The two-dimensional reliabity test function from Grandhi and Wang (1999)1 is defined as follows (see Example 5):
$$
\mathcal{M}(\boldsymbol{x}) = 2.5 + 0.00463 (x_1 + x_2 - 20)^4 - 0.2357 (x_1 - x_2),
$$
where $\boldsymbol{x} = \{ x_1, x_2 \}$ is the vector of input variables modeled as two independent normal random variables with mean $10$ and standard deviation $3$.
The function features a highly-nonlinear limit state function.