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In probability theory, statistics and econometrics, the Burr Type XII distribution or simply the Burr distribution [2] is a continuous probability distribution for a non-negative random variable. It is also known as the Singh–Maddala distribution [ 3 ] and is one of a number of different distributions sometimes called the "generalized log ...
In the figure, Excel is used to find the smallest root of the quadratic equation x 2 + bx + c = 0 for c = 4 and c = 4 × 10 5. The difference between direct evaluation using the quadratic formula and the approximation described above for widely spaced roots is plotted vs. b .
There are many different effective medium approximations, [5] each of them being more or less accurate in distinct conditions. Nevertheless, they all assume that the macroscopic system is homogeneous and, typical of all mean field theories, they fail to predict the properties of a multiphase medium close to the percolation threshold due to the absence of long-range correlations or critical ...
Example Bjerrum plot: Change in carbonate system of seawater from ocean acidification.. A Bjerrum plot (named after Niels Bjerrum), sometimes also known as a Sillén diagram (after Lars Gunnar Sillén), or a Hägg diagram (after Gunnar Hägg) [1] is a graph of the concentrations of the different species of a polyprotic acid in a solution, as a function of pH, [2] when the solution is at ...
The median can thus be applied to school classes which are ranked but not numerical (e.g. working out a median grade when student test scores are graded from F to A), although the result might be halfway between classes if there is an even number of classes. (For odd number classes, one specific class is determined as the median.)
The theory of median-unbiased estimators was revived by George W. Brown in 1947: [8]. An estimate of a one-dimensional parameter θ will be said to be median-unbiased, if, for fixed θ, the median of the distribution of the estimate is at the value θ; i.e., the estimate underestimates just as often as it overestimates.
In these examples, we will take the values given as the entire population of values. The data set [100, 100, 100] has a population standard deviation of 0 and a coefficient of variation of 0 / 100 = 0; The data set [90, 100, 110] has a population standard deviation of 8.16 and a coefficient of variation of 8.16 / 100 = 0.0816
The multiplication factor, k, is defined as (see nuclear chain reaction): k = number of neutrons in one generation / number of neutrons in preceding generation . If k is greater than 1, the chain reaction is supercritical, and the neutron population will grow exponentially.