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Because column names are stored as an index, these are not required to be unique. [9]: 103–105 If data is a Series, then data['a'] returns all values with the index value of a. However, if data is a DataFrame, then data['a'] returns all values in the column(s) named a.
A tabular data structure common to many data processing libraries: ... Data frames in the R programming language; Frame (networking) This page was last edited on ...
dplyr is an R package whose set of functions are designed to enable dataframe (a spreadsheet-like data structure) manipulation in an intuitive, user-friendly way. It is one of the core packages of the popular tidyverse set of packages in the R programming language. [1]
R is a programming language for statistical computing and data visualization. It has been adopted in the fields of data mining, bioinformatics and data analysis. [9] The core R language is augmented by a large number of extension packages, containing reusable code, documentation, and sample data. R software is open-source and free software.
Even though the row is indicated by the first index and the column by the second index, no grouping order between the dimensions is implied by this. The choice of how to group and order the indices, either by row-major or column-major methods, is thus a matter of convention. The same terminology can be applied to even higher dimensional arrays.
A data set (or dataset) is a collection of data. In the case of tabular data, a data set corresponds to one or more database tables, where every column of a table represents a particular variable, and each row corresponds to a given record of the data set in question. The data set lists values for each of the variables, such as for example ...
A data point or observation is a set of one or more measurements on a single member of the unit of observation. For example, in a study of the determinants of money demand with the unit of observation being the individual, a data point might be the values of income, wealth, age of individual, and number of dependents.
The design matrix has dimension n-by-p, where n is the number of samples observed, and p is the number of variables measured in all samples. [4] [5]In this representation different rows typically represent different repetitions of an experiment, while columns represent different types of data (say, the results from particular probes).