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[2] In the social sciences, a result may be considered statistically significant if its confidence level is of the order of a two-sigma effect (95%), while in particle physics and astrophysics, there is a convention of requiring statistical significance of a five-sigma effect (99.99994% confidence) to qualify as a discovery. [3]
2.00 98 Teacher Reinforcement 1.2 Learner Feedback-corrective (mastery learning) 1.00 84 Teacher Cues and explanations 1.00 Teacher, Learner Student classroom participation 1.00 Learner Student time on task 1.00 Learner Improved reading/study skills 1.00 Home environment / peer group Cooperative learning: 0.80 79 Teacher Homework (graded) 0.80
In statistics, the standard deviation is a measure of the amount of variation of the values of a variable about its mean. [1] A low standard deviation indicates that the values tend to be close to the mean (also called the expected value ) of the set, while a high standard deviation indicates that the values are spread out over a wider range.
This sigma algebra is called the tensor-product σ-algebra on the product space. A product measure μ 1 × μ 2 {\displaystyle \mu _{1}\times \mu _{2}} (also denoted by μ 1 ⊗ μ 2 {\displaystyle \mu _{1}\otimes \mu _{2}} by many authors) is defined to be a measure on the measurable space ( X 1 × X 2 , Σ 1 ⊗ Σ 2 ) {\displaystyle (X_{1 ...
A probability distribution is not uniquely determined by the moments E[X n] = e nμ + 1 / 2 n 2 σ 2 for n ≥ 1. That is, there exist other distributions with the same set of moments. [4] In fact, there is a whole family of distributions with the same moments as the log-normal distribution. [citation needed]
The confidence region is calculated in such a way that if a set of measurements were repeated many times and a confidence region calculated in the same way on each set of measurements, then a certain percentage of the time (e.g. 95%) the confidence region would include the point representing the "true" values of the set of variables being estimated.
In statistics and in particular statistical theory, unbiased estimation of a standard deviation is the calculation from a statistical sample of an estimated value of the standard deviation (a measure of statistical dispersion) of a population of values, in such a way that the expected value of the calculation equals the true value.
Different texts (and even different parts of this article) adopt slightly different definitions for the negative binomial distribution. They can be distinguished by whether the support starts at k = 0 or at k = r, whether p denotes the probability of a success or of a failure, and whether r represents success or failure, [1] so identifying the specific parametrization used is crucial in any ...