How to Calculate Normal Distribution

Post on: 16 Март, 2015 No Comment

How to Calculate Normal Distribution

When applying statistical modeling to a set of data, the normal distribution refers to a bell-shaped probability function that is centered around the mean value of the sample. Once constructed, this function allows researchers to evaluate the significance of individual points or values through the use of Fourier Transforms and other operations from higher mathematics. To derive the normal distribution function, you must first calculate the mean and standard deviation for the data sample.

Calculating the Mean and Standard Deviation

Repeat steps 3 and 4 for all of the points in the sample. Once you’ve completed this process for all of the points, add these new values together.

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