LogarithmicExponentialPower

 

 

 

 

To start:

WL

WE

WP

 

 

 

 

R

0.9965

0.9945

0.9959

M

–139.0088

51.1312

8.9730

B

65.8446

0.0177

0.6640

Y ( yˆ when X=37)

98.7508

98.5870

98.6845

X ( xˆ when Y=101)

38.2857

38.3628

38.3151

 

 

 

 

Normal and Inverse–Normal Distributions

Normal distribution is frequently used to model the behavior of random variation about a mean. This model assumes that the sample distribution is symmetric about the mean, M, with a standard deviation, S, and approximates the shape of the bell–shaped curve shown below. Given a value x, this program calculates the probability that a random selection from the sample data will have a higher value. This is known as the upper tail area, Q(x). This program also provides the inverse: given a value Q(x), the program calculates the corresponding value x.

y

"Upper tail" area

Q [x]

x x

Statistics Programs 16–11

File name 32sii-Manual-E-0424

 

Printed Date : 2003/4/24

Size : 17.7 x 25.2 cm