Ads
related to: what is a star graph in math terms mean median mode worksheet
Search results
Results From The WOW.Com Content Network
Like the statistical mean and median, the mode is a way of expressing, in a (usually) single number, important information about a random variable or a population. The numerical value of the mode is the same as that of the mean and median in a normal distribution, and it may be very different in highly skewed distributions.
In graph theory, a star S k is the complete bipartite graph K 1,k : a tree with one internal node and k leaves (but no internal nodes and k + 1 leaves when k ≤ 1). Alternatively, some authors define S k to be the tree of order k with maximum diameter 2; in which case a star of k > 2 has k − 1 leaves. A star with 3 edges is called a claw.
The median of three vertices in a tree, showing the subtree formed by the union of shortest paths between the vertices. Every tree is a median graph. To see this, observe that in a tree, the union of the three shortest paths between pairs of the three vertices a, b, and c is either itself a path, or a subtree formed by three paths meeting at a single central node with degree three.
The median of a symmetric unimodal distribution coincides with the mode. The median of a symmetric distribution which possesses a mean μ also takes the value μ. The median of a normal distribution with mean μ and variance σ 2 is μ. In fact, for a normal distribution, mean = median = mode.
The term central tendency dates from the late 1920s. [2] The most common measures of central tendency are the arithmetic mean, the median, and the mode. A middle tendency can be calculated for either a finite set of values or for a theoretical distribution, such as the normal distribution.
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.
In the bottom-right graph, smoothed profiles of the previous graphs are rescaled, superimposed and compared with a normal distribution (black curve). Main article: Central limit theorem The central limit theorem states that under certain (fairly common) conditions, the sum of many random variables will have an approximately normal distribution.
The mean of a set of observations is the arithmetic average of the values; however, for skewed distributions, the mean is not necessarily the same as the middle value (median), or the most likely value (mode). For example, mean income is typically skewed upwards by a small number of people with very large incomes, so that the majority have an ...