Standard Deviation-Mean Plot | |||
Section | Mean | Standard Deviation | Range |
1 | 98.0925 | 0.809912546719293 | 1.78999999999999 |
2 | 99.63 | 0.404557371291964 | 0.929999999999993 |
3 | 100.46 | 0.848253106881034 | 1.78999999999999 |
4 | 100.5775 | 0.652756973663761 | 1.33000000000001 |
5 | 102.2025 | 0.439118435049131 | 0.929999999999993 |
6 | 102.7475 | 0.738709460252586 | 1.75 |
7 | 102.475 | 0.803098167515444 | 1.73999999999999 |
8 | 103.9125 | 0.267254560297855 | 0.519999999999996 |
9 | 104.0825 | 0.7183488010709 | 1.61 |
10 | 105.4725 | 0.674407147055842 | 1.37000000000000 |
11 | 108.3775 | 0.8023039739816 | 1.95000000000000 |
12 | 109.9325 | 0.538044298052373 | 1.15000000000001 |
13 | 108.855 | 1.25688769055420 | 2.92999999999999 |
14 | 109.2025 | 0.255130685466618 | 0.61 |
15 | 108.69 | 0.998365330594632 | 2.25999999999999 |
Regression: S.E.(k) = alpha + beta * Mean(k) | |
alpha | -0.255220419502996 |
beta | 0.00897000392468391 |
S.D. | 0.0190287158792478 |
T-STAT | 0.471393024185429 |
p-value | 0.645173109242674 |
Regression: ln S.E.(k) = alpha + beta * ln Mean(k) | |
alpha | -1.57661737384327 |
beta | 0.237784570848646 |
S.D. | 3.38216194518612 |
T-STAT | 0.0703054953317916 |
p-value | 0.945020526200753 |
Lambda | 0.762215429151355 |