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  1. Pearson correlation coefficient. Several sets of ( x , y) points, with the correlation coefficient of x and y for each set. The correlation reflects the strength and direction of a linear relationship (top row), but not the slope of that relationship (middle), nor many aspects of nonlinear relationships (bottom).

  2. en.wikipedia.org › wiki › PiPi - Wikipedia

    The number π (/paɪ/; spelled out as "pi") is a mathematical constant that is the ratio of a circle's circumference to its diameter, approximately equal to 3.14159. The number π appears in many formulae across mathematics and physics. It is an irrational number, meaning that it cannot be expressed exactly as a ratio of two integers, although ...

  3. In probability theory and statistics, a normal distribution or Gaussian distribution is a type of continuous probability distribution for a real-valued random variable. The general form of its probability density function is. The parameter is the mean or expectation of the distribution (and also its median and mode ), while the parameter is its ...

  4. Binomial distribution for = with n and k as in Pascal's triangleThe probability that a ball in a Galton box with 8 layers (n = 8) ends up in the central bin (k = 4) is /. In probability theory and statistics, the binomial distribution with parameters n and p is the discrete probability distribution of the number of successes in a sequence of n independent experiments, each asking a yes–no ...

  5. Principal component analysis (PCA) is a linear dimensionality reduction technique with applications in exploratory data analysis, visualization and data preprocessing. The data is linearly transformed onto a new coordinate system such that the directions (principal components) capturing the largest variation in the data can be easily identified.

  6. History The distribution was first introduced by Siméon Denis Poisson (1781–1840) and published together with his probability theory in his work Recherches sur la probabilité des jugements en matière criminelle et en matière civile (1837).: 205-207 The work theorized about the number of wrongful convictions in a given country by focusing on certain random variables N that count, among ...

  7. e. In statistics, linear regression is a statistical model which estimates the linear relationship between a scalar response and one or more explanatory variables (also known as dependent and independent variables ). The case of one explanatory variable is called simple linear regression; for more than one, the process is called multiple linear ...

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