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I would like to know the mean and standard deviation.
And that's with a standard deviation of only 8.45 percent.
The standard deviation between test scores in 2006 was 102.
Dry period was 128 days with a standard deviation of 89.
The mean score was 580, with a standard deviation of 112.
A low standard deviation means that most of the numbers are very close to the average.
That is, independent 10-sample means should themselves have a standard deviation of 0.0316.
But standard deviations from the mean are not easy to digest.
How do I calculate the mean and standard deviation of my data?
Mean and standard deviation figures therefore include these two patients.
A high standard deviation means that the numbers are spread out.
The third group has a much smaller standard deviation than the other two because its numbers are all close to 7.
The full data showed a significance of 6.4 standard deviations.
You may also want to report the standard deviation of this measurement.
Thus the median is within one standard deviation of the mean.
A team that is usually good in most categories will also have a low standard deviation.
The rules are based around the mean value and the standard deviation of the samples.
The higher the standard deviation, the more volatile the fund.
For all three probabilities the standard deviation was less than 0.01.
Teams with a higher standard deviation, however, will be less predictable.
As you can see, standard deviation is many times the magnitude of the expected loss.
Sometimes defined as being 2.5 times the standard deviation smaller than the mean size.
There is a standard deviation associated with each species, but these values are not given.
The difference between the mean values for two groups, divided by the standard deviation.
Then the average and standard deviation of those sample averages is found.