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  2. Aggregate function - Wikipedia

    en.wikipedia.org/wiki/Aggregate_function

    In order to calculate the average and standard deviation from aggregate data, it is necessary to have available for each group: the total of values (Σx i = SUM(x)), the number of values (N=COUNT(x)) and the total of squares of the values (Σx i 2 =SUM(x 2)) of each groups.

  3. Count data - Wikipedia

    en.wikipedia.org/wiki/Count_data

    The statistical treatment of count data is distinct from that of binary data, in which the observations can take only two values, usually represented by 0 and 1, and from ordinal data, which may also consist of integers but where the individual values fall on an arbitrary scale and only the relative ranking is important. [example needed]

  4. Pivot table - Wikipedia

    en.wikipedia.org/wiki/Pivot_table

    A pivot table is a table of values which are aggregations of groups of individual values from a more extensive table (such as from a database, spreadsheet, or business intelligence program) within one or more discrete categories. The aggregations or summaries of the groups of the individual terms might include sums, averages, counts, or other ...

  5. Summary statistics - Wikipedia

    en.wikipedia.org/wiki/Summary_statistics

    Common measures of the shape of a distribution are skewness or kurtosis, while alternatives can be based on L-moments. A different measure is the distance skewness , for which a value of zero implies central symmetry.

  6. Duodecimal - Wikipedia

    en.wikipedia.org/wiki/Duodecimal

    The duodecimal system, also known as base twelve or dozenal, is a positional numeral system using twelve as its base.In duodecimal, the number twelve is denoted "10", meaning 1 twelve and 0 units; in the decimal system, this number is instead written as "12" meaning 1 ten and 2 units, and the string "10" means ten.

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    mail.aol.com

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  8. Marginal distribution - Wikipedia

    en.wikipedia.org/wiki/Marginal_distribution

    Given a known joint distribution of two discrete random variables, say, X and Y, the marginal distribution of either variable – X for example – is the probability distribution of X when the values of Y are not taken into consideration. This can be calculated by summing the joint probability distribution over all values of Y.

  9. Karatsuba algorithm - Wikipedia

    en.wikipedia.org/wiki/Karatsuba_algorithm

    The basic principle of Karatsuba's algorithm is divide-and-conquer, using a formula that allows one to compute the product of two large numbers and using three multiplications of smaller numbers, each with about half as many digits as or , plus some additions and digit shifts.