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In probability theory and statistics, the F-distribution or F-ratio, also known as Snedecor's F distribution or the Fisher–Snedecor distribution (after Ronald Fisher and George W. Snedecor), is a continuous probability distribution that arises frequently as the null distribution of a test statistic, most notably in the analysis of variance (ANOVA) and other F-tests.
The null hypothesis is rejected if the F calculated from the data is greater than the critical value of the F-distribution for some desired false-rejection probability (e.g. 0.05). Since F is a monotone function of the likelihood ratio statistic, the F-test is a likelihood ratio test.
In probability theory and statistics, the noncentral F-distribution is a continuous probability distribution that is a noncentral generalization of the (ordinary) F-distribution. It describes the distribution of the quotient ( X / n 1 )/( Y / n 2 ), where the numerator X has a noncentral chi-squared distribution with n 1 degrees of freedom and ...
The F-test statistic is the ratio, after scaling by the degrees of freedom. If there is no difference between population means this ratio follows an F-distribution with 2 and 3n − 3 degrees of freedom. In some complicated settings, such as unbalanced split-plot designs, the sums-of-squares no longer have scaled chi-squared distributions ...
Precision and recall. In statistical analysis of binary classification and information retrieval systems, the F-score or F-measure is a measure of predictive performance. It is calculated from the precision and recall of the test, where the precision is the number of true positive results divided by the number of all samples predicted to be positive, including those not identified correctly ...
F IT is the inbreeding coefficient of an individual (I) relative to the total (T) population, as above; F IS is the inbreeding coefficient of an individual (I) relative to the subpopulation (S), using the above for subpopulations and averaging them; and F ST is the effect of subpopulations (S) compared to the total population (T), and is ...
In statistics, an F-test of equality of variances is a test for the null hypothesis that two normal populations have the same variance.Notionally, any F-test can be regarded as a comparison of two variances, but the specific case being discussed in this article is that of two populations, where the test statistic used is the ratio of two sample variances. [1]
In statistics, the matrix F distribution (or matrix variate F distribution) is a matrix variate generalization of the F distribution which is defined on real-valued positive-definite matrices. In Bayesian statistics it can be used as the semi conjugate prior for the covariance matrix or precision matrix of multivariate normal distributions, and ...