摘要
The purpose of this paper is to broaden the knowledge of mean difference and,<span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">in particular, of an important distribution model known as Tukey lambda, which is generally used to choose a model to fit data.</span></span></span><span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">We have obtained compact formulas, which are not yet reported in literature, of mean deviation and mean difference related to the said distribution model.</span></span></span><span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">These results made it possible to analyze the relationships among variability indexes, namely standard deviation, mean deviation and mean difference, regarding Tukey lambda model.</span></span></span>
The purpose of this paper is to broaden the knowledge of mean difference and,<span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">in particular, of an important distribution model known as Tukey lambda, which is generally used to choose a model to fit data.</span></span></span><span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">We have obtained compact formulas, which are not yet reported in literature, of mean deviation and mean difference related to the said distribution model.</span></span></span><span><span><span style="font-family:;" "=""> </span></span></span><span style="font-family:Verdana;"><span style="font-family:Verdana;"><span style="font-family:Verdana;">These results made it possible to analyze the relationships among variability indexes, namely standard deviation, mean deviation and mean difference, regarding Tukey lambda model.</span></span></span>
作者
Giovanni Girone
Antonella Massari
Fabio Manca
Angela Maria D’Uggento
Giovanni Girone;Antonella Massari;Fabio Manca;Angela Maria D’Uggento(Faculty of Economics, University of Bari, Largo Abbazia S. Scolastica, Bari, Italy;Department of Economics, Management and Business Law, University of Bari, Largo Abbazia S. Scolastica, Bari, Italy;Department of Education, Psychology, Communication, University of Bari, Bari, Italy;Department of Economics and Finance, University of Bari, Largo Abbazia S. Scolastica, Bari, Italy)