools For Process Control and improvement
match this value. For those processes where the actual location
deviates from the target and the ability to relocate the process is
‘economical, consideration should be given to adjusting the process
so that it is aligned with the target (see Chapter IV, Section C). This
assumes that this adjustment does not affect the process variation.
‘This may not always hold true, but the causes for any possible
inerease in process variation after re-targeting the process should be
understood and assessed against both customer satisfaction and
economics.
‘The long-term performance of the process should continue to be
analyzed. This can be accomplished by a periodic and systematic
review of the ongoing control charts. New evidence of special
causes might be revealed. Some special causes, when understood,
will be beneficial and useful for process improvement Others will
be detrimental, and will need to be corrected or removed.
‘The purpose of the Improvement Cycle is to gain an understanding of the
process and its variability to improve its performance. As this
Understanding matures, the need for continual monitoring of product
variables may become less - especially in processes where
documented analysis shows that the dominant source of variation are
more efficiently and effectively controlled by other approaches. For
‘example: in processes where maintenance is the dominant source of
variation, the process is best controlled by preventive and predictive
‘maintenance; for processes where process setup is the dominant source
of variation, the process is best controlled by setup control chart.
For a process that is in statistical control, improvement efforts will offen
focus on reducing the common cause variation in the process. Reducing
this variation will have the effect of “shrinking” the control limits on the
control chart (i.e., the limits, upon their recalculation, will be closer
together), Many people, not familiar with control charts, feel this is
“penalizing” the process for improving. They do not realize that if a
process is stable and the control limits are calculated correctly, the
chance that the process will erroneously yield an out-of-control point is
the same regardless of the distance between the control limits (see
‘Chapter I, Section E).
One area deserving mention is the question of recalculation of control
‘chart limits. Once properly computed, and if no changes to the common
‘cause variation of the process occur, then the control limits remain
legitimate, Signals of special causes of variation do not require the
recalculation of control limits. For long-term analysis of control charts, it
is best to recalculate control limits as infrequently as possible; only as
dictated by changes in the process,
For continual process improvement, repeat the three stages of the
Improvement Cycle: Analyze the Process; Maintain (Control) the
Process; Improve the Process, see Figure I.4
34(CHAPTER I~ Section G
Conto! Charts: Tools For Process Control and Improvement
‘This page intentionally left blank
35(CHAPTER I~ Section H
Effective Use and Benefits Of Control Charts
BENEFITS OF CONTROL CHARTS
Properly used, control charts can:
Be used by operators for ongoing control of a process
Help the process perform consistently and predictably
Allow the process to achieve
~ Higher quality
~ Lower unit cost
— Higher effective capability
Provide a common language for discussing the performance of the
process
Distinguish special from common causes of variation, as a guide to
local action or action on the system.
36CHAPTER I~ Section H
Effective Use and Benefits OF Control Chats
CHAPTER I - Section H
Effective Use and Benefits of Control Charts
Important benefits can be obtained from the effective use of control
charts, The gains and benefits from the control charts are directly elated
to the following:
Management Philosophy: How the company is managed can directly
impact the effectiveness of SPC.
‘The following are examples of what needs to be present
‘© Focus the organization on variation reduction.
Establish an open environment that minimizes intemal competition
and supports cross-functional teamwork,
‘+ Support and fund management and employee training in the proper
use and application of SPC.
‘© Show support and interest in the application and resulting benefits of
properly applied SPC. Make regular visits and asks questions in
those areas,
© Apply SPC to promote the understanding of variation in engineering
processes.
© Apply SPC to management data and use the information in day-to-
day decision making.
‘The above items support the requirements contained in
180 9000:2000 and ISO/TS 16949:2002.
Engineering Philosophy: How engineering uses data to develop designs
can and will have an influence on the level and type of variation in the
finished product
‘The following are some ways that engineering can show effective use of
SPC:
‘© Focus the engineering organization on variation reduction throughout
the design process; ¢.g.. number of design changes, design for
‘manufacturing and assembly, personnel moves, et.
‘© Establish an open engineering environment that minimizes internal
competition and supports cross-functional teamwork
‘© Support and fund engineering management and employees training
in the proper use and application of SPC.
‘© Apply SPC to promote the understanding of variation in engineering
processes.
© Require an understanding of variation and stability in relation to
‘measurement and the data that are used for design development
37CHAPTER I~ Section H
Effect
‘Use and Benefits Of Conttol Charts
‘© Support engineering changes proposed due to analysis of SPC
information to aid in the reduction of variation,
Manufacturing: How manufacturing develops and operates machines
and transfer systems can impact the level and type of variation in the
finished product:
‘© Focus the manufacturing organization on variation reduction; e.g.
umber of different processes, impact of multi-fixture and multi-tool
processes, tool and machine maintenance, etc.
© Establish an open engineering environment that minimizes internal
competition and supports cross-functional teamwork.
Support and fund manufacturing management and employees
(raining in the proper use and application of SPC.
* Apply SPC in the understanding of variation in the manufacturing
processes.
Require an understanding of variation and stability in relation to
‘measurement and the data that are used for process design
development
‘* Use the analysis of SPC information to support process changes tor
the reduction of variation.
* Do not release contro! charts to operators until the process is stable.
The transfer of responsibility for the process to production should
‘occur after the process is stable.
‘* Assure proper placement of SPC data for optimum use by the
‘employees.
Quality Control: The Quality function is a critical component in
providing support for an effective SPC process
* Support SPC training for management, engineering, and employees
in the organization
‘* Mentor key people in the organization in the proper application of
SPC.
‘© Assist inthe identification and reduction of the sources of variation.
‘© Ensure optimum use of SPC data and information.
Production: Production personnel are directly related to the process and
can affect process variation. They should:
‘* Be properly trained in the application of SPC and problem solving.
© Have an understanding of variation and stability in relation to
measurement and the data that are used for process control and
improvement.
* Bealert to and communicate when conditions change.
* Update, maintain and display control charts within area of
responsibility
38CHAPTER | ~Section H
Effective Use and Benefits OF Contol Chants
‘+ Interact and learn about the process from the information collected.
‘+ Use the SPC information in realtime to run the process
Application of the concepts outlined above will result in the proper
environment for the understanding and reduction of variation, Then the
Plan-Do-Study-Act process can be used to further improve the process.
‘Ata minimum, the use of SPC for process monitoring will result in the
process being maintained at its current performance level. However, real
improvements can be achieved when SPC is used to direct the way
processes are analyzed.
Proper use of SPC can result in an organization focused on improving the
‘quality of the product and process.
39CHAPTER I~ Section H
[Bflective Use and Benefits Of Control Charts
This page intentionally left blank
40CHAPTER II
Control Charts
41Introduction:
CHAPTER It
Control Chars
Control charts can be used to monitor or evaluate a process, There are
basically two types of control charts, those for variables data and those
for attributes data. The process itself will dictate which type of control
chart to use Ifthe data derived from the process are of a discrete nature
(8. go!no-go, acceptableinot acceptable) then an attributes type of chart.
would be used. Ifthe data derived from the process are of a continuous
nature (¢.., diameter, length) then a variables type of chart would be
used. Within each chart type there are several chart combinations that
can be used to further evaluate the process
Some of the more common chart types, Average (X') and Range ()
charts, Individuals (/ ) chart, Moving Range (MR ) chart, etc, belong to
the variables char family. Charts based on count or percent data (e.g: p,
'"p, c, u) belong to the atribates chart family
When introducing contro charts into an organization, itis important to
Prioritize problem areas and use charts where they are most needed.
Problem signals can come from the cost control system, user complaints,
internal bottlenecks, etc. The use of attibutes control charts on key
overall quality measures often points the way to the specific process
areas that would need more detailed examination including the possible
use of control charts for variables,
If available, variables data are always preferred as they contain more
useful information than attributes data for the same amount of effort. For
example you need @ larger sample size for attributes than for variables
data to have the same amount of confidence in the results. Ifthe use of
variables measurement systems is infeasible, the application of attributes
analysis should not be overlooked
B(CHAPTER IL
Cortrol Charts
CONTROL CHARTS TO ANALYZE THE PROCESS
Process
Process evaluation requires Measurements:
TUT TTT TTT TTT TTT
123 4 5 679
People | |Equipment| | Environment
8
‘The outcome is a Decision
based on the Measurements
Materials || Methods | |Measurement|
Outcome Example Control Chart Examples
+ Shaft O.D. (inches) X for the Average of
+ Hole distance from reference surface (mm) | the Measurement
+ Circuit resistance (ohms)
+ Rallcar transit time (hours) R Chart for the Ranges
+ Engineering change processing time (hours)| of the Measurement
‘The measurement method must produce accurate and precise results over time
Not Precise Precise
Not Accurate
Accurate”
“Note: Some current metrology literature defines accuracy as the lack of bias.
fariables Data
Figure IlCHAPTER It
Control Chats
Variables Control Charts
Variables control charts represent the typical application of statistical
Process control where the processes and their outputs can be
characterized by variable measurements (see Figure It).
Variables contro! charts are particularly useful for several reasons:
* A quantitative value (e.g., “the diameter is 16.45 mm") contains
‘more information than a simple yes-no statement (e.g, “the diameter
is within specification");
* Although collecting variables data is usually more costly than
collecting attributes data (e.., go!no-go), a decision can be reached
‘more quickly with a smaller sample size. This ean lead to lower total
‘measurement costs due o increased efficiency:
+ Because fewer parts need to be checked before making reliable
decisions, the time delay between an “out-of-control” signal and
corrective action is usually shorter; and
‘With variables data, performance of a process can be analyzed, and
improvement can be quantified, even if all individual values are
within the specification limits. This is important in seeking continual
improvement
A variables chart can explain process data in terms of its process
‘variation, piece-to-piece variation, and its process average. Because of
this, control charts for variables are usually prepared and analyzed in
pairs, one chart for process average and another for the process variation,
The most commonly used pair are the X and R charts. ¥ is the
arithmetic average of the values in small subgroups — a measure of
process average; R is the range of values within each subgroup (highest
minus lowest) ~ a measure of process variation. However, there are a
number of ther contro! charts that may be more useful under certain
circumstances,
The X and R charts may be the most common charts, buf they may: not
+e the most appropriate for all situations,
45(CHAPTER TL
‘Control Charts
CONTROL CHARTS TO CLASSIFY THE PROCESS
Process
Decision is based on the
People | | Equipment] | Environment Classification of the Outcome
>
Maerats || Metiods | [Measurement
Outcome Example Control Chart Examples
Vehicle does not leak
Lamp lights does not light
Hole diameter undersized or oversized
p Chart for Proportion of
Units Nonconforming
np Chart for Number of
(evaluated using a go/nogo gage) Units Nonconforming
‘Shipment to dealer correct or incorrect
Bubbles in a windshield ¢ Chart for Number of
a i Nonconformances per Unit
Paint imperfections on door u Chart for Number of
Errors on an Invoice
Nonconformities per Unit
‘The conformance criteria must be clearly defined and the procedures for deciding if
those criteria are met must produce consistent results over time.
Acceptance Criteria Examples
Comment
Surface should be free from flaws.
What is a flaw?
Surface should conform to master standard
in color, texture, brightness
and have not imperfections
Conform to what degree?
Do inspectors agree?
How is it measured?
Any material applied to mirror back to shall
ot cause visible staining of the backing
Visible to whom?
Under what conditions
Figure 11.2: Attributes Data
46CHAPTER IL
Control Charts
Attributes Control Charts
Although control charts are most often thought of in terms of variables,
Control charts have also been developed for attributes; see Figure Il2,
Attributes data have discrete values and they can be counted for
recording and analysis. With attribute analysis the data are separated into
sistinet categories (conforming/nonconforming, pass/fail, g0/n0-g0,
Preseni/absent, low/mediumyhigh). Examples include the presence of a
Fequired label, the continuity of an electrical eireuit, visual analysis of &
painted surface, or errors ina typed document.
Other examples are of characteristics that are measurable, but where the
results are recorded in a simple yes/no fashion, such as the conformance
ofa shaft diameter when measured on a go/no-go gage, the acceptability
‘of door margins to a visual or gage check, or on-time delivery
Performance. Control charts for attributes are important for several
reasons:
+ Attributes data situations exist in any technical or administrative
Process, so attributes analysis techniques are useful in many
applications. The most significant difficulty is to develop precise
‘operational definitions of what is conforming.
‘+ Attributes data are already available in many situations — wherever
‘here are existing inspections, repair logs, sorts of rejected material,
tc. In these cases, no additional effort is required for data collection.
The only expense involved is forthe effort of converting the data 10
control chart form,
* Where new data must be collected, attributes information is
generally quick and inexpensive to obtain. With simple gaging (e.g.,
8 go/no-go gage or visual standards), specialized measurement skills
are offen ate not required. There are many occasions where
specialized measurement skills are required especially when the part
‘meesured falls in the “gray” area.'®
‘+ Much data gathered for management summary reporting are often in
attributes form and can benefit from control chart analysis. Examples
include scrap rates, quality audits and material rejections. Because of
the ability to distinguish between special and common cause
variation, control chart analysis can be Valuable in interpreting these
management reports
This manual will use conforming/nonconforming throughout attributes
discussions simply because
These categories are “traditionally” used
‘Organizations just starting on the path to continual improvement
usually begin with these categories
‘+ Many of the examples aveilable in literature use these categories
It should not be inferred that these are the only “acceptable” categories or
that attributes charts cannot be used with Case | processes: see Chapter 1,
Section E.”
'* See the Attribute Measurement System Study chapter in the MSA Reference Manual
"7 See also: Montgomery (1997), Wheeler (1991, 1995), Wise and Fair (1998),
47‘CHAPTER IL
‘Control Charts
Elements of Control Charts
There is no single “approved” manner of displaying control charts.
However the reasons for the use of control charts (see Chapter 1, Section
E) must be kept in mind, Any format is acceptable as long as it contains
the following (see Figure 113):
© (A) Appropriate scale
‘The scale should be such that the natural variation of the process can
be easily viewed. A scale which yields a “narrow” control chart does
rot enable analysis and control of the process.
YES
+ (B)UCL, LCL
The ability to determine outliers which signal special causes the
control chart requires control limits based on the sampling
distribution. Specifications limits should not be used in place of vi
‘control limits for process analysis and control.
© @) Centerline
The control chart requires a centerline based on the sampling
distribution in order to allow the determination of non-random
patterns which signal special causes.
© (©) Subgroup sequence / timeline
Maintaining the sequence in which the data are collected provides
indications of “when” a special cause occurs and whether that special
cause is time-oriented.
* (D) Identification of out-of-control plotted values
Plotted points which are out of statistical control should be identified
on the control chart. For process control the analysis for special
‘causes and their identification should occur as each sample is plotted
as well as periodic reviews of the control chart as a whole for ron-
random patterns.
© (©) Event Log
Besides the collection, charting, and analysis of data, additional
‘supporting information should be collected. This information should
48CHAPTER U
Control Chars
include any potential sources of variation as well as any actions
taken to resolve out-of-control signals (OCS). This information can
bbe recorded on the control chart or on a separate Event Log.
Hf there has not been any change in the process between subgroups, itis
not necessary to include an entry on the process event lg.
Statistic
Subgroup
t OCS Subgroup Event Log
c
‘te.
“est shih ~ new setup; Insert IC27; mate ot #1984
second ah
, replaced bad insert
| third shift ~ material lot #2193
frst shin ~ material lot #1950
__ second shit material fot R2MIB
Figure I1.3: Elements of Control Charts
During the initial analysis of the process, knowledge of what would
Constitute @ potential special cause for this specific process may be
incomplete. Consequently, the initial information collection activities
‘may include events which will prove out not to be special causes, Such
events need not be identified in subsequent information collection
activities. If initial information collection activities ate not sufficiently
‘comprehensive, then time may be wasted in identifying specific events
which cause out-of-control signals
49CHAPTER I
Control Charis
For control charts which are included as a part of a report and for those
which are maintained manually the following “header” information
should be included:
‘© What: partproduct/service name and number/identification
‘© Where: operation/process step information, name/identification
© Who: operator and appraiser
‘© How: measurement system used, name/number, units (scale)
‘© How many: subgroup size, uniform or by sample
‘© When: sampling scheme (frequency and time)
Figure 11.4 shows a completed manually maintained control chart which
includes all these elements
30CHAPTER tt
Contra! Chars
Fees cs rr
smo
ei cae
-SE
SESS soe seer an |
yeup e6uey pue eBereny
tpaene
Figure lI.4a: Sample Control Chart (Front side)(CHAPTER II
Control Charts
OCS Subgroup
>
BSEGSASSS 2S cwvoanena
24
22
23
25
ar
28
Event Log
1 ~ new setup; insert MH18; material lot #121950
S1-nile
St ~ material lot #081984
St—nic
‘S2 ~ material lot #081950
‘$2 ~ new setup; insert DA14; continue material lot #061950
‘$2 — material lot #111951
S2--nic
‘$3 ~ new setup; insert DM19; material lot #111952
‘$3 ~ replaced broken insert with DM23; continue material lot
‘83 -- material fot #111953
S3- nlc
‘S1.-- new setup; insert JK10; material lot #111954
$1 — nic
$1 — material lot #111955
S1--nc
‘S2 -- material lot #111956
‘S2 -- backup operator --D.A.
‘$2.-- material lot #111957 #
‘S2.-- bad material -- stopped production; red tagged. material
‘Sequestered production from lot change.
Sorted production ~ found 21 O/S parts
‘S3 — new setup; insert JK28; material lot #111958
$3 -nic
$3 ~ material lot #081943
$3 -nic
$1 ~ new setup; insert GG16; material lot #031942
St—nie
‘81 -- material lot #111940
S1—nic
Note: Sx indicates the shift; we indicates no changes in the process
Figure ll.4b: Sample Control Chart (back side) - Event Log
52(CHAPTER TI Setion A
Control Charting Process
CHAPTER II - Section A
Control Chart Process
Preparatory Steps
Before contro! charts can be used, several preparatory steps should be
taken:
Establish an environment suitable for action,
Y Define the process.
Determine the features or characteristics to be charted based on:
© The customer's needs.
‘+ Current and potential problem areas.
= Correlation between characteristics.
Correlation betwoen variables does not imply a causal relationship. In
Caution the absence of process knowledge, @ designed experiment may be
Needed to verity such relationships and their significance,
Y Define the characteristic.
‘The characteristic must be operationally defined so that results
‘can be communicated to all concerned in ways that have the
same meaning today as yesterday. This involves specifying what
information is to be gathered, where, how, and under what
conditions.
‘An operational definition describes the characteristic that isto be
evaluated and whether the characteristic is qualitative (discrete)
(or quantitative (continuous). Attributes control charts would be
used to monitor and evaluate discrete variables whereas variebles
‘control charts would be used fo monitor and evaluate continuous
variables,
¥- Define the measurement system.
Total process varibitity consists of par-to-part variability ard
measurement system variability. It is very important to evaluate
the effect of the measurement system's variability on the overall
process variability and determine whether it is acceptable. The
‘measurement performance must be predictable in terms of
accuracy, precision and stability.
Periodic calibration is not enough to validate the measurement
system's capability for its intended use. In addition to being
calibrated, the measurement system must be evaluated in terms
ofits suitability forthe intended use
3CHAPTER IL - Section A.
Control Charting Process
v
For more detail on this subject see the Measurement Systems
Analysis (MSA) Reference Manual. The definition of the
‘measurement system will determine What type of chart, variables
or atributes, is appropriate.
Minimize unnecessary variation.
Unnecessary external causes of variation should be reduced
before the study begins, This could simply mean watching that
the process is being operated as intended. The purpose is to
avoid obvious problems that could and should be corrected
without use of control charts, This includes ‘process adjustment
or over control. In all cases, a process event log may be kept
noting all relevant events such as tool changes, new raw material
lots, measurement system changes, etc. This will aid in
‘subsequent process analysis.
Assure selection scheme is appropriate for detecting expected
special causes.
WARNING: Even though convenience sampling and/or haphazard
sampling is often thought of as being random sampling, itis not. If one
assumes that itis, and in reality itis not, one carries an unnecessary risk
that may lead to erroneous and or biased conclusions.
For more details see Chapter I, Section H.
54(CHAPTER II -Secten A
Control Charing Process
Control Chart Mechanics
The steps to using control charts are:
1. Data Collection
2. Establish Contr! Limits
3. Interpret for Statistical Control
4. Extend Control Limits for ongoing control (see Figure I1.5)
Data Collection
Control charts are developed from measurements of a particular
characteristic or feature of the process. These measurements are
combined into a (control) statistic (e.g., average, median, range, standard
deviation, individual) which describes an attribute of the process
distributional form. The measurement data are collected from individual
samples from a process stream. The samples are collected in subgroups
‘and may consist of one or more pieces. In general, a larger subgroup size
makes it easier to detect small process shifts,
‘Create a Sampling Plan
For control charts to be effective the sampling plan should define
rational subgroups. A rationel subgroup is one in which the samples are
selected so thatthe chance for variation due to special causes occurring
within a subgroup is minimized, while the chance for special cause
variation between subgroups is maximized. The key item to remember
when developing a sampling plan is thatthe variation between subgroups
is going to be compared to the variation within subgroups. Taking
‘consecutive samples for the subgroups minimizes the opportunity for the
process to change and should minimize the within-subgroup variation.
‘The sampling frequency will determine the opportunity the process has
to change between subgroups.
‘The variation within a subgroup represents the piece-to-piece variation
over a short period of time." Any significant variation between
subgroups would reflect changes in the process that should be
investigated for appropriate action,
Subgroup Size ~ The type of process under investigation dictates how the
subgroup size is defined. As stated earlier, a larger subgroup size makes
it easier t0 detect small process shifis. The team responsible has to
determine the appropriate subgroup size. If the expected shift is
relatively small, then a larger subgroup size would be needed compared
to that required ifthe anticipated shift is large.
"See also Appendix A.
35(CHAPTER II - Section A
Control Charting Process
AVERAGE X
‘SUBGROUP ID
42:52 64 4
44 54 64/52 56.
Figure H.5: Extending Control Limits
56CHAPTER I Section A
Control Charting Process
The subgroup size should remain constant but there may be situations
where the subgroup size varies within @ single control chart. The
calculation of the control limits depends on the subgroup size and if one
varies the subgroup size the control limits wall change for that subgroup,
‘There are other techniques that deat with variable subgroup sizes: for
example, see Montgomery (1997) and Grant and Leavenworth (1996).
Subgroup Frequency ~ The subgroups are taken sequentially in time,
©. once every 15 minutes or twice per shift. The goal is to detect
changes in the process over time. Subgroups should be collected often
enough, and at appropriate times so that they can reflect the potential
‘opportunities for change. The potential causes of change could Be due to
work-shift differences, relief operators, warm-up trends, material lots
etc.
Number of Subgroups ~ The number of subgroups needed to establish
control limits should satisfy the following criterion: enough subgroups
should be gathered to assure that the major sources of variation which
can affect the process have had an opportunity to appear. Generally, 25
‘or more subgroups containing about 100 or more individual readings
give a good test for stability and. if stable, good estimates of the process
location and spread. This number of subgroups ensures that the effect of
any extreme values in the range or standard deviation will be minimized.
In some cases, existing data may be available which could accelerate this
first stage of the study. However, they should be used only if they are
recent and ifthe basis for establishing subgroups is clearly understood
Before continuing. a rational sampling plan must be developed and
documented,
Sampling Scheme ~ Ifthe special causes affecting the process can occur
unpredictably, the appropriate sampling scheme is a random (or
probability) sample. A random sample is one in which every sample
point (rational subgroup) has the same chance (probability) of being
selected. A random sample is systematic and planned; that is, all sample
points are determined before any data are collected, For special causes
that are known to occur at specific times or events. the sampling scheme
should utilize this knowledge. Haphazard sampling or convenience
sampling not based on the expected occurrence of & specific special
cause should be avoided since this type of sampling provides a false
sense of security; it can lead to a biased result and consequently a
possible erroneous decision,
Whichever sampling scheme is used all sample points should be
determined before any data are collected (see Deming (1950) and Gruska
(2004),
NOTE: For a discussion about rational subgrouping and the effect of
subgrouping on control char interpretation see Appendix A.‘CHAPTER Il - Section A
Control Charting Process
Control Chart Setup
A control chart will have sections for:
Y Header information including the description of the process and
sampling plan.
¥- Recording/displaying the actual data values collected.
This should also include the date & time or other subgroup
identification.
Y For interim data calculations (optional for automated charts),
This should also include a space for the calculations based
on the readings and the calculated control statistic(s).
Y For plotting each of the control statistics being analyzed.
The value for the control statistic is usually plotted on the
vertical scale and the horizontal scale is the sequence in
time. The data values and the plot points for the control
statistic should be aligned vertically. The scale should be
broad enough to contain all the variation in the control
statistic. A guideline is that the initial scale could be set to
twice the difference between the (expected) maximum and
minimum values,
Y To log observations.
This section should include details such as process
adjustments, tooling changes, material changes, or other
events which may affect the variability of the process.
Record Raw Data
Y Enter the individual values and the identification for each
subgroup.
% Log any pertinent observation(s).
Calculate Sample Control Statistie(s) for Each Subgroup
The control statistics to be plotted are calculated from the subgroup
‘measurement data. These statistics may be the sample mean, median,
range, standard deviation, etc. Calculate the statistics according to the
formulae for the type of chart that is being used.
58(CHAPTER II Section A
Control Charting Process
Plot the Control Statistic(s) on the Control Charts
Plot the control statistic on the chart. Make sure that the plot points for
the corresponding control statistics are aligned vertically. Connect the
points with lines to help visualize patterns and trends
The data should be reviewed while they are being collected in order to
identify potential problems. If any points are substantially higher or
lower than the others, confirm that the calculations and plots are correct
and log any pertinent observations.
Establish Control
Control limits are defined by the natural variation of the control statistic,
‘They define a range of values that the control statistic could randomly
fall within, given there is only common cause to the variation. If the
average of two different subgroups from the same process is calculated,
it is reasonable to expect that they will be about the same. But since they
were calculated using different parts, the two averages are not expected
to be identical. Even though the two averages are different, there is a
limit to how different they are expected to be, due to random chance.
This defines the location of the control limits
‘This is the basis forall control chart techniques. If the process is stable
ie, having only common cause variation), then there is a high
probability that for any subgroup sample the calculated control st
vwill fall within the control limits. If the control statistic exceeds
control limits then this indicates that @ special cause variation may be
present
There are two phases in statistical process control studies
1. The first is identifying and eliminating the special causes of
variation in the process. The objective isto stabilize the process,
A stable, predictable process is said to be in statistical contro.
2, The second phase is concemed with predicting future
measurements thus verifying ongoing process stability. During
this phase, data analysis and reaction to special causes is done in
real time. Once stable, the process can be analyzed to determine
ifit is capable of producing what the customer desires
Identify the centerline and control limits of the control chart
To assist in the graphical analysis of the plotted control statistics, draw
lines to indicate the location estimate (centerline) and control limits of
the control statistic on the chant
In general, to set up control chart calculate
Y Centerline,
Upper Control Limit (UCL),
¥ Lower Control Limit (LCL).
See Chapter Il, Section C, for the formulas.
59CHAPTER II-Sestion A
CContol Charting Process
Interpret for Statistical Control
If the process has no special causes affecting its variability, then the
control statistics will fall between the control limits in a random fashion
(i-e., no patterns will be evident)
Special causes can affect either the process location (c.g., average,
median) or the variation (e.g., range, standard deviation) or both. The
objective of control chart analysis is to identify any evidence that the
process variability or the process location is not operating at a constant
evel ~ that one or both are out of statistical control ~ and to take
appropriate action,
In the subsequent discussion, the Average will be used for the location
control statistic and the Range for the variation control statistic, The
‘conclusions stated for these control statistics also apply equally to the
other possible control statistics.
Since the control limits of the location statistic are dependent on the
variation statistic, the variation control statistic should be analyzed first
for stability. The variation and location statistics are analyzed separately,
but comparison of patterns between the two charts may sometimes give
‘added insight into special causes affecting the process
‘A process cannot be said to be stable (in statistical control) unless both
charts have no out-of-control conditions (indications of special causes).
Analyze the Data Plots on the Range Chart
Since the ability to interpret either the subgroup ranges or subgroup
averages depends on the estimate of piece-to-piece variability, the R
chart is analyzed first. The data points are compared with the control
limits, for points out of control or for unusual pattems or trends (see
Chapter Il, Section D)
Find and Address Special Causes (Range Chart)
For each indication of a special cause in the range chart data, conduct an
analysis of the process operation to determine the cause and improve
process understanding; correct that condition, and prevent it from
recurring. The control chart itself should be a useful guide in problem
analysis, suggesting when the condition may have began and how long it
continued. However, recognize that not all special causes are negative;
some special causes can result in positive process improvement in terms
of decreased variation in the range ~ those special causes should be
assessed for possible institutionalization within the process, where
appropriate.
Timeliness is important in problem analysis, both in terms of minimizing
the production of inconsistent output. and in terms of having fresh
evidence for diagnosis. For instance, the appearance of a single point
beyond the control limits is reason to begin an immediate analysis of theCHAPTER It - Section A
‘Control Chaning Process
process. A process event log may also be a helpful source of information
in terms of identifying special causes of variation
faye
Figure II.6: Control Limits Recalculation
1t should be emphasized that problem solving is often the most difficult
and time-consuming step. Statistical input from the control char can be
an appropriate starting point, but other methods such as Pareto charts,
cause and effect diagrams, or other graphical analysis can be helpful (see
Ishikawa (1976)). Ultimately, however, the explanations for behavior lie
within the process and the people who are involved with it
Thoroughness, patience, insight and understanding will be required 10
develop actions that will measurably improve performance.
6CHAPTER II- Section A
Control Chanting Process
Recalculate Control Limits (Range Chart)
When conducting an initial process study or a reassessment of process
‘capability, the control limits should be recalculated to exclude the effects
‘of out-of-control periods for which process causes have been clearly
identified and removed or institutionalized. Exclude all subgroups
affected by the special causes that have been identified and removed or
institutionalized, then recalculate and plot the new average range (R)
and control limits. Confirm that all range points show control when
‘compared to the new limits; if not, repeat the identification, correction,
recalculation sequence.
UE any subgroups were dropped from the R chart because of identified
Special causes, they should also be excluded from the X chart. The
revised R and ¥ should be used to recalculate the trial controt limits
for averages, X + A,R (see Figure 11.6).
NOTE: The exclusion of subgroups representing unstable conditions is
not just “throwing away bad data.” Rather, by excluding the points
affected by known special causes, there is a better estimate of the
background leve! of variation due to common causes. This, in turn, gives
the most appropriate basis for the control limits to detect future
Occurrences of special causes of variation. Be reminded, however, that
the process must be changed so the special cause will not recur {if
undesirable) as part of the process.
Find and Address Special Causes (Average Chart)
Once the special cause which affect the variation (Range Chart) have
been identified and their effect have been removed, the Average Chart
an be evaluated for special causes. In Figure I1.6 the new control limits
for the averages indicate that two samples are out of control.
For each indication of an out-of-control condition in the average chart
data, conduct an analysis of the process operation to determine the reason
for the special cause; correct that condition, and prevent it from
recurring, Use the chart data as @ guide to when such conditions began
and how long they continued. Timeliness in analysis is important, both
for diagnosis and to minimize inconsistent output. Again, be aware that
Rot all special causes need be undesirable (see Chapter I, Section E and
‘Chapter Il, Section B).
Problem solving techniques such as Pareto analysis and cause-and-effect
analysis can help. (Ishikawa (1976),
Recalculate Control Limits (Average Chart)
When conducting an intial process study or a reassessment of process
capability, exclude any out-of-control points for which special causes
have been found and removed: recalculate and plot the process average
‘and control limits. Confirm that all data points show control when
62Final Comments
‘CHAPTER I
Control Chat
compared to the new limits; if not, repeat the identification, corection,
recalculation sequence.
The preceding discussions were intended to give a functional
introduction to control chart analysis. Even though these discussions
used the Average and Range Charts, the concepts apply to all control
cchart approaches,
Furthermore, there are other considerations that can be useful to the
‘analyst. One of the most important is the reminder that, even with
processes that are in statistical control, the probability of getting a false
signal of a special cause on any individual subgroup increases as more
data are reviewed,
While itis wise to investigate all signals as possible evidence of special
causes, it should be recognized that they may have been caused by the
system and that there may be no underlying local process problem. If no
clear evidence of a special cause is found, any “corrective” action will
probably serve to increase, rather than decrease, the total variability in
the process output,
For further discussion of interpretation, tests for randomness in data, and
problem-solving, see AT&T (1984), Duncan (1986), Grant and
Leavenworth (1996), Juran_and Godfrey (1999), Charbonneau and
Gordon (1978), Ishikawa (1976), Wheeler (1991, 1995), and Ott (2000),
8CHAPTER It Seetion A
Control Chaning Process
AVERAGE X
eet Plat new data against the
DATE (en, ‘ongoing control limits.CHAPTER IL- Section A
Control Charting Process
Extend Control Limits for Ongoing Control
Wien the initia (or historical) data are consistently contained within the
trial control limits, extend the limits to cover future periods. It might be
desirable here to adjust the process to the target if the process center is
off target. These limits would be used for ongoing monitoring of the
process, with the operator and local supervision responding 10 signs of
out-of-control conditions on either the location and variation Tor R
chart with prompt action (see Figure Ul.7).
A change in the subgroup sample size would affect the expected average
range and the control limits for both ranges and averages. This situation
could occur, for instance, if it were decided to take smaller samples mote
frequently, 0 a5 to detect large process shifts more quickly. without
increasing the total number of pieces sampled per day. To adjust central
lines and control limits for a new subgroup sample size, the following
steps should be taken:
# Estimate the process standard deviation (the estimate is shown as
“sigma hat”). Using the existing subgroup size calculate:
oA where R is the average of the subgroup ranges (for
periods with the ranges in control) and d, is a constant varying by
sample size n, the number of samples in a subgroup, as shown in the
partial ible below, taken from Appendin E:
1.13 | 1.69 | 2.06 | 2.33 | 2.53 | 2.70 | 285 | 2.97 | 3.08,
‘© Using the table factors based on the new subgroup size, calculate the
new range and control limits:
Plot these new control limits on the chart as the basis for ongoing process
control. As long as the process remains in control for both averages and
ranges, the ongoing limits ean be extended for additional periods. If,
however, there is evidence that the process average or range has changed
{in ether direction), the cause should be determined and, if the change is
justifiable, control’ limits should be recalculated based on current
performance.
"© This manual will distinguish between the estimated standard deviation due to the within-subgroup
variation andthe foal variation by using the subscripts "C” and “P”, respectively.
65CHAPTER IT- Section A
Control Charting Process
Final Concepts on “Control” - For Further
Consideration
AT&T (1984)
“A perfect state of control is never attainable in a production process.
The goal of the process control charts is not perfection, but a reasonable
and economical state of control. For practical purposes, therefore. @
controlled process is not one where the chart never goes out of control. IF
@ chart never went out of control we would seriously question whether
that operation should be charted, For shop purposes a controlled process
is considered to be one where only a small percentage of the points go
Out of control and where out-of-control points are followed by proper
action”. See also Figure IL.8.
Obviously, there are different levels or degrees of statistical control. The
definition of contro! used can range from mere outliers (beyond the
control limits), through runs, trends and stratification, to full zone
analysis. As the definition of control used advances to full zone analysis,
the likelihood of finding lack of control inereases (for example, a process
with no outliers may demonstrate lack of control through an obvious run
still within the control limits). For this reason, the definition of control
used should be consistent with your ability to detect this at the point of
control and should remain the same within one time period, within one
process. Some suppliers may not be able to apply the fuller definitions of
Control on the floor on a real-time basis due to immature stages of
‘operator training or lack of sophistication in the operator's ability. The
ability to detect lack of control at the point of control on a real-time basis
is an advantage of the control chart. Over-interpretation of the data can
bbe a danger in maintaining a true state of economical control,CHAPTER It Section A
Control Charing Process
PROCESS CAPABLE OF MEETING SPECIFICATIONS (VIRTUALLY ALL OUTPUT 1S WITHIN THE SPECIFICATIONS), WITH
DIFFERING LEVELS OF VARATION
ut sue
PROCESS INCAPABLE OF MEETING SPECIFICATIONS (OUTPUT IS PRODUCED BEYOND ONE
(08 BOTH SPECIFICATIONS}:
ts us ry ost
a st
STANDARD DEVLATION AND RANGE (FOR A GIVEN SAMPLE. THE LARGER THE AVERAGE RANGE
“A. THE LARGER THE STANDARD DEVATION =
LN
oo Pras ar
Sead st >
OM THE BCAMPLE (ESTIMATING THE PROCESS STANDARD DEVATION FROM THE AVERAGE RANGE)
a
X = 0.738
= 8 Ls = 0.500
2.33 USL = 0.900
Rid =.16972.33
0(CHAPTER II -Section A
Control Charting Process
‘This page intentionally left blank
68CHAPTER I1- Section B
Defining “Out of Corre” Signals
CHAPTER II - Section B
Defining “Out-of-Control” Signals
Point Beyond a Control
Limit.
‘The presence of one or more points beyond either control limit is primary
evidence of special cause variation at that point. This special cause could
hhave occurred prior to this point.
Since points beyond the control limits would be rare if only variation
from common causes were present, the presumption is that a special
cause has accounted for the extreme value. Therefore, any point beyond
2 control limit is a signal for analysis of the operation for the special
cause. Mark any data points that are beyond the control limits for
investigation and corrective action based on when that special cause
actually started.
A point outside a control limit is generally a sign of one or more of the
following:
* The control limit or plot point has been miscalculated or misplotted.
‘+ The piece-to-piece variability or the spread of the distribution has
increased (i.e., worsened), either at that one point in time or as part
ofa trend,
* The measurement system has changed (e.g., a different appraiser o
instrument).
‘+ The measurement system lacks appropriate discrimination,
For charts dealing with the spread, a point below the lower control limit
is generally a sign of one or more of the following:
‘* The control limit or plot point isin error.
* The spread ofthe distribution has decreased (i.., becomes better)
* The measurement system has changed (including possible editing or
alteration of the data).
A point beyond either control limit is generally a sign that the process
has shifted either at that one point or as part ofa trend (see Figure 119)
‘When the ranges are in statistical control, the process spread — the
\within-subgroup variation ~is considered to be stable. ‘The averages can
then be analyzed to see if the process location is changing over time,
Since control limits for Y are based upon the amount of variation in the
ranges, then if the averages are in statistical control, theit variation is
related to the amount of variation seen in the ranges — the common-cause
9CHAPTER Il - Section B
Defining “Out of Control” Signals
variation of the system, If the averages are not in control, some special
causes of variation are making the process location unstable.
Process in control for Averages Process not in control for Averages
(a point beyond the control limits)
Figure 11.9: Points Beyond Control Limits
Patterns or Trends Within
the Control Limits
The presence of unusual pattems or trends, even when all ranges are
within the control limits, can be evidence of the influence of a special
cause during the period of the pattern or trend. This could give the first
waming of an unfavorable condition which should be corrected.
Conversely, certain patterns or trends could be favorable and should be
studied for possible permanent improvement of the process. Comparison
Of patterns between the range and average charts may give added insight.
‘There are situations where an “out-of-control pattern” may be a bad
event for one process and a good event for another process. An example
of this is that in an X and R chart a series of 7 or more points on one
side of the centerline may indicate an out-of-control situation. If this
happened in a p chart, the process may actually be improving if the series
below the average line (less nonconformances are being produced). So
in this case the series is a good thing — if we identify and retain the cause.
70CHAPTER I- Section B
“Out of Control” Signals
Runs
Runs ~ Bach ofthe following are signs that @ process shift or tend has
begun
‘* Tpoints in a row on one side of the X or
* 7 points in a row that are consistently increasing (equal to or greater
than the preceding points), or consistently decreasing,
Mark the point that prompts the decision; it may be helpful to extend a
reference line back to the beginning of the run, Analysis should consider
the approximate time at which it appears that the trend or shift first
began,
PROCESS NOTIN CONTROL FOR AVERAGES ‘PROCESS NOT IN CONTROL FOR AVERAGES
{LONG RUNS BOTH ABOVE AND BELOW THE (LONG RUNS UP}
AVERAGES)
Figure II.10: Runs in an Average Control Chart
‘A run above the average range, or @ run up, signifies one or both of the
following:
Greater spread in the output values, which could be from an
fmegular ‘cause (such as equipment malfunction or loose
fixturing) or from a shift in one of the process elements (e.g, a
new, less uniform raw material fot,
YA change in the measurement system (e.g., new inspector or
sage).
1CHAPTER It- Section B
Defining "Out of Contr” Signals
Process not in control for Ranges Process not in control for Ranges
{long runs both above and below (long run up)
the Average Range)
Figure 1.11: Runs in a Range Control Chart
‘A run below the average range, or a run down, signifies one or both of
the following:
Y Smaiter spread in output values, which is usually a good
condition that should be studied for wider application and
process improvement.
A change in the measurement system, which could mask real
performance changes.
NOTE: As the subgroup size (n) becomes smaller (5 or less), the
likelihood of runs below R increases, so a run length of 8 or more could
be necessary to signal a decrease in process variability.
‘A nun relative to the process average is generally a sign of one or both of
the following:
The process average has changed — and may still be changing.
Y The measurement system has changed (drift, bias, sensi
etc.)CHAPTER II -Section B
Defining “Out of Control” Signals
Obvious Nonrandom Patterns
In addition to the presence of points beyond control limits or long runs,
ther distinet pattems may appear in the data that give clues to special
causes. Care should be taken not to over-interpret the data, since even
random (i.¢.. common cause) data can sometimes give the illusion of
nonrandomness (i.e, special causes). Examples of nonrandom patterns
ould be obvious trends (even though they did not satisfy the runs tests),
cycles, the overall spread of data points within the control limits, or even
selationships among values within subgroups (e4.. the first reading
‘ight always be the highest). One test for the overall spread of subgroup,
data points is described below.
Distance of points from Ror.X: Generally, about 2/3 of the plotted
points should lic within the middle third of the region between the
ontro! limits; about 1/3 of the points should be in the outer two-thirds of
the region. If substantially more than 2/3 of the plotted points lic close to
R ot ¥ investigate one or more ofthe following:
* The control limits or plot points have been miscalculated or
misploted,
* The process or the sampling method is stratified: each subgroup
systematically contains measurements from two or more process
streams that have very different process averages (e.g., one piece
from each of several spindles).
* The data have been edited (subgroups with ranges that deviated
‘much from the average have been altered or removed),
If substantially fewer than 2/3 of the plotted points lie close to R (for 25
subgroups if 40% or fewer are in the middle third), investigate one ot
both of the following:
* The control fimits or plot points have been miscalculated ot
misplotted,
‘+ The process or the sampling method causes successive subgroups to
Contain measurements from two or more process streams that have
dramatically different variability (e.g,, mixed lols of input materials).
IF several process streams are present, they should be identified and
tracked separately (sce also Appendix A). Figure Il.12 shows
nonrandom patter for the R chart
B(CHAPTER It - Section B
Defining “Out of Control” Signals
Process not in control for Ranges Process not in control for Ranges
{points too close to the Average Range) (points too close to the control Limits)
[Rbeut 23 of pits are win uate ea ot
eortrl rts (15 125 betveen 112 and 244)
esueutiaastail
“ feo i i |
Sjslee aie ele mle ile
sizes itgis ais als
Figure 11.12: Nonrandom Patterns in a Control Chart
4n
control limits.
CHAPTER I - Section 8
Defining “Out of Contol” Signals
Special Cause Criteria
‘There are several criteria for identifying special causes (see table below
and AT&T (1984). The most commonly used are discussed above, The
decision as to which criteria to use depends on the process being
studied/controlled,
‘Summary of Typical Special Cause Criter
T point more than 3 standard deviations” from centerline
points in a row on same side of centerline
6 points in a row, all increasing or all decreasing
14 points in a row, alternating up and down
2 out of 3 points > 2 standard deviations from centerline (same side)
4 out of 5 points > | standard deviation from centerline (same side)
15 points in a row within 1 standard deviation of centerline (either side)
8 points
Table It
Note 1: Except for the fist criterion, the numbers associated with the
criteria do not establish an order oF protiy of use. Determination of
‘which of the additonal criteria fo use depends on the specific process
Characteristics and special causes which are dominant within the
process.
Note 2: Care should be given not to apply multiple criteria except In
those cases where it makes sense. The application of each additional
criterion increases the sensitivity of finding a special cause but also
increases the chance of a Type I error.
In reviewing the above, it should be noted that not all these
considerations for interpretation of control can be applied on the
production floor. There is simply too much for the appraiser to
remember and utilizing the advantages of a computer is often not feasible
‘on the production floor. So, much of this more detailed analysis may
need to be done offline rather than in teal time. This supports the need
for the process event log and for appropriate thoughtful analysis to be
done after the fact.
‘Another consideration is inthe training of operators. Applicaton of the
additional contro! criteria should be used on the production floor when
applicable, but not until the operator is ready for it; both with the
appropriate training and tools. With time and experience the operator
will recognize these patterns in realtime.
In this table, “standard deviation” refers to the standard deviation used in the calculations of the
5‘CHAPTER II - Section &
Defining “Out of Coattol” Signals
Average Run Length (ARL)
Chapter | stated that decisions made based on charts should balance the
risks of Type | errors (over-control. false alarms) to Type Il errors
(under-control). A measure of this balance is the Average Run Length
CARL),
‘The Average Run Length is the number of sample subgroups expected
between out-of-control signals, ‘The in-control Average Run Length
(ARI) is the expected number of subgroup samples between false
alarms.
ARL, = ———_____
ty Pr{Typel Error}
‘The ARL is dependent on how out-of-control signals are defined, the
true target value’s deviation from the estimate, and the true variation
relative tothe estimate.
Below is a table of approximate ARL's for the standard Shewhart X
control chart with exceeding the 307; control limits as the only out-of-
control signal,
Shift in Target
o; ARL
HE 3104
ot 352.9
02 308.4
03 253.1
05 135.2
10 43.9
> iis 15.0
20 63
3.0 20
— ar 12
This table indicates that a mean shift of 1.5 standard deviations (of the
mean) would be signaled (on average) by the 15 subgroup after the
shi. A shift of 4 standard deviations would be identified within 2
subgroups.
6CHAPTER I Section B
Detining “Out of Contra” Signals
This table also shows that a false signal may be indicated for a process
Without a shift (ie., the process remains in statistical control) every 370
subgroups (on average).
+ the practical magnitude of the shifts can be reduced by
increasing the number of items in each subgroup. Larger subgroups
reduce the size of and tighten the contol limits around
‘Alternatively, the ARL's can be reduced by adding more out-of-control
criteria. Other signals such as runs tests and pattems analysis along with
the contto limits will reduce the size ofthe ARL's
The following table is approximate ARL'S for the same chart adding
the runs test of 7-points in row on one side of
Shift in Target
Ox's ARL
0 59.8
ot 3.9
02 48
03 308
0s 179
Lo 87
1s 69
20 61
30 20
40 12
As can be seen, adding the one extra out-of-control criterion significantly
reduces the ARLS for small shifts inthe mean, a decrease in the risk of a
‘Type I error. Note thatthe zero-shift (the in-control) ARL. is also
reduced significantly. This is an increase in the risk of & Type I error or
false alarm,
This balance between wanting a long ARL when the process is in
control versus a short ARL when there is a process change has led to the
development of other charting methods. Some of those methods are
briefly described in Chapter IN
nyu 3ONVE
‘CHAPTER Il- Section C
(Control Chart Formulas:
TERRA
tpauee
al
asta |
yeyd
wie wan01d
eGuey pue eBereay
aOVeaAV
Figure 11.13: Average and Range Charts
8CHAPTER It- Section €
Contal Chan Forms
CHAPTER II - Section C
Control Chart Formulas
Contro} chart constants for ail contro! charts discussed in this section are
listed in Appendix E.
Variables Control Charts
Average and Range Charts (% R)
‘Subgroup Average:
Poa ta tote
7
n= number of samples in a subgroup
‘Subgroup Range:
R= Xe —Xyyq_ (within each subgroup)
Grand Average:
X+
A= number of subgroups used to determine the
Grand Average and Average Range
‘Average Range:
+R,
k
Estimate of the Standard Deviation of X :
Estimate of the Standard Deviation of ¥:
n(CHAPTER II -Seetion ©
Control Chert Formulas:
Chart Features:
Centerline Control Limits
UCL; =¥+4,R
UCL, =D,R
LCL; =
LCL,
R-AR
DRCHAPTER I- Section €
Control Chart Formulas
ueYD Uone!neg puepuelg pue abeieAy
Figure 11.14: Average and Standard Deviation Charts
82CHAPTER II Section C
‘Control Chart Formulas:
Average and Standard Deviation Charts (X, s)
Subgroup Average:
n= number of samples in a subgroup
‘Subgroup Standard Deviation (Within-subgroup Variation):
k= number of subgroups used to determine
the Grand Average and Average
Standard Deviation
Average Standard Deviation:
Sty tony
Estimate of the Standard Deviation of X:
Estimate of the Standard Deviation of X:
Hi
Chart Features:
Centerline
cL,
a
® Also known as the pooled standard deviation.
3CHAPTER IT - Section C
Control Chart Formulas
| anon aaa s(CHAPTER I- Section C
‘Control Chart Formulas
Median and Range Charts (, 2)
Sample Value: x,, i=1...n (sample size)
‘Subgroup Median:
X') js the value of the O” element in the sample
when the data are arranged in ascending order
ifn is odd
ifn is even
‘= number of elements in a subgroup
= number of subgroups used to determine the
‘Average Median and Average Range
Subgroup Range:
‘in (within each subgroup)
Average Median:
Fae ee.c :
Average Range:
pe Reh
Estimate of the Standard Deviation of X :
5.=R,
Fa
Chart Features:
Centerline Control Limits
This approach to the Median Chart uses averages in the calculation of the centerline and control
limits. There are other approaches in the literature which do not use averages,
85CHAPTER IT Section C.
(Control Chart Formulas:
ge Chart
Picton Torget i mn
rome Ke
Individuals and Moving Ran
‘Acid Concentration =
20%
eee
70%
=
a
5
! Eye | X STVNGIAIGNI / YW oBuey Bunow
Figure 11.16: Individual and Moving Range Charts
+
i
f.
NOUNS RANGE
86(CHAPTER TI -Section €
‘Control Chart Forruls:
Individuals and Moving Range Charts (X, MR)
Individual Value: x, i=1,...k individual values:
Average of Individual Values:
x
Moving Range:
(Range between current value and previous value.)
Average Moving Range:
Fhe MR EMR MR,
k-l
Estimate of the Standard Deviation of X=
ak,
Chart Features:
Centerline Controt Limits
CL, =¥ UCL, =F +E,R
Ch, =
Because moving ranges are Involved, the points being plotted on the
range chart are correlated. Therefore, valid signals occur only in the
{orm of points beyond the contro limits. Other rules used to evaluate the
{dala for non-random pattems (see Chapter Il, Section 8) are not reliable
Indicators of out-of-control conditions,
87CHAPTER II - Section C
onteol Chart Formulas:
wwe
9800 <"9n peEvO =d + 1s91 eug
‘sjuawaunbay jeuonouns aaa
Figure l.17: Proportion Nonconforming Chart
88CHAPTER I Section C
Control Chart Fors
Asttributes Control Charts
Control Charts for Nonconforming Items»
Ateibutes charts are part of probability based chars discussed in Chapter
UL. These control chars use categorical data and the probabilities related
to the categories to identify the presences of special causes. The analysis
‘of categorical data by these charts generally utilizes the binomial, or
Poisson distribution approximated by the normal form.
Traditionally attributes charts are used to track unaceeptable parts by
identifying nonconforming items and nonconformities within an item
There is nothing intrinsic in attributes charts that restricts them to be
solely used in charting nonconforming items. They can also be used for
tracking positive events. However, we will follow tradition and refer to
these as nonconformances and nonconformit
Proportion Nonconforming (p Chart)
Guideline:
Since the control limits are based on a normal approximation, the
sample size used should be such that nip 2 5.
Individual Value
1umber of parts inspected;
‘np, = number of nonconforming items found
Average of Individual Values
Patt where k= number of subgroups
tn ttn,
Pit cA
‘fall the ns are equal
* An alternative to these charts i the Individuals and Moving Range Chart (see Wheeler (1995)),
89CHAPTER II. Section C
Control Chart Formulas:
Chart Features:
Centerline Control Limits
CL, =B
If the sample size is constant (n)
Control Limits
Ly = B+ 3NPURXP)
UCL, =p +3:
ae
Constant control limits when the sample size varies
(for situations where ™2" > 9.75
max 7,
Control Limits
uct, =p+3XP og average sample size)
la
LCL, =p-38=P) og average sample size)
Example Uses:
+ AccepyReject Decisions with constant or variable subgroup size
¥ First Time Quality (FTQ) results”
¥ Proportion nonconforming
~ Proportion conforming”
Y Proportion of items above (or below) a threshold value
© Judgment Decisions
Proportion of items within a specified category
Y,_ Proportion of items above (or below) a threshold value
Y Proportion Uptime (equipment)
= Thi
is alternatively known as FTC (First Time Capability) and RTY (Rolled Throughput Yield),
*- This chart is sometimes celled a g-chart: this is based on the Practice of calculating the parameter
g=l-p.CHAPTER Il- Section €
‘Conttol Chart Formals
This page intentionally left blank
91ic
CHAPTER I - Section
‘Control Chart Formulas
Tord oom open)
a mm sane
‘hart
Figure 11.18: Number of Nonconforming Ct
92,CHAPTER Seon ¢
Conte Cha Fools
Number of Nonconforming Chart (np Chart)
Restriction:
Requires a constant subgroup size =
Gui
Since the control limits are based on a normal approximation,
the sample size used should be such that np 25.
Individual Value:
np, ‘n=number of parts inspected;
‘np = number of nonconforming items found
Average of Individual Valu
— mp tps tt py
p= teat
Chart Features:
Centerline Control Limits:
CL, =
Example Uses:
* AcceptReject Decisions with constant subgroup size
¥ First Time Quality (FTQ) results
¥ Number nonconforming
¥ Number conforming
¥ Number of items above (or below) a threshold value
‘© Judgment Decisions
¥ “Number of items within a specified category
Number of items above (or below) a threshold value
¥ Number of times a condition occurs
93hart
CHAPTER It- Section ©
Control Chart Formulas
er0 To
Aep ied,
see son
sexoq g
Figure i119: Number of Nonconforming per Unit Ci(CHAPTER I- Section C
‘Conttot Char Formulas
Number of Nonconformities per Unit Chart (u Chart)
Guideline:
Since the control limits are based on a normal
approximation, the sample size used must be large enough
‘so that the number of subgroups with c = 0 is small.
Individual Value:
c= number of nonconformities found in sample i,
1, =is the sample size
Average of Individual Values:
tu,
Chart Features:
Centerline
CL,= i
For constant control limits when the sample size varies
(for situations where =. > 0.75 )
Control Limits:
uct, (i= average sample size)
LCL, (= average sample size)
Example Uses:
+ AcceptReject Decisions with variable number items per unit
Quality rates for specified unit designation
¥- Average number (rate) of nonconformities per unit
Average number (rate) of items within one or more categories
Judgment Decisions
“Average number (rate) of items within one or more categories
¥ Average number (rate) of items above (or below) a threshold
value per unit
95(CHAPTER Il - Section C
‘Control Chart Formulas:
Figure lI.20: Number of Nonconformities ChartCHAPTER II- Section ©
‘Control Chart Formulas:
Number of Nonconformities Chart (c Chart)
Restriction:
Requires a constant subgroup size = n
Guidetine:
Since the control limits are based on a normal approximation, the sample
used must be large enough so that the number of subgroups with c= big
small
Individual Vatue:
4 = number of nonconformities found in sample; i = ,...,k
Average of Individual Values:
4 <4. k= number of samples
Chart Features:
Centerline Control Limits
Ch, = UCL, = +3VE
LCL, = -3VE
Example Uses:
© AcceptReject Decisions with a constant number items per unit
Y Quality level for specified unit designation
¥- Total number of nonconformities per unit
Total number of items within one or more categories
‘= Judgment Decisions
Y Total number of items within one or more categories per unit
~ Total number of items above (or below) a threshold value per
unit
Total number of times a condition occurs within a unit
”CHAPTER III
Other Types of Control ChartsCHAPTER IIL
(Other Types of Control Charts
CONTROL CHARTS
Oper te eles ete et stetee te teey
CenterLine |X,
Lower Control Limit
1. Collection
+ Gather Data and plot on a chart.
2. Control
* Calculate trial contro! limits from process data.
+ Identify special causes of variation and act upon them.
3. Analysis and improvement
* Quantify common cause variation; take action to reduce it.
These three phases are repeated for continual process improvement
Figure Iil.1; Control ChartsIntroduction
(CHAPTER MI
Other Types of Control Chas
‘There are several types of control charts other than those discussed in the
previous chapters. Most of these charts were developed to address
Specific process situations or conditions which can affect the optimal use
of the standard control charts. A brief description of the more common
charts will follow below. This description will define the chars, discuss
When they should be used and lis the formulas associated withthe chart,
88 appropriate. If more information is desired regarding these charts or
‘others, please consult a reference text that deals specifically with these
types of control charts
Probability Based Charts
Red
Yellow
Green
Probability based charts belong to a class of control charts that uses
categorical data and the probabilities related to the categories. The
analysis of categorical data generally uses the binomial, multinomial or
poisson distribution, Examples of these charts are the attributes charts
Ciscussed in Chapter Il Section C. The attributes charts use the categories
of “good” and “bad” (e.g, conforming and nonconforming). However,
there is nothing inherent in any of these forms (or any other forms) that
requires one or more categories to be “bad.”
ZThe problem is that users tend to apply by example, rather than by
knowledge. This is as much the fault of professionals and teachers, a8 it
is the student's. There is a tendency to take the easy way oul, using
traditional (and stereotypical) examples. This leads to a failure to realize
that quality practitioners once had (or were constrained to) the tolerance
philosophy; ic., make it “to print” (or “close enough’)
Stoplight Control
With stoplight contro! charts, the process location and variation are
controlled using one chart. The chart tracks the number of data points in
the sample in each of the designated categories. The decision erteria are
based on the expected probabilities for these categories,
A typical scenario will divide the process variation into three parts:
warning low, target, warning high. The areas outside the expected
Process variation (86>) are the stop zones. One simple but effective
Control procedure of this type is stoplight control which is a semi.
variables (more than two categories) technique using double sampling, In
this approach the target area is designated green, the waming areas as
yellow, and the stop zones as red. The use of these colors gives rise to
the “stoplight” designation,
101(CHAPTER IIL
(Other Types of Control Chants
Stop
Warning
Target
Warning
Stop
See Chapter I, Section F.
LSL LSL
Stop
USL USL
v
Figure Ill.2: Stoplight Control
With this categorization the process can be controlled by identifying and
charting the proportion of data points designated as “warning” within a
sample. The apportionment (% warming) controls the sample size and
frequency required. Of course, this allows process control only if the
process distribution is known. The quantification and analysis of the
process requires variables data.
‘The focus of this tool is to detect changes (special causes of variation) in
the process. That is, this is an appropriate tool for stage 2 activities”
only. At its basic implementation, stoplight control requires no
computations and no plotting, thereby making it easier to implement than
control charts. Since it splits the totat sample (e.g., 5) into a two-stage
sampling (e.g., 2, 3), this approach can signal out-of-control conditions
with the same or better efficiency than a control chart with the same total
sample size (see Heaphy and Gruska (1982)).
Although, the development of this technique is thoroughly founded in
statistical theory, it can be implemented and taught at the operator level
involving mathematics.
102CHAPTER Ul
Other Types of Control Chats
‘The assumptions in stoplight control are:
‘* The process is in statistical control.
* Process performance (including measurement variability) is
acceptable,
'* The process is on target.
Once the assumptions have been verified by a process performance study
using variables data techniques, the process distribution can be divided
such that the average + 1.Sstandard deviations is labeled as the green
area and the rest of the area within the process distribution is yellow,
Any area outside the process distribution (the 99.73% range) is labeled
red,
Jf the process distribution follows the normal form, approximately
86.6% of the distribution isin the green area, 13.2% is in the yellow area
and 0.3% is in the red area. Similar conditions can be established if the
distribution is found to be non-normal.
For control equivalent to an ¥ and R chart with a sample size of 5, the
steps for stoplight contol can be outlined as follows:
1. Check 2 pieces; if both pieces are in the green area, continue to run.
2. If one or both are in the red zone, stop the process, notify the
designated person for corrective ation and sort material, When setup
‘or other corrections are made, repeat step #
3. Tfone or both are in yellow zone, check three more pieces. if any
pieces fall in a red zone, stop the process, notify the designated
Person for corrective action and sort material. When setup or other
‘corrections are made, repeat step # |.
If'no pieces fallin a red zone, but three or more are in a yellow
zone (out of 5 pieces) stop the process, notify the designated
person for corrective action. When setup or other corrections are
made, repeat step #1
If three pieces fall in the green zone and the rest arc yellow,
continue to run,
Measurements can be made with variables as well as attributes gaging
Certain variables gaging such as dial indicators or air-electronic columns
are better suited for this type of program since the indicator background
can be color coded. Although no charts or graphs are required, cherting is
recommended, especially if subtle trends (shifts over a relatively jong
period of time) are possible inthe process
In any decision-making situation there is a risk of making a wrong
decision, With sampling, the two types of errors are:
‘+ Probability of calling the process bad when itis actually good
(false alarm rate).
* Probability of calling the process good when it is actually bad
(miss rate)
103(CHAPTER IH
Other Types of Control Chars
In addition to these two measures, the sensitivity of the sampling plan
can be quantified. Sensitivity refers to the ability of the sampling plan to
detect out-of-control conditions due to increased variation or shifts from
the process average.
The disadvantage of stoplight control is that it has a higher false alarm
rate than an X and R chart of the same total sample size.
The advantage of stoplight control is that it is as sensitive as an
¥ and R chart of the same total sample size.
Users tend to accept control mechanisms based on these types of data
due to the ease of data collection and analysis. Focus is on the target not
specification limits ~ thus it is compatible with the target philosophy and
continuous improvement.
Pre-Control
‘An application of the stoplight control approach for the purpose of
nonconformance control instead of process control is called Pre-
control. It is based on the specifications not the process variation. Its
origins can be traced to work by Frank Sattethwaite from Rath & Strong
at the Jones & Lamson Machine Company in 1954.”
‘The assumptions in pre-control are:
‘© the process has a flat loss function (see section on Loss Function, in
Chapter IV.)
# process performance (inchiding measurement system variability) is
less than or equal to the tolerance.
The first assumption means that all special sources of variation in the
process are being controlled. The second assumption states that 99.73%
of the pieces being produced are within specification without sorting,
If the foregoing assumptions are satisfied, the tolerance can be divided so
that Nominal = % Tolerance is labeled as the green area and the rest of
the area within the specification is yellow. The area outside the
specifications is labeled red. For a process that is normal with C,, Cy
‘equal to 1.00, approximately 86.6% of the pieces are in the green area,
13.2% are in the yellow area and 0.3% are in the red area. Similar
calculations could be done ifthe distribution was found to be non-normal
or highly capable.
The pre-control sampling uses a sample size of two. However, before the
sampling can start, the process must produce 5 consecutive paris in the
green zone. Each of the two data points are plotted on the chart and
reviewed against a set of rules.
* Sec Bhote (1991) and ASQ Statistics Newsletter Vol 05 No 2 Feb. 1984.
104Nom - % Tol
Nom - % Tolf
Nominall
Nom + % Toll
Nom + % Tol
CHAPTER IL
(Other Types of Cone! Charts
LSL Nom - % To LsL
: Nom - % Tol
:
i Nominal -
1
: Nom + % Tol '
ae usL Nom + % Tol USL
. ,
Figure Ill.3: Pre-Control
‘When using a pre-control the following rules should be used.
‘+ Two data points inthe green zone — continue to run the process
* One data point in the green zone and one data point in the yellow
zone — continue to run the process.
* Two yellow points in « row (same zone) adjust the process
‘+ Two yellow points in a row (opposite zone}
and investigate
stop the process
‘+ One red data point ~ stop the process and investigate.
Every time the process is adjusted, before the sampling can star the
Process must produce 5 consecutive parts in the green zone.
Pre-conirol is not a process control chart but a nonconformance controt
chart so great care must be taken as to how this chart is used and
interpreted. Pre-control charts should be not used when you have a C,,
Cu greater than one or a loss function that is not flat within the
specifications (see Chapter IV)
105CHAPTER IIL
Other Types of Controt Chans
Loss Functions
o™
LSL USL LSL USI
= L\4
Target Target
“Flat” Loss Function Sensitive Loss Function
The benefit of pre-control is its simplicity. The disadvantage of pre-
control is that potential diagnostics that are available with normal process
contro! methods are not available. Further, pre-control does not evaluate
nor monitor process stability. Pre-control is a compliance based tool not
process control tool.
106CHAPTER in
‘Other Types of Coneo| Chars
Short-Run Control Charts
Sai control Charts
Standard conirol chart approaches are well suited for long. production
nuns: However there are processes that only produce & small number of
Products during a single run (eg. job shops). Further, the increasing
focus on just-in-time (JIT) inventory and lean manufacturing methods
driving production runs to become shorter. From a business perspective
Producing lage batches of product several times per month and holding
itn inventory for later distribution, can lead to avoidable, unnecessars
ests. Manufacturers now are moving toward JIT ~ producing musk
{maller quantities on a move frequent bssis to avoid the costs of holding
ark in process” and inventory. For example, in the past, it may have
been satisfactory to make 10,000 pans per month in batches of 2500 per
week. Now, customer demand, flexible manufacturing methods and (11
‘eauirements might lead to making and shipping only $00 pats per day.
‘To realize the efficiencies of short-run processes itis essential that SPC
methods be able to verify that the process is truly in statistical contol,
(ie predictable), and be able to detect special-cause variation during
these “short runs.”
Wheeler (1991) describes four requirements for an “Ideal §
Drocess operation essential for competing in this arena.
"The process must be inherently stable over time.
‘The process must be operated in a stable and consistent manner,
‘The process aim must be set and maintained at the proper level
‘The Natural Process Limits must fall within the specification limits,"
Effective control charts can be constructed even with small amounts of
data. Short-run oriented charts allow a single chart to be used for the
control of multiple products. There are a number of variations on this
theme. Among the more widely described short-run charts are.
‘4% Difference or Deviation from Nominal (DNOM) J & chart.
Production processes for short runs of different products can be
characterized easily on a single chart by plotting the differences
between the product measurement and its target value, ‘These charts
an be applied both to individual measurements and to grouped data
Caution should be used when subgroups are formed fiom small populations or hen the subgroups
use measurements taken over extended periods of time (see Appendix A), Wheeler (1991) creonrces
evaluating the data with an Individuals and Moving Range (7 MR} chat to ensue that iiporann
Process behavior information isnot being masked by the subgrouping
107CHAPTER IIL
(Other Types of Control Chants
DNOM Chart for Part Types 760, 822 and 937
Tyo m2 pp oar
Figure 11.4: DNOM Control Chart
b. Standardized X & R chart.
The DNOM approach assumes a common, constant variance among the
products being tracked on a single chart. When there are substantial
differences in the variances of these products, using the deviation from
the process target becomes problematic. In such cases the data may be
standardized to compensate for the different product means and
variability using a transformation of the form:
X-K
o
‘This class of charts sometimes is referred to as Z or Zed charts.
In some short-run processes, the total production volume may be too
‘small to utlize subgrouping effectively. In these cases subgrouping
Measurements may work counter to the concept of controlling the
process and reduce the control chart to a report card function, But when
subgrouping is possible, the measurements can be standardized to
accommodate this case.
¢. Standardized Attributes Control Charts.
At ites data samples, including those of variable size, can be
standardized so that multiple part types can be plotted on a single chat.
The standardized statistic has the form:
7 «Difference from Mean
"Standard Deviation
For example, a u statistic for defect rate would be standardized as:
Ze
fain
This method also applies to np, p. and u charts.
108CHAPTER it
Other Types of Control Chas
See Famum (1992), Juran and Godfiey (1999), Montgomery (1997),
‘Wheeler (1991) and Wise and Fair (1998) for detailed discussions and
examples of short-run applications
Charts for Detecting Small
Changes
‘There are situations where small changes in the process mean can cause
problems, Shewhart control charts may not be sensitive enough to
efficiently detect these changes, eg., less than 15. The two
Shewhart chart uses only the information supplied by the most scent
ive Sum (CUSUM) and the Exponentially
Weighted Moving-Average (EWMA) charts exploit the information
Aypilable in accumulated, historical deta. See Montgomery (1997),
Yhecler (1995) and Grant and Leavenworth (1996) for” in-depth
Consider the average X,
"
(ot
The distribution of X,, approaches the normal distribution
as noo
The ‘rule of thumb” is that the range chart should be used with
subgroups of size fifteen or less. The standard deviation chart can be
used for all subgroup sizes,
Adjustment Factors
When a large subgroup size is not possible, the control limits of the
Shewhart control charts can be modified using adjustment factors to
compensate for the effect of the non-normality. Since non-normal
distributions are cither asymmetric, have heavier tails than the normal
distribution, or both, use of the standard + 3 sigma control limits can
inerease the risk of false alarms, especially if pattern analysis for special
causes is used.
In this approach the non-normal distributional form is characterized by
its skewness or kurtosis or both. Tabled or algorithmic correction factors
are then applied to the normal control limits.”
This approach requires an initial capability study with a sample size
sufficiently large to effectively capture the non-normal form.
** For example see: Burr, I. W., (1967), Chan, L.K., and Cui, Heng, J, and (2003) Pham, H., (2001).
14CHAPTER I
Other Types of Corteol Chats
For this and the following approaches, the process should be studied
Dericicaly to verfy thatthe distibuticnal form has not chenged. Any
Significant change in the distibution is an indicator thal the procese 1,
being affected by special causes.
Transformations
An altemative to the adjustment factors is to convert the data instead of
the control limits, In this approach, a transformation is determined which
Lransforms the non-normal process distribution into a (near) ermal
Aistribution. Examples of transformations" used in these situations me
the Johnson family of wansformations and the Box-Cox transformation
Zhe selected transformation is then used to wansform each datum point
and the standard Shewhart contro! chant methodologies are used os the
For this approach to be effective, the transformation must be valid. This
{yPically requires a eapabilty study witha sample size sufficiently large
{o effectively capture the non-normal form. Also, because ihe
sagarormations tend to be mathematically complex, this approach is only
effective and efficient when implemented using a computer program,
Non-Normal Form
[There are situations when the above approaches are not easily handled
Examples of these situations occur when the process distribution ig
highly non-normal and the sample size cannot be large.
tracking equipment reliability. In these situations a control chart can be
developed using the non-normal form ditectly to calculate the chon
control limits
eee
°* For example, see Joknson (1949) and Box and Cox (1964)
1sCHAPTER It
Other Types of Control Chars
a
In the example of tracking equipment reliability, a Time-to-Failure Chart
with a subgroup size of one can be used. The control limits are based on
the exponential distribution with parameter 6 equal fo the mean time
between failures (MTBF). In general, control limits for this approach are
selected to be the 0.135 and 99,865 percentile points of the underlying
distribution.
Like the other approaches above, for this approach to be effective, it
typically requires a capability study with a sample size sufficiently large
to capture the non-normal form, Advantages of this approach are that the
data can be plotted without complex calculations and it provides more
exact control limits than adjustment factors.
Multivariate
Multivariate charts are appropriate when it is desired to simultaneously
control two or more related characteristics that influence the performance
of a process or product. Their advantage is that the combined effect of
sae Rona arte A
all variables can be monitored using a single statistic. For
instance, the combined effects of pH and temperature of @
part washing fluid may be linked to part cleanliness measured
by particle count. A multivariate chart provides a means to
detect shifts in the mean and changes in the parameter
relationships.
‘A correlation matrix of variables ean be used to test whether
a multivariate control chart could be useful. For the
multivariate approzch to be viable the matrix entries should
indicate that the variables are sufficiently corrctated,
Three of the most popular multivariate control chart statistics
are Hotelling's T°, the Multivariate Exponentially-Weighted
Moving Average (MEWMA) and the Multivariate
‘Cumulative Sum (MCUSUM).
‘A multivariate chart reduces Type | error, i.e. false out-of
control signals are less likely to occur compared to using
univariate charts to make decisions separately for each
variable,
‘The simplicity of this approach is also its disadvantage. An
out-of-control condition can be detected using a single
116CHAPTER Ui
Other Types of Coawol Chars
Statistic but the analysis of the charted results may not tell which variable
caused it. Additional analysis using other statistical tools may be
required to isolate the special cause(s). See Kourti and MacGregor
(1996),
Muttivariate charts are mathematically complex, and computerized
implementation of these methods is essential for practical application. Tt
is important, however, that the use of appropriate techniques for
estimating dispersion statistics be verified. See Wheeler (1995),
Montgomery (1997) and current literature such as Mason and Young
(2001), for detailed discussions of multivariate control charts,
Other Charts
In Chapter t, Section E, a Case 3 process was defined 2s one not in
statistical control but acceptable to tolerance. Special causes of variation
{are present, the source of variation is known and predictable but may not
be eliminated for economic reasons. However. this predictability of the
special cause may require monitoring and contral. One method 10
determine deviations in the predictability of special cause variation is the
Regression chart.
Regression Control Charts
Regression charts are used to monitor the relationship between two
‘correlated variables in order to determine if and when deviation from the
known predictable relationship occurs, These charts originally were
applied to administrative processes but they have also been used to
analyze the correlation between many types of variables
Regression charts track the linear correlation between two variables, for
example:
© Product cost versus weight
‘© Throughput versus machine cycle time (line speed).
© Temperature versus pressure.
‘* Dimensional change relative to tooling cycles.
For example, if @ tool has constant wear relative to each cycle of the
process, a dimensional feature such as diameter (Y) could be predicted
based on the cycles (X) performed. Using data collected over time this
linear relationship can be modeled as
Y=b,+5X
When X equals zero cycles, the predicted Y is equal to by. So by is the
predicted dimension from 2 tool never used.
7‘CHAPTER IIL
‘Other Types of Control Charts
Residual Charts
Autoregressive Charts
by and by are estimated using the equations for simple linear regression.
‘The chart is constructed by drawing the line Y = f+ BX which is the
estimate for ¥ = by + b, X and computing the 95% or 99% predictive
‘interval. The predictive limits computed are curved lines with the
tightest point at Y. Often they are replaced with the Y +3s in order to
tighten the control limits at each extreme for ¥°
Points that exceed the control limits indicate tooling which has a tool life
which is significantly different from the base tool life. This can be
advantageous or detrimental depending on the specific situation,
A line is only one type of correlation between variables. Regression
charts can be applied to any relationship for which the mathematical
model can be determined.
Care should be taken in making predictions (extrapolating) outside of the
range of the original observations. The accuracy of the regression model
for use outside of this range should be viewed as highly suspect. Both
the prediction interval for future values and the confidence interval for the
regression equation become increasingly wide. Additional data may be
needed for model validation.
Discussion on confidence intervals can be found in Hines and
Montgomery (1980).
‘An alternative approach to the Regression Chart is to chart the residual
values, From the regression equation, the residual value (¢) is ¥ — 7.
A chart of the residual values could be treated in the same manner as an
Individuals chart with X equal to zero.
‘The Residuals Chart and the Regression Chart are technically equivalent
and differ only in their presentation.
This approach would be more useful and intuitive when the variable
relationships are more complex.
Control chart methods generally assume that the data output from a
process are independent and identically distributed. For many processes
this assumption is not correct. Data from a time series, data taken
1g(CHAPTER IIL
(Other Types of Control Chars
sequentially in time, are offen serially dependent. These types of
processes have output that are autocorrelated and analysis with standard
‘charting methods may result in erroneous conclusions.
‘One common approach to contend with serial dependency is to take
samples far enough apart in time that the dependency is not apparent.
This often works in practice but its effectiveness relies on postponing
sample collection and may extend the sampling interval longer than is
appropriate. Also, this approach ignores information which may be
useful or even necessary for accurate prediction in order to utilize
techniques which were not designed for that type of data,
Autoregressive Moving Average (ARMA) is a method of analysis for
data from a time series and it results in the prediction of future
observations based on their dependency on past observations. Processes
which drif, walk or cycle through time are good candidates for time
series analysis and an ARMA method may be appropriate
The autoregressive (AR) model is defined by
X, S64 GX. st bX gt 6 (AR)
‘The current value observed is equal to a constant, a weighted
combination of prior observations and a random component,
‘The moving average (MA) model is defined by
X, =u -O8, 4 p6).9..+ 6 (MAY
The current value observed is equal to a constant, plus a weighted
combination of prior random adjustments and a random component.
‘The ARMA model is @ combination of the AR and MA models.
KX, E4OX 864+ BX ng 896,200. &, (ARMA)
‘Box and Jenkins defined the terminology ARMA(p.d.q) to define subsets
of the full ARMA model, where p is the number of autoregressive
parameters, d the number of times the data is differenced (defined
below), and q is the number of moving average parameters
So, ARMA(1,0,0) is the first order AR model without differencing
Xb +X 5 6
ARMA(0.0.1) is the first order MA model without differencing
X, =u-86,4+ 6,
And ARMA(|, 1,1) is the first order ARMA model differenced once
Y B+ AY s- O64 6
For the frst order AR and ARMA models the parameter g must be in
the interval -1<¢<1 for the model to be stationary, does not
diverge to infinity. (There are similar restrictions for the "sin the
higher order models.) For processes that are not stationary, the data will
119(CHAPTER TIL
ther Types of Control Chars
need to be differenced. Differencing removes the serial dependence
between an observation and another lagged observation.
Y=X,-X4
The differenced observation is equal to the current observation minus the
observation made k samples prior. The data should only be differenced
if the model is not stationary, Most data from manufacturing processes
will not need differencing. The processes do not diverge to infinity
The next step is to determine the number of autoregressive and moving
average parameters to include in the model. Typically the number of
9's or 8's needed will not be more than two. ARMA(1,d0).
ARMA(2d0), ARMA(.d1), _ ARMA(2.4,1),- ARMA({,4,2),
ARMA(2d.2), ARMA(Od,), ARMA(0.d.2) "are the common
‘combinations and it is feasible to estimate them all before selecting the
best.
To estimate the parameters use Non-Linear Estimation.
Once the model is determined and stationary, and the parameters are
estimated then the next observation can be predicted from past
‘observations. For example (ARMA(1,0,1)):
E=E+6K 1 OO
‘The residual is calculated by
xX-
and the values for & will be independent normally distributed random
variables and may be analyzed using an Individuals Chart or Residuals
Chart. For a more complete discussion see Box, Jenkins and Reinsel
(1994),
120Zone Charts
Value
Value
as
00
as
(CHAPTER MI
‘Other Types of Control Charts
‘Chapter I, Section B, Table II.1 provides various rules for detecting out-
‘of-control signals. The first four rules can be easily implemented with
‘manual control charts, but the latter rules do not lend themselves to rapid
visual identification since they require the determination of the number
Of standard deviations a plotted point is from the centerline. This can be
aided by dividing the control chart into “zones” at 1, 2, and 3 standard
deviations from the centerline.
= UCL
Centerline
ieee eee aea seat
eee aie
Sample
‘These zones are sometimes referred to as “sigma” zones (sigma here is
the standard deviation of the distribution of the sample averages, not the
individual values). The zones assist in the visual determination of
whether a special cause exists using one or more of the tabled criteria,
See Montgomery (1997) and Wheeler (1995).
een eee
This division of the control chart can be coupled with rum sums anahvsis
‘of control chart to produce the Zone Control Chart. The run sums control
chart analysis was introduced by Roberts (1966) and studied further by
Reynolds (1971). This approach assigns a score to each zone. The score
4, , assigned to the region &., is nonnegative; and the score, fj, assigned
to the region R,, is nonpositive. A typical set of scores are:
121CHAPTER Il
Other Types of Control Chans
Zone Score
Dor-1
1 Leoeaere,
ly tO 5 My
[uy #2e 9, my +304)
[ay top.
The four regions placed symmetrically below the centerline are assigned
the corresponding negative scores.
A zone control chart is a hybrid between an X (or Individuals) chart
and a CUSUM chart, It analyzes a cumulative score. based on the zones.
‘The cumulative score isthe absolute value of the sum of the scores of the
Zones in which the points are plotted. Every time the centerline is erossed
the cumulative score is reset to zero.
Zone Chart
S).cL
Cum Score 0020004 8wun2074 668 wmn224684 60 T
7
7 > 8 & w 6
A point is out of control if its cumulative score is greater than or equal to
8. Thus, the analyst does not need to recognize the patterns associated
with non-random behavior as on a Shewhart chart. With the scoring of 0,
2. 4, 8 this method is equivalent to the standard criteria 1. 5, and 6 for
special causes in an (or Individuals) chart and is more stringent than
criterion 8, With the scoring of I, 2, 4, 8 this method is equivalent to the
standard criteria 1, 2, 5, and 6 for special causes in an X' (or Individuals)
chart and is more stringent than criteria 7 and 8. As shown in the figure
above, trends (criterion 3) can also be detected depending on the start
and stop of the trend.
Zone control charts can be modified to eliminate the point-plotting
process; the points are plotted in the zone not to a scale, Thus, one
standard zone control chart can fit most needs; when to act on a process
is determined by the charting procedure,
122CHAPTER MI
‘ther Types of Control Chars
Scores Zone Chart
43 SDev = UCL
+42.SDev
41 SDev
X = Centertine
-1SDev
“2 SDev
“3 SDev = LCL
3 6 9 12 15 18 a 4 27 30
Sample
‘The zone chart can be used with weighting scheme to provide the
sensitivity needed for a specific process. For example, one set of weights
(Scores) can be used during the initial phase for detecting special causes.
‘Then the weights could be changed when the process is in control and it
is more important to detect drift.
The effcieney ofthe zone control chat is demonstrated by comparing its
average run lengths with those of standard control tests. For the chart
divided into scores of 0, 2, 4, and 8, the 2one control chart performs as
well as or beter than Shewhart charts (see Davis eta. (1990).
123CHAPTER IV
Understanding Process Capability
and Process Performance for Variables Data
12sIntroduction
cuarrer iy
Understanding Process Capability and Process Performance for Vatables Date
The output of a stable process can be described by its statistical
distribution. The process must be stable (in statistical control) in order
for the distribution to be useful for predicting future results.” A
distribution is described in terms of characteristics (statistics) that are
calculated from measurements of samples taken from the process.
The statistics of most frequent interest are estimates of distribution
location (or center) and spread relative to the customer requirements
Typically, the location is estimated by the sample mean or sample
median, Spread usualy is estimated using the sample range or sample
standard deviation,
Process centering and spread interact with respect (o producing an
acceptable product. As the distribution moves off center, the “elbow
oom” available to accommodate process variation (spread) is reduced.
A shift in process location. an increase in process spread or a
combination of these factors may produce parts outside the specification
limits. A process with such a distribution would not be qualified to meet
the customer's needs,
This section addresses some of the techniques for evaluating process
capability and performance with respect to product specifications. In
Bseneral, it is necessary that the process being evaluated be stable (in
Statistical contro). A discussion of process variation and the associated
capability indices has little value for unstable processes. However,
reasonable approaches have been developed to assess the capability of
processes exhibiting systematic special causes of process variation, such
as tool wear (see Spring, F. A. (1991)
{mn addition, it is generally assumed thatthe individual readings from the
subject processes have a distribution that is approximately normal"
‘This section will discuss only the more popular indices and ratios:
* Indices of process variation-onty, relative to specificatir
Py
* Indices of process variation and centering combined, relative to
specifications: Cu, and Py.
+ Ratios of process variation-only, relative to specifications: CR and
PR,
Gy and
NOTE: Atthough other indices are not discussed in this manual, see
‘Appendix D and References for information on other indices.
inally, this section describes the conditions and assumptions associated
‘with these process measures and concludes with a suggestion as to how
these measures might be applied toward enhancing process
‘understanding within the framework of continual process improvernent.
2 See Chapter I, Sections C-
°* For non-normal distributions and autocorrelated processes see Chapter IV, Section B.
"7‘CHAPTER IV
Understanding Process Capability and Process Performance for Variables Data
This manual recognizes both the misunderstanding and controversy
surrounding the fundamental concepts and definitions regarding process
“Control”, “Capability”, and “Performance”. It is not the purpose of this
‘manual to fully resolve these issues, but to expose and discuss them to an
extent that allows cach reader the opportunity to develop a better
understanding of them in order to provide value and knowledge for
continual process improvement.
128(CHAPTERIV- Section A
Definition of Process Terms
235)
.
¢
23.0
7 S
g
4 225 s
s =
Within Subgroup Variation g
. | ye
2.0 e
| i eae
.
Subgroup Average .
215 °
15 16 7 18 19
subgroup
235
Bo
Bus
$
22.0
* a
Between Subgroup Variation
215
15 16 v7 18 19
subgroup
Figure !V.1: Within- and Between-Subgroup Variation
130
Total VariationCHAPTER IV- Section A
Definition of Process Tens
CHAPTER IV - Section A
Definitions of Process Terms
Process variation has various aspects
‘+ Inherent Process Variation ~ That portion of process variation due to
‘common (systematic) causes only
‘© Within-subgroup Variation (a7) ~ This is the variation due only to
the variation within the subgroups. If the process is in statistical
contro! this variation is a good estimate of the inherent process
variation. It can be estimated from control charts by x, or We
© Benween-subgroup Variation ~ This is the variation due to the
variation between subgroups. If the process is in statistical control
this variation should be zero.
+ Total Process Variation (a) ~ This is the variation due to both
Wwithin-subgroup and between-subgroup variation. If the process is
not in statistical control the total process variation will include the
effect of the special cause(s) as well as the common causes, This
variation may be estimated by s, the sample standard deviation, using
all ofthe individual readings obtained from either a detailed control
chart or a process study: op where x, is an
individual reading, is the average of the individual readings, and
1s the total numberof individual readings,
‘© Process Capability — The 64 range of inherent process variation,
for statistically stable processes only, where G is usually estimated
Haw fo
© Process Performance — The 6G range of total process variation,
where @ is usually estimated bys, the total process standard
deviation,
If the process is in statistical control the process capabilly wil be very
close to the process performance. A large difference between the
capability and performance ¢ indicates the presence of a special
cause(s).
131(CHAPTER IV - Section A
Definition of Process Terms
Process Measures for Predictable Processes
Indices -
Bilateral Tolerances
This section discusses commonly used indices where the specification
has both an upper and lower limit.”
CAUTION: The indices discussed below are valid only when the process
is stable (in statistical contro). If the process is not in statistical control
then these indices can be very misleading, as can be seen by Figure
Wa.
Gy: This is a capability index. It compares the process capability to the
‘maximum allowable variation as indicated by the tolerance. This index
provides a measure of how well the process will satisfy the variability
USL-LSL _ USL-LSL
sf)
is not impacted by the process location. This index can be calculated
only for two-sided (bilateral) tolerances,
requirements. C, is calculated by C,
Gu: This is a capability index. It takes the process location as well as the
capability into account, For bilateral tolerances Cx will always be less
than or equal to C.
Cy SC,
Coa will be equal to C, only if the process is centered,
Cpu is calculated as the as the minimum of CPU or CPL where:
Gu and G, should always be evaluated and analyzed together. A C, value
significantly greater than the corresponding Cy indicates an opportunity
for improvement by centering the process.
As discussed in Chapter I, Section A, process analysis requires that the data have been collected
using measurement system(s) that are consistent with the process and have acceptable measurement
system characteristics.
132‘CHAPTER IV - Section 8
Definition of Process Terms
2 This sa prfoamance index. I compats the process performance to
Py Se macinat owi tatron ed Bins Gacanas
index provides a measure of how well the process will satisfy the
‘arablity requirements. Pi clelted by
USL-LSL_USL~LSL
607, 65
PB.
P, isnot impacted by the process location.
P. Pu: This is a performance index. It takes the process location as well as,
"pk ee
less than or equal to P,. Px will be equal to P. only if the process is
sented
P,SP,
Pp is calculated as the as the minimum of PPU or PPL where:
PPU USL-X & x of
PPL X-LSL fa X-LSL
3a, 35
as
- .
* + x
23.0 = a
La '
:
gs ¢ S
5 . Capability 3 |E
2 =
5
é
2.0
25
5 16 v7 38 19
subgroup
Figure IV.2: Cpr and Pye Comparison
133CHAPTER IV - Section A.
Definition of Process Terms
CR
PR
PPM
Py and P, should always be evaluated and analyzed together. A P, value
significantly greater than the corresponding P,. indicates an opportunity
for improvement by centering the process.
Ifthe process is in statistical control the process capability will be very
close to the process performance. A large difference between the Cand P
indices indicate the presence of a special cause(s). See Figure [V.3 and
IV.4,
CCR: This isthe capability ratio and is simply the reciprocal of Cy,
4
cR=—.
CG,
PR: This is the performance ratio and is simply the reciprocal of Ps;
1
PR= =
Pp
NOTE: Example calculations for all of these measures are shown in
‘Appendix F.
‘A parts-per-million (ppm) nonconformance rate is sometimes used as a
supplemental measure of process capability. To estimate the
nonconformance rate using capability index information, a probability
distribution of the data must be defined. While the normal distribution
often is used for this purpose, this is an assumption that should be
validated using a goodness-of-fit test before proceeding further. ‘The
nonlinear relationship between the capability index and the proportion
nonconforming should be understood in order to make correct inferences
(Gee Wheeler (1999) for a detailed discussion of this subject).
134CHAPTER IV - Section A
Definition of Process Terns
Xbar - R Chart: immature Process
21m
Rows
R00
eo
Note that the Range charts are identical since the
within subgroup variation is the same for both processes
Figure IV.3: Comparison between a Predictable and Immature Process
138(CHAPTER IV - Section A
Definition of Process Terms
Immature Process -- out of statistical controt
Ppk = 0.31
Cok = 1.80
T2345 67 6 9 GOI 17 13 1905 16 17 1929 20 21 22 23.20.05,
‘subgroup
Process below has same within subgroup variation
as above but no between subgroup variation
235
xi
T2345 6 7 © o 1001 1215 145 36 17 18 99 20 21 22 23.24 25
‘subgroup
Process is in statistical control
Figure IV.4: Cpk and Ppk Values Produced by a Predictable and Immature
Process
136Indices ~
Unilateral Tolerances
G
CHAPTER IV- Section A
Definition of Process Terms
‘This section discusses commonly used indices where the specification
has either an upper or lower limit but not both.
Gx This is a capability index. It compares the process capability to the
‘maximum allowable variation as indicated by the tolerance. This index
thas no meaning for unilateral tolerances.
If the product characteristic has a physical limit (e.g.. fatness cannot be
less than zero), a C, could be calculated using the physical limit (0.0) as
4 surrogate lower limit. But this number will not have the same
relationship t0 Cy as it does in the bilateral case.
Cus This isa capability index. It takes the process location as well a the
capability into account. With unilateral tolerances with a physical limit,
Gecan be less than, equal to or greater than
Cpu is diroctly related to the proportion nonconforming produced by the
process. Itis equal to CPU or CPL depending whether the tolerance isan
USL or a LSL wire:
usL-%
3 R,)
CPU =
Px This is a performance index. I compares the process performance to
the maximum allowable variation as indicated by the tolerance. This
index has no meaning for unilateral tolerances.
Ifthe product characteristic has a physical limit (eg. flatness cannot be
Jess than zero), a P, could be ealeulated using the physical limit (0.0) as 8
surrogate lower fimit. But this number will not have the same
felationship to Pas it does inthe bilateral case.
137(CHAPTER IV- Section A
Definition of Process Terms
Prox
CR
PR
Py is directly related to the proportion nonconforming produced by the
process. It is equal to PPU or PPL depending whether the tolerance is an
USL or a LSL. where
ppy ULE
35
ppp = 4=tSL
3s
An altemate notation for Pj. in the case of unilateral tolerances is Pa, Ot
Pyu depending on whether the limit is an USL or ESL.
CR: This is the capability ratio and is simply the reciprocal of Cy. AS
such, this index has no meaning for unilateral tolerances.
PR: This is the performance ratio and is simply the reciprocal of P.. As
such, this index has no meaning for unilateral tolerances.
NOTE: Example calculations for all of these measures are shown in
‘Appendix F.
138CHAPTER IV - Section B
Description of Conditions
CHAPTER IV - Section B
Description of Conditions
tis appropriate to point out that process variation and process centering
are two separate process characteristics. Each needs to be understood
separately from the other. To assist in this analysis it has become
convenient to combine the two characteristics into indices, such a8 Cy
Gu of Pp, Pa. These indices can be useful for:
‘* Measuring continual improvement using trends over time.
‘© Prioritizing the order in which processes will be improved.
‘The capability index, Cx, is additionally useful for determining whether
‘or not a process is capable of meeting customer requirements, This was
the original intent of the capability index. The performance index. Py.
shows whether the process performance is actually meeting the customer
requirements. For these indices (as well as all of the other process
measures described in Chapter IV, Section A) to be effectively used, the
CONDITIONS which surround them must be understood. If these
conditions are not met, the measures will have little or no meaning and
can be misleading in understanding the processes from which they were
generated, The following three conditions are the minimum that must be
satisfied forall ofthe capability measures described in Section A:
'* The process from which the data come is statistically stable, that is,
the normally accepted SPC rules must not be violated,
‘© The individual measurements from the process data form an
approximately normal distribution.”
‘¢ The specifications are based on customer requirements,
‘Commonly, the computed index (or ratio) value is accepted as the “true”
index (or ratio) value; ie, the influence of sampling variation on the
computed number is discounted. For example, computed indices Ca of
1,30 and 1.39 can be from the same stable process simply due to
sampling variation.
See Bissell, B.A.F. (1990), Boyles, R. A. (1991) and Dovich, R. A.
(1991) for more on this subject.
For non-normal distributions, see the pages that follow
139(CHAPTER IV - Section B
Description of Conditions
Handling Non-Normal and Multivariate Distributions”
Although the normal distribution is useful in deseribing and analyzing
wide variety of processes, it cannot be used for all processes. Some
processes are inherently non-normal, and their deviations from normality
are such that using the normal distribution as an approximation can lead
to erroneous decisions. Other processes have multiple characteristics that
are interrelated and should be modeled as a multivariate distribution.
‘Of the indices described above, C,, Pp, CR, and PR are robust with
respect to non-normality. This is not true for Cy. and Pps.
Relationship of Indices and
Proportion Nonconforming
Although many individuals use the Cj, and P,« indices as scalar-less
(unit-less) metrics, there is a direct relationship between each index and
the related process parameter of proportion nonconforming (or ppm).
‘Assuming that C, > 1, the capability index relationship is given by:
proportionnonconforming =1—- f i) de
where z,=3C, and
Cy = min {CPU, CPL}
Similarly, P,y is related to the performance proportion nonconformance
through:
for non-normal
With this understanding of Gy, and Py i
jonships between the
distributions can be developed with the same rel
index and the process proportion nonconforming.
‘The determination of these indices for non-normal distributions requires
‘extensive tables or the use of iterative approximation techniques. They
are rarely calculated without the assistance of a computer program.
Non-Normal Distributions
Using Transformations
One approach is to transform the non-normal form to one that is (near)
normal. The specifications are also transformed using the same
*' As discussed in Chapter II, Section A, process analysis requires that the data have been collected
system(s) that are consistent with the process and have acceptable measurement
system characteristics.CHAPTER IV- Section B
Description of Conditions
parameters. The Cy. and Pyy indices are then determined in the
{tansformed space using standard calculations based on the normal
distribution,
‘Two general transformation approaches which have gained support are:
© Box-Cox Transformations
The methods of analysis of designed experiments are “appropriate
and efficient when the models ae (a) structurally adequate, and the
(supposedly independent) errors (6) have constant variance and (c)
are normally distributed.” Box and Cox (1964) discussed a
transformation which reasonably satisfies all three of these
requirements. This transformation is given by:
where 5455
and 2 = 0 forthe natural fog transformation
4A = 038 for the square root transformation
Although this transformation was developed with the focus of the
analysis of designed experiments, it has found an application in the
transformation of process data to normality.
‘© Johnson Transformations
In 1949, Norman L. Johnson developed a system of transformations
which yields approximate normality." This system is given by:
os Bounded
SL w= log(x) Log Normal
Su w= sink” (x) = log(x 1+ iy +1) Vi
AAs in the case of the Pearson Family of distributions (see below), this
system of curves encompasses all the possible unimodal distributional
forms; ic. it covers the entire feasible skewness-kurtosis plane, It also
contains as a boundary form the familiar lognormal distribution.
However, in the general case, the Johnson curves are four parameter
functions.
Box, G. E, P., Hunter, W. G., and Hunter, J. S., Statistics for Experimenters, John Wiley and Sons,
‘New York, 1978, pg.239,
See Johnson (1949).
141Description of Conditions
Non-Normal Distributions
Using Non-Normal Forms
‘Non-normal forms model the process distribution and then determine the
proportion nonconforming, i... the area of the non-normal distribution
‘outside the specifications.
‘A common approach to the modeling of the non-normal distribution is to
use the Pearson Family of Curves. The most appropriate member of this
family is determined by the method of matching moments: i., the curve
with skewness (SK) and kurtosis (KU) that match that of the sampled
ribution is used as a model for the underlying form. As in the case of
the Johnson Transformation System (see above), this family of curves
encompasses all the possible unimodal distributional forms; ie, it covers
the entire feasible SK-KU plane.
To calculate the non-normal equivalent to the P.. index, the non-normal
form (f(x) is used to determine the proportion nonconforming, i.e.,
the area of the non-normal distribution outside the upper and lower
specifications:
1"
7
2
&
&
Z
Po
S(de.
Pu= Je
These values are converted to a z value using the inverse standard normal
distribution. That is, the zz and zy values in the following equations are
determined such that
Then Py =
Although the standard calculation of P, is a robust estimate, a more exact
estimate can be found using the convention that the process spread is defined as
the range that includes 99.73% of the distribution (representing the equivalence
ofa +3o normal distribution spread). The limits of this range are called the
“0.135% quantile” ( Qy a;35) and the “9.865% quantile” (Q, gyyae)- That is,
0.135% of the values ofthe population are to be found both below Qssoyys and
above Qs snes:
* For the normal form: Qo seus = —Qpiniss = Zo vatasS
142