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In statistics, dispersion (also called variability, scatter, or spread) is the extent to which a distribution is stretched or squeezed. [1] Common examples of measures of statistical dispersion are the variance, standard deviation, and interquartile range. For instance, when the variance of data in a set is large, the data is widely scattered.
The median absolute deviation is a measure of statistical dispersion. Moreover, the MAD is a robust statistic, being more resilient to outliers in a data set than the standard deviation. In the standard deviation, the distances from the mean are squared, so large deviations are weighted more heavily, and thus outliers can heavily influence it ...
In probability theory and statistics, the index of dispersion, [1] dispersion index, coefficient of dispersion, relative variance, or variance-to-mean ratio (VMR), like the coefficient of variation, is a normalized measure of the dispersion of a probability distribution: it is a measure used to quantify whether a set of observed occurrences are clustered or dispersed compared to a standard ...
While a simple measure, it is notable in that some texts and guides suggest or imply that the dispersion of nominal measurements cannot be ascertained. It is defined for instance by ( Freeman 1965 ). Just as with the range or standard deviation , the larger the variation ratio, the more differentiated or dispersed the data are; and the smaller ...
Leik's measure of dispersion (D) is one such index. [76] Let there be K categories and let p i be f i /N where f i is the number in the i th category and let the categories be arranged in ascending order. Let = = where a ≤ K. Let d a = c a if c a ≤ 0.5 and 1 − c a ≤ 0.5 otherwise. Then
The measures of statistical dispersion derived from absolute deviation characterize various measures of central tendency as minimizing dispersion: The median is the measure of central tendency most associated with the absolute deviation. Some location parameters can be compared as follows: L 2 norm statistics: the mean minimizes the mean ...
Morisita's overlap index, named after Masaaki Morisita, is a statistical measure of dispersion of individuals in a population. It is used to compare overlap among samples (Morisita 1959). This formula is based on the assumption that increasing the size of the samples will increase the diversity because it will include different habitats (i.e ...