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1
Quantitative Financial Risk Management.
Table of Contents: “…Continuous Random VariablesExpectations; Variance and Standard Deviation; Standard Deviation with Decay; GARCH; Moments; Skewness; Kurtosis; Jump-Diffusion Model; Dollar Standard Deviation; Annualization; End-of-Chapter Questions; 3 Market Risk: Value at Risk; What Is Value at Risk?…”
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2
Essential Elements for a GMP Analytical Chemistry Department.
Table of Contents: “…Significance TestingSignificance Testing; 4.2.1 Arithmetic MeanArithmetic Mean; 4.2.2 MedianMedian; 4.2.3 Standard DeviationStandard Deviation; 4.2.4 Standard Error of the MeanStandard Error of the Mean; 4.2.5 Relative Standard DeviationRelative Standard Deviation (Coefficient of Variation).…”
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3
Medical statistics from scratch : an introduction for health professionals /
Table of Contents: “…Measures of spread -- Numbers R us -- (again) -- Preamble -- The range -- The interquartile range (IQR) -- Estimating the median and interquartile range from the cumulative frequency curve -- The boxplot (also known as the box and whisker plot) -- Standard deviation -- Standard deviation and the Normal distribution -- Testing for Normality -- Using SPSS -- Using Minitab -- Transforming data -- 7. …”
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