weighted mean - translation to russian
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weighted mean - translation to russian

STATISTICS COMPUTED FROM A SAMPLE OF DATA
Sample mean; Empirical mean; Sample covariance matrix; Weighted sample; Sample covariance; Weighted covariance matrix; Sample mean and sample covariance

weighted mean      

общая лексика

взвешенная средняя

математика

средневзвешенный

weighted mean      
взвешенное среднее
harmonic mean         
  • (Mean - HarmonicMean) for Beta distribution versus alpha and beta from 0 to 2
  • Crossed ladders. ''h'' is half the harmonic mean of ''A'' and ''B''
  • Harmonic mean for Beta distribution for 0 < α < 5 and 0 < β < 5
  • A geometric construction of the three [[Pythagorean means]] of two numbers, ''a'' and ''b''. The harmonic mean is denoted by ''H'' in purple, while the [[arithmetic mean]] is ''A'' in red and the [[geometric mean]] is ''G'' in blue. ''Q'' denotes a fourth mean, the [[quadratic mean]]. Since a [[hypotenuse]] is always longer than a leg of a [[right triangle]], the diagram shows that ''Q'' > ''A'' > ''G'' > ''H''.
INVERSE OF THE AVERAGE OF THE INVERSES OF A SET OF NUMBERS
Weighted harmonic mean; Harmonic average; Subcontrary mean; Harmonic Mean; Subcontrary Mean; Harmean
гармоническое среднее; измерение центральной тенденции совокупности значений, представленное обратной величиной среднего арифметического обратных величин набора значений; результат измерения центральной тенденции ряда математических величин путем произведения n числа величин и извлечением корня n степени из этого произведения.

Definition

ГРИНВИЧСКОЕ СРЕДНЕЕ ВРЕМЯ
см. Всемирное время.

Wikipedia

Sample mean and covariance

The sample mean (or "empirical mean") and the sample covariance are statistics computed from a sample of data on one or more random variables.

The sample mean is the average value (or mean value) of a sample of numbers taken from a larger population of numbers, where "population" indicates not number of people but the entirety of relevant data, whether collected or not. A sample of 40 companies' sales from the Fortune 500 might be used for convenience instead of looking at the population, all 500 companies' sales. The sample mean is used as an estimator for the population mean, the average value in the entire population, where the estimate is more likely to be close to the population mean if the sample is large and representative. The reliability of the sample mean is estimated using the standard error, which in turn is calculated using the variance of the sample. If the sample is random, the standard error falls with the size of the sample and the sample mean's distribution approaches the normal distribution as the sample size increases.

The term "sample mean" can also be used to refer to a vector of average values when the statistician is looking at the values of several variables in the sample, e.g. the sales, profits, and employees of a sample of Fortune 500 companies. In this case, there is not just a sample variance for each variable but a sample variance-covariance matrix (or simply covariance matrix) showing also the relationship between each pair of variables. This would be a 3×3 matrix when 3 variables are being considered. The sample covariance is useful in judging the reliability of the sample means as estimators and is also useful as an estimate of the population covariance matrix.

Due to their ease of calculation and other desirable characteristics, the sample mean and sample covariance are widely used in statistics to represent the location and dispersion of the distribution of values in the sample, and to estimate the values for the population.

What is the Russian for weighted mean? Translation of &#39weighted mean&#39 to Russian