上面的例子使用了正态分布。
图1:平均值为3且方差为1的正态分布。
测试来自正态分布的随机抽样。
示踪剂的分布接近正态分布的样式。
示踪剂的分布接近正态分布的样式。
若是正态分布,则进一步观察标准差。
If it is a normal distribution, standard deviation (s) is observed.
分析中随机变量取正态分布。
The random variables follow normal distribution in this analysis.
结果:各模块考试总成绩均呈正态分布。
Result: The final score of each module shows normal distribution.
并成明显的正态分布曲线。
Combines to make or become the obvious normal distribution curve.
人促更新趋于正态分布;
正态分布是进行教学测量所必须掌握的一种重要分布。
Normal distribution is an important distribution one must know well in the teaching measures.
我们经常在金融学中假设随机变量,比如回报,是正态分布的。
We often assume in finance that random variables, such as returns, are normally distributed.
金融学中我们常假设随机变量,例如收益率,是服从正态分布的
We often assume in finance that random variables, such as returns,are normally distributed.
产量保险模型,并借助多元正态分布函数得到其显示表达式。
Moreover, this paper get the expression by multivariable normal distribution.
理解非正态分布数据产生的原因,确定什么时候可将它们转换。
Understand the cause of non-normal data and determine when it is appropriate to transform.
理解非正态分布数据产生的原因,确定什么时候可将它们转换。
Understand the cause of non-normal data and determine when it is appropriate to transform.
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