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A logical spreadsheet is a spreadsheet in which formulas take the form of logical constraints rather than function definitions.. In traditional spreadsheet systems, such as Excel, cells are partitioned into "directly specified" cells and "computed" cells and the formulas used to specify the values of computed cells are "functional", i.e. for every combination of values of the directly ...
Proof. We need to prove that if you add a burst of length to a codeword (i.e. to a polynomial that is divisible by ()), then the result is not going to be a codeword (i.e. the corresponding polynomial is not divisible by ()).
By using S as the set of all functions from A to B, and defining, for each i in B, the property P i as "the function misses the element i in B" (i is not in the image of the function), the principle of inclusion–exclusion gives the number of onto functions between A and B as: [14]
This article lists mathematical properties and laws of sets, involving the set-theoretic operations of union, intersection, and complementation and the relations of set equality and set inclusion. It also provides systematic procedures for evaluating expressions, and performing calculations, involving these operations and relations.
Both the "compatibility" function STDEVP and the "consistency" function STDEV.P in Excel 2010 return the 0.5 population standard deviation for the given set of values. However, numerical inaccuracy still can be shown using this example by extending the existing figure to include 10 15 , whereupon the erroneous standard deviation found by Excel ...
Systematic codes have the advantage that the parity data can simply be appended to the source block, and receivers do not need to recover the original source symbols if received correctly – this is useful for example if error-correction coding is combined with a hash function for quickly determining the correctness of the received source ...
This function, in turn, has a few parameters that are very useful in describing the variation of the observed measurements. Two such parameters are the mean and variance of the PDF. Essentially, the mean is the location of the PDF on the real number line, and the variance is a description of the scatter or dispersion or width of the PDF.
Any non-linear differentiable function, (,), of two variables, and , can be expanded as + +. If we take the variance on both sides and use the formula [11] for the variance of a linear combination of variables (+) = + + (,), then we obtain | | + | | +, where is the standard deviation of the function , is the standard deviation of , is the standard deviation of and = is the ...