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  2. 68–95–99.7 rule - Wikipedia

    en.wikipedia.org/wiki/68–95–99.7_rule

    A weaker three-sigma rule can be derived from Chebyshev's inequality, stating that even for non-normally distributed variables, at least 88.8% of cases should fall within properly calculated three-sigma intervals. For unimodal distributions, the probability of being within the interval is at least 95% by the Vysochanskij–Petunin inequality ...

  3. Chebyshev's inequality - Wikipedia

    en.wikipedia.org/wiki/Chebyshev's_inequality

    The dependence of the confidence intervals on sample size is further illustrated below. For N = 10, the 95% confidence interval is approximately ±13.5789 standard deviations. For N = 100 the 95% confidence interval is approximately ±4.9595 standard deviations; the 99% confidence interval is approximately ±140.0 standard deviations.

  4. Percentile rank - Wikipedia

    en.wikipedia.org/wiki/Percentile_rank

    The figure illustrates the percentile rank computation and shows how the 0.5 × F term in the formula ensures that the percentile rank reflects a percentage of scores less than the specified score. For example, for the 10 scores shown in the figure, 60% of them are below a score of 4 (five less than 4 and half of the two equal to 4) and 95% are ...

  5. Confidence interval - Wikipedia

    en.wikipedia.org/wiki/Confidence_interval

    Each row of points is a sample from the same normal distribution. The colored lines are 50% confidence intervals for the mean, μ. At the center of each interval is the sample mean, marked with a diamond. The blue intervals contain the population mean, and the red ones do not.

  6. Standard deviation - Wikipedia

    en.wikipedia.org/wiki/Standard_deviation

    The formula for the population standard deviation (of a finite population) can be applied to the sample, using the size of the sample as the size of the population (though the actual population size from which the sample is drawn may be much larger).

  7. Prediction interval - Wikipedia

    en.wikipedia.org/wiki/Prediction_interval

    The prediction interval is conventionally written as: [, +]. For example, to calculate the 95% prediction interval for a normal distribution with a mean (μ) of 5 and a standard deviation (σ) of 1, then z is approximately 2. Therefore, the lower limit of the prediction interval is approximately 5 ‒ (2⋅1) = 3, and the upper limit is ...

  8. Gini coefficient - Wikipedia

    en.wikipedia.org/wiki/Gini_coefficient

    The Gini coefficient calculated from a sample is a statistic, and its standard error, or confidence intervals for the population Gini coefficient, should be reported. These can be calculated using bootstrap techniques, mathematically complicated and computationally demanding even in an era of fast computers. [ 39 ]

  9. Expected value - Wikipedia

    en.wikipedia.org/wiki/Expected_value

    For example, for any random variable with finite expectation, the Chebyshev inequality implies that there is at least a 75% probability of an outcome being within two standard deviations of the expected value. However, in special cases the Markov and Chebyshev inequalities often give much weaker information than is otherwise available.