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  2. Variance - Wikipedia

    en.wikipedia.org/wiki/Variance

    If the set is a sample from the whole population, then the unbiased sample variance can be calculated as 1017.538 that is the sum of the squared deviations about the mean of the sample, divided by 11 instead of 12. A function VAR.S in Microsoft Excel gives the unbiased sample variance while VAR.P is for population variance.

  3. Student's t-distribution - Wikipedia

    en.wikipedia.org/wiki/Student's_t-distribution

    The probability density function is symmetric, and its overall shape resembles the bell shape of a normally distributed variable with mean 0 and variance 1, except that it is a bit lower and wider. As the number of degrees of freedom grows, the t distribution approaches the normal distribution with mean 0 and variance 1.

  4. Algorithms for calculating variance - Wikipedia

    en.wikipedia.org/wiki/Algorithms_for_calculating...

    Algorithms for calculating variance play a major role in computational statistics.A key difficulty in the design of good algorithms for this problem is that formulas for the variance may involve sums of squares, which can lead to numerical instability as well as to arithmetic overflow when dealing with large values.

  5. Sample size determination - Wikipedia

    en.wikipedia.org/wiki/Sample_size_determination

    The table shown on the right can be used in a two-sample t-test to estimate the sample sizes of an experimental group and a control group that are of equal size, that is, the total number of individuals in the trial is twice that of the number given, and the desired significance level is 0.05. [4] The parameters used are:

  6. Student's t-test - Wikipedia

    en.wikipedia.org/wiki/Student's_t-test

    The sample standard deviations for the two samples are approximately 0.05 and 0.11, respectively. For such small samples, a test of equality between the two population variances would not be very powerful. Since the sample sizes are equal, the two forms of the two-sample t-test will perform similarly in this example.

  7. Normal distribution - Wikipedia

    en.wikipedia.org/wiki/Normal_distribution

    Of all probability distributions over the reals with a specified finite mean ⁠ ⁠ and finite variance , the normal distribution (,) is the one with maximum entropy. [29] To see this, let ⁠ X {\displaystyle X} ⁠ be a continuous random variable with probability density ⁠ f ( x ) {\displaystyle f(x)} ⁠ .

  8. Sampling distribution - Wikipedia

    en.wikipedia.org/wiki/Sampling_distribution

    In statistics, a sampling distribution or finite-sample distribution is the probability distribution of a given random-sample-based statistic.For an arbitrarily large number of samples where each sample, involving multiple observations (data points), is separately used to compute one value of a statistic (for example, the sample mean or sample variance) per sample, the sampling distribution is ...

  9. 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).