Search results
Results from the WOW.Com Content Network
In particular, the quantile is 1.96; therefore a normal random variable will lie outside the interval in only 5% of cases. The following table gives the quantile z p {\textstyle z_{p}} such that X {\displaystyle X} will lie in the range μ ± z p σ {\textstyle \mu \pm z_{p}\sigma } with a specified probability p {\displaystyle p} .
[41] [42] For instance, the certainty of the Higgs boson particle's existence was based on the 5σ criterion, which corresponds to a p-value of about 1 in 3.5 million. [ 42 ] [ 43 ] In other fields of scientific research such as genome-wide association studies , significance levels as low as 5 × 10 −8 are not uncommon [ 44 ] [ 45 ] —as the ...
In statistics, a standard normal table, also called the unit normal table or Z table, [1] is a mathematical table for the values of Φ, the cumulative distribution function of the normal distribution.
In probability theory and statistics, the beta distribution is a family of continuous probability distributions defined on the interval [0, 1] or (0, 1) in terms of two positive parameters, denoted by alpha (α) and beta (β), that appear as exponents of the variable and its complement to 1, respectively, and control the shape of the distribution.
In probability theory and statistics, Student's t distribution (or simply the t distribution) is a continuous probability distribution that generalizes the standard normal distribution.
Indeed, we know that if X is an exponential r.v. with rate λ, then cX is an exponential r.v. with rate λ/c; the same thing is valid with Gamma variates (and this can be checked using the moment-generating function, see, e.g.,these notes, 10.4-(ii)): multiplication by a positive constant c divides the rate (or, equivalently, multiplies the scale).
In probability theory and statistics, the Weibull distribution / ˈ w aɪ b ʊ l / is a continuous probability distribution.It models a broad range of random variables, largely in the nature of a time to failure or time between events.
In the R programming language, there are a few packages that include functions for fitting and generating generalized gamma distributions. The gamlss package in R allows for fitting and generating many different distribution families including generalized gamma (family=GG).