Search results
Results from the WOW.Com Content Network
To apply a Q test for bad data, arrange the data in order of increasing values and calculate Q as defined: Q = gap range {\displaystyle Q={\frac {\text{gap}}{\text{range}}}} Where gap is the absolute difference between the outlier in question and the closest number to it.
Equivalently, it is a number for which the sum of proper divisors (or aliquot sum) is less than n. For example, the proper divisors of 8 are 1, 2, and 4, and their sum is less than 8, so 8 is deficient. Denoting by σ(n) the sum of divisors, the value 2n – σ(n) is called the number's deficiency.
This follows from the fact that the variance and mean are independent of the ordering of x. Scale invariance: c v (x) = c v (αx) where α is a real number. [22] Population independence – If {x,x} is the list x appended to itself, then c v ({x,x}) = c v (x). This follows from the fact that the variance and mean both obey this principle.
The mean and the standard deviation of a set of data are descriptive statistics usually reported together. In a certain sense, the standard deviation is a "natural" measure of statistical dispersion if the center of the data is measured about the mean. This is because the standard deviation from the mean is smaller than from any other point.
Condition numbers can also be defined for nonlinear functions, and can be computed using calculus.The condition number varies with the point; in some cases one can use the maximum (or supremum) condition number over the domain of the function or domain of the question as an overall condition number, while in other cases the condition number at a particular point is of more interest.
The most probable number method, otherwise known as the method of Poisson zeroes, is a method of getting quantitative data on concentrations of discrete items from positive/negative (incidence) data. Purpose
The mean signed difference is derived from a set of n pairs, (^,), where ^ is an estimate of the parameter in a case where it is known that =. In many applications, all the quantities θ i {\displaystyle \theta _{i}} will share a common value.
In statistics, deviance is a goodness-of-fit statistic for a statistical model; it is often used for statistical hypothesis testing.It is a generalization of the idea of using the sum of squares of residuals (SSR) in ordinary least squares to cases where model-fitting is achieved by maximum likelihood.