DOE OSTI · 1679984
Nuclear Data Covariances and Sampling
Abstract
In this report, we present an overview of the task of producing sample nuclear data sets for the purpose of exploring the effects of nuclear data uncertainties on physics simulations. These sample data sets (or, as we sometimes call them variations) are produced based on uncertainties specified in the ENDF/B-VIII nuclear data library, although the principles discussed here apply to sampling based on similar libraries, such as JENDL. The uncertainties in ENDF and similar libraries are given in the form of mean values (a mean vector) and a covariance matrix. The components of the mean vector are what are normally thought of as the values of the nuclear data (cross sections, $\bar{v}$, the prompt fission neutron spectrum, etc.) and the covariance matrix contains the information about the uncertainties in these values and correlations between them, including correlations across different energies in a single channel and correlations across different channels.
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Sigeti, David Edward, Vander Wiel, Scott Alan, Parsons, Donald Kent, White, Morgan Curtis. 2020-10-05. Nuclear Data Covariances and Sampling. https://doi.org/10.2172/1679984
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