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An f-test pdf with d1 and d2 = 10, at a significance level of 0.05. (Red shaded region indicates the critical region) An F-test is a statistical test that compares variances. It's used to determine if the variances of two samples, or if the ratios of variances among multiple samples, are significantly different.
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 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 F-test in ANOVA is an example of an omnibus test, which tests the overall significance of the model. A significant F test means that among the tested means, at least two of the means are significantly different, but this result doesn't specify exactly which means are different one from the other.
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 ...
In some cases, this is better. = ((, | | /)). [citation needed] However, in situations with large sample sizes, using the correction will have little effect on the value of the test statistic, and hence the p-value.
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 ...
The Formula for the F-test in the regression section was incoherent with the degrees of freedom used for the F-test after the formula. Could someone with a statistics backgroud check the validity of the fomula in its current state? 79.60.157.114 03:47, 7 March 2018 (UTC)