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  2. Negative relationship - Wikipedia

    en.wikipedia.org/wiki/Negative_relationship

    Negative correlation can be seen geometrically when two normalized random vectors are viewed as points on a sphere, and the correlation between them is the cosine of the circular arc of separation of the points on a great circle of the sphere. [1] When this arc is more than a quarter-circle (θ > π/2), then the cosine is negative.

  3. Correlation - Wikipedia

    en.wikipedia.org/wiki/Correlation

    The correlation coefficient is +1 in the case of a perfect direct (increasing) linear relationship (correlation), −1 in the case of a perfect inverse (decreasing) linear relationship (anti-correlation), [5] and some value in the open interval (,) in all other cases, indicating the degree of linear dependence between the variables. As it ...

  4. Spurious correlation of ratios - Wikipedia

    en.wikipedia.org/wiki/Spurious_correlation_of_ratios

    Form the proper fractions x/z and y/z for each triplet, and correlation will be found between these indices. The scatter plot above illustrates this example using 500 observations of x, y, and z. Variables x, y and z are drawn from normal distributions with means 10, 10, and 30, respectively, and standard deviations 1, 1, and 3 respectively, i.e.,

  5. Cross-correlation - Wikipedia

    en.wikipedia.org/wiki/Cross-correlation

    The left graph shows a green function G that is phase-shifted relative to function F by a time displacement of 饾湉. The middle graph shows the function F and the phase-shifted G represented together as a Lissajous curve. Integrating F multiplied by the phase-shifted G produces the right graph, the cross-correlation across all values of 饾湉.

  6. Correlation coefficient - Wikipedia

    en.wikipedia.org/wiki/Correlation_coefficient

    A correlation coefficient is a numerical measure of some type of linear correlation, meaning a statistical relationship between two variables. [ a ] The variables may be two columns of a given data set of observations, often called a sample , or two components of a multivariate random variable with a known distribution .

  7. Pearson correlation coefficient - Wikipedia

    en.wikipedia.org/wiki/Pearson_correlation...

    Pearson's correlation coefficient is the covariance of the two variables divided by the product of their standard deviations. The form of the definition involves a "product moment", that is, the mean (the first moment about the origin) of the product of the mean-adjusted random variables; hence the modifier product-moment in the name.

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