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  2. Student's t-distribution - Wikipedia

    en.wikipedia.org/wiki/Student's_t-distribution

    The t distribution is often used as an alternative to the normal distribution as a model for data, which often has heavier tails than the normal distribution allows for; see e.g. Lange et al. [14] The classical approach was to identify outliers (e.g., using Grubbs's test) and exclude or downweight them in some way.

  3. Owen's T function - Wikipedia

    en.wikipedia.org/wiki/Owen's_T_function

    The function T(h, a) gives the probability of the event (X > h and 0 < Y < aX) where X and Y are independent standard normal random variables. This function can be used to calculate bivariate normal distribution probabilities [2] [3] and, from there, in the calculation of multivariate normal distribution probabilities. [4] It also frequently ...

  4. Normal distribution - Wikipedia

    en.wikipedia.org/wiki/Normal_distribution

    The simplest case of a normal distribution is known as the standard normal distribution or unit normal distribution. This is a special case when μ = 0 {\textstyle \mu =0} and σ 2 = 1 {\textstyle \sigma ^{2}=1} , and it is described by this probability density function (or density): φ ( z ) = e − z 2 2 2 π . {\displaystyle \varphi (z ...

  5. Noncentral t-distribution - Wikipedia

    en.wikipedia.org/wiki/Noncentral_t-distribution

    The noncentral t-distribution generalizes Student's t-distribution using a noncentrality parameter. Whereas the central probability distribution describes how a test statistic t is distributed when the difference tested is null, the noncentral distribution describes how t is distributed when the null is false.

  6. t-statistic - Wikipedia

    en.wikipedia.org/wiki/T-statistic

    Most frequently, t statistics are used in Student's t-tests, a form of statistical hypothesis testing, and in the computation of certain confidence intervals. The key property of the t statistic is that it is a pivotal quantity – while defined in terms of the sample mean, its sampling distribution does not depend on the population parameters, and thus it can be used regardless of what these ...

  7. Noncentral distribution - Wikipedia

    en.wikipedia.org/wiki/Noncentral_distribution

    For example, the standard (central) chi-squared distribution is the distribution of a sum of squared independent standard normal distributions, i.e., normal distributions with mean 0, variance 1. The noncentral chi-squared distribution generalizes this to normal distributions with arbitrary mean and variance.

  8. Multivariate t-distribution - Wikipedia

    en.wikipedia.org/wiki/Multivariate_t-distribution

    One common method of construction of a multivariate t-distribution, for the case of dimensions, is based on the observation that if and are independent and distributed as (,) and (i.e. multivariate normal and chi-squared distributions) respectively, the matrix is a p × p matrix, and is a constant vector then the random variable = / / + has the density [1]

  9. Student's t-test - Wikipedia

    en.wikipedia.org/wiki/Student's_t-test

    Student's t-test is a statistical test used to test whether the difference between the response of two groups is statistically significant or not. It is any statistical hypothesis test in which the test statistic follows a Student's t-distribution under the null hypothesis.