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  2. Probable error - Wikipedia

    en.wikipedia.org/wiki/Probable_error

    Main page; Contents; Current events; Random article; About Wikipedia; Contact us; Help; Learn to edit; Community portal; Recent changes; Upload file

  3. Errors and residuals - Wikipedia

    en.wikipedia.org/wiki/Errors_and_residuals

    For example, if the mean height in a population of 21-year-old men is 1.75 meters, and one randomly chosen man is 1.80 meters tall, then the "error" is 0.05 meters; if the randomly chosen man is 1.70 meters tall, then the "error" is −0.05 meters.

  4. Circular error probable - Wikipedia

    en.wikipedia.org/wiki/Circular_error_probable

    There are associated concepts, such as the DRMS (distance root mean square), which is the square root of the average squared distance error, a form of the standard deviation. Another is the R95, which is the radius of the circle where 95% of the values would fall, a 95% confidence interval.

  5. Standard error - Wikipedia

    en.wikipedia.org/wiki/Standard_error

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  6. Normal distribution - Wikipedia

    en.wikipedia.org/wiki/Normal_distribution

    The general form of its probability density function is [2] [3] = (). The parameter μ {\textstyle \mu } is the mean or expectation of the distribution (and also its median and mode ), while the parameter σ 2 {\textstyle \sigma ^{2}} is the variance .

  7. Probability of error - Wikipedia

    en.wikipedia.org/wiki/Probability_of_error

    For a Type I error, it is shown as α (alpha) and is known as the size of the test and is 1 minus the specificity of the test. This quantity is sometimes referred to as the confidence of the test, or the level of significance (LOS) of the test. For a Type II error, it is shown as β (beta) and is 1 minus the power or 1 minus the sensitivity of ...

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  9. Propagation of uncertainty - Wikipedia

    en.wikipedia.org/wiki/Propagation_of_uncertainty

    Any non-linear differentiable function, (,), of two variables, and , can be expanded as + +. If we take the variance on both sides and use the formula [11] for the variance of a linear combination of variables ⁡ (+) = ⁡ + ⁡ + ⁡ (,), then we obtain | | + | | +, where is the standard deviation of the function , is the standard deviation of , is the standard deviation of and = is the ...