generalized multivariate analysis of variance

generalized multivariate analysis of variance
обобщенный многофакторный дисперсионный анализ

English-Russian dictionary on experimental design. 2014.

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  • Multivariate analysis of variance — (MANOVA) is a generalized form of univariate analysis of variance (ANOVA). It is used when there are two or more dependent variables. It helps to answer : 1. do changes in the independent variable(s) have significant effects on the dependent …   Wikipedia

  • Analysis of variance — In statistics, analysis of variance (ANOVA) is a collection of statistical models, and their associated procedures, in which the observed variance in a particular variable is partitioned into components attributable to different sources of… …   Wikipedia

  • Multivariate statistics — is a form of statistics encompassing the simultaneous observation and analysis of more than one statistical variable. The application of multivariate statistics is multivariate analysis. Methods of bivariate statistics, for example simple linear… …   Wikipedia

  • Multivariate normal distribution — MVN redirects here. For the airport with that IATA code, see Mount Vernon Airport. Probability density function Many samples from a multivariate (bivariate) Gaussian distribution centered at (1,3) with a standard deviation of 3 in roughly the… …   Wikipedia

  • Multivariate Normalverteilung — Die gemeinsame Wahrscheinlichkeitsverteilung mehrerer Zufallsvariablen nennt man multivariate Verteilung oder auch mehrdimensionale Verteilung. Inhaltsverzeichnis 1 Formale Darstellung 2 Ausgewählte multivariate Verteilungen 3 Die multivariate… …   Deutsch Wikipedia

  • Multivariate stable distribution — multivariate stable Probability density function Heatmap showing a Multivariate (bivariate) stable distribution with α = 1.1 parameters: exponent shift/location vector …   Wikipedia

  • Multivariate adaptive regression splines — (MARS) is a form of regression analysis introduced by Jerome Friedman in 1991.[1] It is a non parametric regression technique and can be seen as an extension of linear models that automatically models non linearities and interactions. The term… …   Wikipedia

  • Variance inflation factor — In statistics, the variance inflation factor (VIF) is a method of detecting the severity of multicollinearity. More precisely, the VIF is an index which measures how much the variance of a coefficient (square of the standard deviation) is… …   Wikipedia

  • Principal component analysis — PCA of a multivariate Gaussian distribution centered at (1,3) with a standard deviation of 3 in roughly the (0.878, 0.478) direction and of 1 in the orthogonal direction. The vectors shown are the eigenvectors of the covariance matrix scaled by… …   Wikipedia

  • Meta-analysis — In statistics, a meta analysis combines the results of several studies that address a set of related research hypotheses. In its simplest form, this is normally by identification of a common measure of effect size, for which a weighted average… …   Wikipedia

  • Survival analysis — is a branch of statistics which deals with death in biological organisms and failure in mechanical systems. This topic is called reliability theory or reliability analysis in engineering, and duration analysis or duration modeling in economics or …   Wikipedia


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