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If G is a median graph, and a, b, and c are an arbitrary three vertices of a retract φ(G), then φ(m(a,b,c)) must be a median of a, b, and c, and so must equal m(a,b,c). Therefore, φ(G) contains medians of all triples of its vertices, and must also be a median graph. In other words, the family of median graphs is closed under the retraction ...
A median graph is an undirected graph in which for every three vertices , , and there is a unique vertex ,, that belongs to shortest paths between any two of , , and . If this is the case, then the operation x , y , z {\displaystyle \langle x,y,z\rangle } defines a median algebra having the vertices of the graph as its elements.
The median of the first group is the lower or first quartile, and is equal to (0 + 1)/2 = 0.5. The median of the second group is the upper or third quartile, and is equal to (27 + 61)/2 = 44. The smallest and largest observations are 0 and 63. So the five-number summary would be 0, 0.5, 7.5, 44, 63.
The squaregraphs include as special cases trees, grid graphs, gear graphs, and the graphs of polyominos.. As well as being planar graphs, squaregraphs are median graphs, meaning that for every three vertices u, v, and w there is a unique median vertex m(u,v,w) that lies on shortest paths between each pair of the three vertices. [1]
It is used to estimate the central location of the univariate data by the calculation of mean, median and mode. [7] Each of these calculations has its own advantages and limitations. The mean has the advantage that its calculation includes each value of the data set, but it is particularly susceptible to the influence of outliers. The median is ...
a measure of the shape of the distribution like skewness or kurtosis; if more than one variable is measured, a measure of statistical dependence such as a correlation coefficient; A common collection of order statistics used as summary statistics are the five-number summary, sometimes extended to a seven-number summary, and the associated box plot.
Here, i is the number of points strictly less than the median and k the number strictly greater. Using these preliminaries, it is possible to investigate the effect of sample size on the standard errors of the mean and median. The observed mean is 3.16, the observed raw median is 3 and the observed interpolated median is 3.174.
A simple run chart showing data collected over time. The median of the observed data (73) is also shown on the chart. A run chart, also known as a run-sequence plot is a graph that displays observed data in a time sequence. Often, the data displayed represent some aspect of the output or performance of a manufacturing or other business process.