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The data set [90, 100, 110] has more variability. Its standard deviation is 10 and its average is 100, giving the coefficient of variation as 10 / 100 = 0.1; The data set [1, 5, 6, 8, 10, 40, 65, 88] has still more variability. Its standard deviation is 32.9 and its average is 27.9, giving a coefficient of variation of 32.9 / 27.9 = 1.18
Then, calculate the VIF factor for ^ with the following formula : = where R 2 i is the coefficient of determination of the regression equation in step one, with on the left hand side, and all other predictor variables (all the other X variables) on the right hand side.
The delta method uses second-order Taylor expansions to approximate the variance of a function of one or more random variables: see Taylor expansions for the moments of functions of random variables. For example, the approximate variance of a function of one variable is given by
In fluid dynamics, normalized root mean square deviation (NRMSD), coefficient of variation (CV), and percent RMS are used to quantify the uniformity of flow behavior such as velocity profile, temperature distribution, or gas species concentration. The value is compared to industry standards to optimize the design of flow and thermal equipment ...
A quantity analogous to the coefficient of variation, but based on L-moments, can also be defined: = / , which is called the "coefficient of L-variation", or "L-CV". For a non-negative random variable, this lies in the interval ( 0, 1 ) [1] and is identical to the Gini coefficient.
In probability theory and statistics, the index of dispersion, [1] dispersion index, coefficient of dispersion, relative variance, or variance-to-mean ratio (VMR), like the coefficient of variation, is a normalized measure of the dispersion of a probability distribution: it is a measure used to quantify whether a set of observed occurrences are clustered or dispersed compared to a standard ...
In statistics, the variance function is a smooth function that depicts the variance of a random quantity as a function of its mean.
The formula for the variation around the mode (ModVR) is derived as follows: = = where f m is the modal frequency, K is the number of categories and f i is the frequency of the i th group. This can be simplified to = where N is the total size of the sample.