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Figure 2. Box-plot with whiskers from minimum to maximum Figure 3. Same box-plot with whiskers drawn within the 1.5 IQR value. A boxplot is a standardized way of displaying the dataset based on the five-number summary: the minimum, the maximum, the sample median, and the first and third quartiles.
Analogous to the classical boxplot and considered an expansion of the concepts defining functional boxplot, [2] [3] the descriptive statistics of a contour boxplot are: the envelope of the 50% central region, the median curve and the maximum non-outlying envelope. To construct a contour boxplot, data ordering is the first step.
Each standard deviation represents a fixed percentile. Thus, rounding to two decimal places, −3σ is the 0.13th percentile, −2σ the 2.28th percentile, −1σ the 15.87th percentile, 0σ the 50th percentile (both the mean and median of the distribution), +1σ the 84.13th percentile, +2σ the 97.72nd percentile, and +3σ the 99
TinkerPlots is exploratory data analysis and modeling software designed for use by students in grades 4 through university. [1] It was designed by Clifford Konold and Craig Miller at the University of Massachusetts Amherst and is currently published by Learn Troop. [2]
Typically violin plots will include a marker for the median of the data and a box indicating the interquartile range, as in standard box plots. Overlaid on this box plot is a kernel density estimation. Violin plots are available as extensions to a number of software packages, including R through the vioplot library, and Stata through the ...
[1] [2] [3] It is used for comparing two or more independent samples of equal or different sample sizes. It extends the Mann–Whitney U test , which is used for comparing only two groups. The parametric equivalent of the Kruskal–Wallis test is the one-way analysis of variance (ANOVA).
The radar chart is a chart and/or plot that consists of a sequence of equi-angular spokes, called radii, with each spoke representing one of the variables. The data length of a spoke is proportional to the magnitude of the variable for the data point relative to the maximum magnitude of the variable across all data points.
A normal quantile plot for a simulated set of test statistics that have been standardized to be Z-scores under the null hypothesis. The departure of the upper tail of the distribution from the expected trend along the diagonal is due to the presence of substantially more large test statistic values than would be expected if all null hypotheses were true.
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