Free Statistics

of Irreproducible Research!

Author's title

Author*Unverified author*
R Software Modulerwasp_variability.wasp
Title produced by softwareVariability
Date of computationFri, 26 Apr 2013 15:57:13 -0400
Cite this page as followsStatistical Computations at FreeStatistics.org, Office for Research Development and Education, URL https://freestatistics.org/blog/index.php?v=date/2013/Apr/26/t13670062672z50b0zft131x0j.htm/, Retrieved Sat, 27 Apr 2024 12:28:46 +0000
Statistical Computations at FreeStatistics.org, Office for Research Development and Education, URL https://freestatistics.org/blog/index.php?pk=208420, Retrieved Sat, 27 Apr 2024 12:28:46 +0000
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Original text written by user:
IsPrivate?No (this computation is public)
User-defined keywords
Estimated Impact78
Family? (F = Feedback message, R = changed R code, M = changed R Module, P = changed Parameters, D = changed Data)
-       [Variability] [variability eigen...] [2013-04-26 19:57:13] [bda1405f45fc71f9cfac8f9f3e5dea22] [Current]
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Dataseries X:
120,6
119,9
119,48
117,45
118,37
117,07
114,98
112,59
111,7
112,04
110,79
110,79
109,82
109,11
109,84
109,31
108,29
107,42
106,71
105,11
104,43
105,11
104,43
105,55
106,12
105,78
105,33
104,63
104,62
105,57
107,5
107,52
107,76
106,74
106,21
105,77
105,27
104,35
103,52
102,28
100,93
101,04
99,95
99,55
99,56
99,01
98,64
98,98
100,8
100,32
100,72
280,8
280,4
280,4
280,3
281
280,9
279,7
283,1
290,6
291,6
291,7
291,8
291,7
291,5
291,7
293,4
293,1
292,6
292,1
292,2
292
292,1
293,4
292,2
292,1
291,6
290,9
290,9
290,8
290,5
290
290,2
290,1




Summary of computational transaction
Raw Inputview raw input (R code)
Raw Outputview raw output of R engine
Computing time1 seconds
R Server'Herman Ole Andreas Wold' @ wold.wessa.net

\begin{tabular}{lllllllll}
\hline
Summary of computational transaction \tabularnewline
Raw Input & view raw input (R code)  \tabularnewline
Raw Output & view raw output of R engine  \tabularnewline
Computing time & 1 seconds \tabularnewline
R Server & 'Herman Ole Andreas Wold' @ wold.wessa.net \tabularnewline
\hline
\end{tabular}
%Source: https://freestatistics.org/blog/index.php?pk=208420&T=0

[TABLE]
[ROW][C]Summary of computational transaction[/C][/ROW]
[ROW][C]Raw Input[/C][C]view raw input (R code) [/C][/ROW]
[ROW][C]Raw Output[/C][C]view raw output of R engine [/C][/ROW]
[ROW][C]Computing time[/C][C]1 seconds[/C][/ROW]
[ROW][C]R Server[/C][C]'Herman Ole Andreas Wold' @ wold.wessa.net[/C][/ROW]
[/TABLE]
Source: https://freestatistics.org/blog/index.php?pk=208420&T=0

Globally Unique Identifier (entire table): ba.freestatistics.org/blog/index.php?pk=208420&T=0

As an alternative you can also use a QR Code:  

The GUIDs for individual cells are displayed in the table below:

Summary of computational transaction
Raw Inputview raw input (R code)
Raw Outputview raw output of R engine
Computing time1 seconds
R Server'Herman Ole Andreas Wold' @ wold.wessa.net







Variability - Ungrouped Data
Absolute range194.76
Relative range (unbiased)2.17447439635268
Relative range (biased)2.18753442006116
Variance (unbiased)8022.15289535284
Variance (biased)7926.65107517007
Standard Deviation (unbiased)89.5664719376221
Standard Deviation (biased)89.0317419529129
Coefficient of Variation (unbiased)0.50168060586155
Coefficient of Variation (biased)0.498685470998048
Mean Squared Error (MSE versus 0)39800.6321547619
Mean Squared Error (MSE versus Mean)7926.65107517007
Mean Absolute Deviation from Mean (MAD Mean)86.8051360544218
Mean Absolute Deviation from Median (MAD Median)73.6071428571429
Median Absolute Deviation from Mean77.6678571428571
Median Absolute Deviation from Median11.005
Mean Squared Deviation from Mean7926.65107517007
Mean Squared Deviation from Median12370.587597619
Interquartile Difference (Weighted Average at Xnp)185.23
Interquartile Difference (Weighted Average at X(n+1)p)185.29
Interquartile Difference (Empirical Distribution Function)185.23
Interquartile Difference (Empirical Distribution Function - Averaging)185.25
Interquartile Difference (Empirical Distribution Function - Interpolation)185.21
Interquartile Difference (Closest Observation)185.23
Interquartile Difference (True Basic - Statistics Graphics Toolkit)185.21
Interquartile Difference (MS Excel (old versions))185.33
Semi Interquartile Difference (Weighted Average at Xnp)92.615
Semi Interquartile Difference (Weighted Average at X(n+1)p)92.645
Semi Interquartile Difference (Empirical Distribution Function)92.615
Semi Interquartile Difference (Empirical Distribution Function - Averaging)92.625
Semi Interquartile Difference (Empirical Distribution Function - Interpolation)92.605
Semi Interquartile Difference (Closest Observation)92.615
Semi Interquartile Difference (True Basic - Statistics Graphics Toolkit)92.605
Semi Interquartile Difference (MS Excel (old versions))92.665
Coefficient of Quartile Variation (Weighted Average at Xnp)0.468024357581424
Coefficient of Quartile Variation (Weighted Average at X(n+1)p)0.468069519527106
Coefficient of Quartile Variation (Empirical Distribution Function)0.468024357581424
Coefficient of Quartile Variation (Empirical Distribution Function - Averaging)0.467980295566502
Coefficient of Quartile Variation (Empirical Distribution Function - Interpolation)0.467891067097817
Coefficient of Quartile Variation (Closest Observation)0.468024357581424
Coefficient of Quartile Variation (True Basic - Statistics Graphics Toolkit)0.467891067097817
Coefficient of Quartile Variation (MS Excel (old versions))0.468158738979968
Number of all Pairs of Observations3486
Squared Differences between all Pairs of Observations16044.3057907057
Mean Absolute Differences between all Pairs of Observations90.9457429718875
Gini Mean Difference90.9457429718875
Leik Measure of Dispersion0.46062609764673
Index of Diversity0.985134676202565
Index of Qualitative Variation0.997003768686933
Coefficient of Dispersion0.775946509827673
Observations84

\begin{tabular}{lllllllll}
\hline
Variability - Ungrouped Data \tabularnewline
Absolute range & 194.76 \tabularnewline
Relative range (unbiased) & 2.17447439635268 \tabularnewline
Relative range (biased) & 2.18753442006116 \tabularnewline
Variance (unbiased) & 8022.15289535284 \tabularnewline
Variance (biased) & 7926.65107517007 \tabularnewline
Standard Deviation (unbiased) & 89.5664719376221 \tabularnewline
Standard Deviation (biased) & 89.0317419529129 \tabularnewline
Coefficient of Variation (unbiased) & 0.50168060586155 \tabularnewline
Coefficient of Variation (biased) & 0.498685470998048 \tabularnewline
Mean Squared Error (MSE versus 0) & 39800.6321547619 \tabularnewline
Mean Squared Error (MSE versus Mean) & 7926.65107517007 \tabularnewline
Mean Absolute Deviation from Mean (MAD Mean) & 86.8051360544218 \tabularnewline
Mean Absolute Deviation from Median (MAD Median) & 73.6071428571429 \tabularnewline
Median Absolute Deviation from Mean & 77.6678571428571 \tabularnewline
Median Absolute Deviation from Median & 11.005 \tabularnewline
Mean Squared Deviation from Mean & 7926.65107517007 \tabularnewline
Mean Squared Deviation from Median & 12370.587597619 \tabularnewline
Interquartile Difference (Weighted Average at Xnp) & 185.23 \tabularnewline
Interquartile Difference (Weighted Average at X(n+1)p) & 185.29 \tabularnewline
Interquartile Difference (Empirical Distribution Function) & 185.23 \tabularnewline
Interquartile Difference (Empirical Distribution Function - Averaging) & 185.25 \tabularnewline
Interquartile Difference (Empirical Distribution Function - Interpolation) & 185.21 \tabularnewline
Interquartile Difference (Closest Observation) & 185.23 \tabularnewline
Interquartile Difference (True Basic - Statistics Graphics Toolkit) & 185.21 \tabularnewline
Interquartile Difference (MS Excel (old versions)) & 185.33 \tabularnewline
Semi Interquartile Difference (Weighted Average at Xnp) & 92.615 \tabularnewline
Semi Interquartile Difference (Weighted Average at X(n+1)p) & 92.645 \tabularnewline
Semi Interquartile Difference (Empirical Distribution Function) & 92.615 \tabularnewline
Semi Interquartile Difference (Empirical Distribution Function - Averaging) & 92.625 \tabularnewline
Semi Interquartile Difference (Empirical Distribution Function - Interpolation) & 92.605 \tabularnewline
Semi Interquartile Difference (Closest Observation) & 92.615 \tabularnewline
Semi Interquartile Difference (True Basic - Statistics Graphics Toolkit) & 92.605 \tabularnewline
Semi Interquartile Difference (MS Excel (old versions)) & 92.665 \tabularnewline
Coefficient of Quartile Variation (Weighted Average at Xnp) & 0.468024357581424 \tabularnewline
Coefficient of Quartile Variation (Weighted Average at X(n+1)p) & 0.468069519527106 \tabularnewline
Coefficient of Quartile Variation (Empirical Distribution Function) & 0.468024357581424 \tabularnewline
Coefficient of Quartile Variation (Empirical Distribution Function - Averaging) & 0.467980295566502 \tabularnewline
Coefficient of Quartile Variation (Empirical Distribution Function - Interpolation) & 0.467891067097817 \tabularnewline
Coefficient of Quartile Variation (Closest Observation) & 0.468024357581424 \tabularnewline
Coefficient of Quartile Variation (True Basic - Statistics Graphics Toolkit) & 0.467891067097817 \tabularnewline
Coefficient of Quartile Variation (MS Excel (old versions)) & 0.468158738979968 \tabularnewline
Number of all Pairs of Observations & 3486 \tabularnewline
Squared Differences between all Pairs of Observations & 16044.3057907057 \tabularnewline
Mean Absolute Differences between all Pairs of Observations & 90.9457429718875 \tabularnewline
Gini Mean Difference & 90.9457429718875 \tabularnewline
Leik Measure of Dispersion & 0.46062609764673 \tabularnewline
Index of Diversity & 0.985134676202565 \tabularnewline
Index of Qualitative Variation & 0.997003768686933 \tabularnewline
Coefficient of Dispersion & 0.775946509827673 \tabularnewline
Observations & 84 \tabularnewline
\hline
\end{tabular}
%Source: https://freestatistics.org/blog/index.php?pk=208420&T=1

[TABLE]
[ROW][C]Variability - Ungrouped Data[/C][/ROW]
[ROW][C]Absolute range[/C][C]194.76[/C][/ROW]
[ROW][C]Relative range (unbiased)[/C][C]2.17447439635268[/C][/ROW]
[ROW][C]Relative range (biased)[/C][C]2.18753442006116[/C][/ROW]
[ROW][C]Variance (unbiased)[/C][C]8022.15289535284[/C][/ROW]
[ROW][C]Variance (biased)[/C][C]7926.65107517007[/C][/ROW]
[ROW][C]Standard Deviation (unbiased)[/C][C]89.5664719376221[/C][/ROW]
[ROW][C]Standard Deviation (biased)[/C][C]89.0317419529129[/C][/ROW]
[ROW][C]Coefficient of Variation (unbiased)[/C][C]0.50168060586155[/C][/ROW]
[ROW][C]Coefficient of Variation (biased)[/C][C]0.498685470998048[/C][/ROW]
[ROW][C]Mean Squared Error (MSE versus 0)[/C][C]39800.6321547619[/C][/ROW]
[ROW][C]Mean Squared Error (MSE versus Mean)[/C][C]7926.65107517007[/C][/ROW]
[ROW][C]Mean Absolute Deviation from Mean (MAD Mean)[/C][C]86.8051360544218[/C][/ROW]
[ROW][C]Mean Absolute Deviation from Median (MAD Median)[/C][C]73.6071428571429[/C][/ROW]
[ROW][C]Median Absolute Deviation from Mean[/C][C]77.6678571428571[/C][/ROW]
[ROW][C]Median Absolute Deviation from Median[/C][C]11.005[/C][/ROW]
[ROW][C]Mean Squared Deviation from Mean[/C][C]7926.65107517007[/C][/ROW]
[ROW][C]Mean Squared Deviation from Median[/C][C]12370.587597619[/C][/ROW]
[ROW][C]Interquartile Difference (Weighted Average at Xnp)[/C][C]185.23[/C][/ROW]
[ROW][C]Interquartile Difference (Weighted Average at X(n+1)p)[/C][C]185.29[/C][/ROW]
[ROW][C]Interquartile Difference (Empirical Distribution Function)[/C][C]185.23[/C][/ROW]
[ROW][C]Interquartile Difference (Empirical Distribution Function - Averaging)[/C][C]185.25[/C][/ROW]
[ROW][C]Interquartile Difference (Empirical Distribution Function - Interpolation)[/C][C]185.21[/C][/ROW]
[ROW][C]Interquartile Difference (Closest Observation)[/C][C]185.23[/C][/ROW]
[ROW][C]Interquartile Difference (True Basic - Statistics Graphics Toolkit)[/C][C]185.21[/C][/ROW]
[ROW][C]Interquartile Difference (MS Excel (old versions))[/C][C]185.33[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Weighted Average at Xnp)[/C][C]92.615[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Weighted Average at X(n+1)p)[/C][C]92.645[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Empirical Distribution Function)[/C][C]92.615[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Empirical Distribution Function - Averaging)[/C][C]92.625[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Empirical Distribution Function - Interpolation)[/C][C]92.605[/C][/ROW]
[ROW][C]Semi Interquartile Difference (Closest Observation)[/C][C]92.615[/C][/ROW]
[ROW][C]Semi Interquartile Difference (True Basic - Statistics Graphics Toolkit)[/C][C]92.605[/C][/ROW]
[ROW][C]Semi Interquartile Difference (MS Excel (old versions))[/C][C]92.665[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Weighted Average at Xnp)[/C][C]0.468024357581424[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Weighted Average at X(n+1)p)[/C][C]0.468069519527106[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Empirical Distribution Function)[/C][C]0.468024357581424[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Empirical Distribution Function - Averaging)[/C][C]0.467980295566502[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Empirical Distribution Function - Interpolation)[/C][C]0.467891067097817[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (Closest Observation)[/C][C]0.468024357581424[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (True Basic - Statistics Graphics Toolkit)[/C][C]0.467891067097817[/C][/ROW]
[ROW][C]Coefficient of Quartile Variation (MS Excel (old versions))[/C][C]0.468158738979968[/C][/ROW]
[ROW][C]Number of all Pairs of Observations[/C][C]3486[/C][/ROW]
[ROW][C]Squared Differences between all Pairs of Observations[/C][C]16044.3057907057[/C][/ROW]
[ROW][C]Mean Absolute Differences between all Pairs of Observations[/C][C]90.9457429718875[/C][/ROW]
[ROW][C]Gini Mean Difference[/C][C]90.9457429718875[/C][/ROW]
[ROW][C]Leik Measure of Dispersion[/C][C]0.46062609764673[/C][/ROW]
[ROW][C]Index of Diversity[/C][C]0.985134676202565[/C][/ROW]
[ROW][C]Index of Qualitative Variation[/C][C]0.997003768686933[/C][/ROW]
[ROW][C]Coefficient of Dispersion[/C][C]0.775946509827673[/C][/ROW]
[ROW][C]Observations[/C][C]84[/C][/ROW]
[/TABLE]
Source: https://freestatistics.org/blog/index.php?pk=208420&T=1

Globally Unique Identifier (entire table): ba.freestatistics.org/blog/index.php?pk=208420&T=1

As an alternative you can also use a QR Code:  

The GUIDs for individual cells are displayed in the table below:

Variability - Ungrouped Data
Absolute range194.76
Relative range (unbiased)2.17447439635268
Relative range (biased)2.18753442006116
Variance (unbiased)8022.15289535284
Variance (biased)7926.65107517007
Standard Deviation (unbiased)89.5664719376221
Standard Deviation (biased)89.0317419529129
Coefficient of Variation (unbiased)0.50168060586155
Coefficient of Variation (biased)0.498685470998048
Mean Squared Error (MSE versus 0)39800.6321547619
Mean Squared Error (MSE versus Mean)7926.65107517007
Mean Absolute Deviation from Mean (MAD Mean)86.8051360544218
Mean Absolute Deviation from Median (MAD Median)73.6071428571429
Median Absolute Deviation from Mean77.6678571428571
Median Absolute Deviation from Median11.005
Mean Squared Deviation from Mean7926.65107517007
Mean Squared Deviation from Median12370.587597619
Interquartile Difference (Weighted Average at Xnp)185.23
Interquartile Difference (Weighted Average at X(n+1)p)185.29
Interquartile Difference (Empirical Distribution Function)185.23
Interquartile Difference (Empirical Distribution Function - Averaging)185.25
Interquartile Difference (Empirical Distribution Function - Interpolation)185.21
Interquartile Difference (Closest Observation)185.23
Interquartile Difference (True Basic - Statistics Graphics Toolkit)185.21
Interquartile Difference (MS Excel (old versions))185.33
Semi Interquartile Difference (Weighted Average at Xnp)92.615
Semi Interquartile Difference (Weighted Average at X(n+1)p)92.645
Semi Interquartile Difference (Empirical Distribution Function)92.615
Semi Interquartile Difference (Empirical Distribution Function - Averaging)92.625
Semi Interquartile Difference (Empirical Distribution Function - Interpolation)92.605
Semi Interquartile Difference (Closest Observation)92.615
Semi Interquartile Difference (True Basic - Statistics Graphics Toolkit)92.605
Semi Interquartile Difference (MS Excel (old versions))92.665
Coefficient of Quartile Variation (Weighted Average at Xnp)0.468024357581424
Coefficient of Quartile Variation (Weighted Average at X(n+1)p)0.468069519527106
Coefficient of Quartile Variation (Empirical Distribution Function)0.468024357581424
Coefficient of Quartile Variation (Empirical Distribution Function - Averaging)0.467980295566502
Coefficient of Quartile Variation (Empirical Distribution Function - Interpolation)0.467891067097817
Coefficient of Quartile Variation (Closest Observation)0.468024357581424
Coefficient of Quartile Variation (True Basic - Statistics Graphics Toolkit)0.467891067097817
Coefficient of Quartile Variation (MS Excel (old versions))0.468158738979968
Number of all Pairs of Observations3486
Squared Differences between all Pairs of Observations16044.3057907057
Mean Absolute Differences between all Pairs of Observations90.9457429718875
Gini Mean Difference90.9457429718875
Leik Measure of Dispersion0.46062609764673
Index of Diversity0.985134676202565
Index of Qualitative Variation0.997003768686933
Coefficient of Dispersion0.775946509827673
Observations84



Parameters (Session):
Parameters (R input):
R code (references can be found in the software module):
num <- 50
res <- array(NA,dim=c(num,3))
q1 <- function(data,n,p,i,f) {
np <- n*p;
i <<- floor(np)
f <<- np - i
qvalue <- (1-f)*data[i] + f*data[i+1]
}
q2 <- function(data,n,p,i,f) {
np <- (n+1)*p
i <<- floor(np)
f <<- np - i
qvalue <- (1-f)*data[i] + f*data[i+1]
}
q3 <- function(data,n,p,i,f) {
np <- n*p
i <<- floor(np)
f <<- np - i
if (f==0) {
qvalue <- data[i]
} else {
qvalue <- data[i+1]
}
}
q4 <- function(data,n,p,i,f) {
np <- n*p
i <<- floor(np)
f <<- np - i
if (f==0) {
qvalue <- (data[i]+data[i+1])/2
} else {
qvalue <- data[i+1]
}
}
q5 <- function(data,n,p,i,f) {
np <- (n-1)*p
i <<- floor(np)
f <<- np - i
if (f==0) {
qvalue <- data[i+1]
} else {
qvalue <- data[i+1] + f*(data[i+2]-data[i+1])
}
}
q6 <- function(data,n,p,i,f) {
np <- n*p+0.5
i <<- floor(np)
f <<- np - i
qvalue <- data[i]
}
q7 <- function(data,n,p,i,f) {
np <- (n+1)*p
i <<- floor(np)
f <<- np - i
if (f==0) {
qvalue <- data[i]
} else {
qvalue <- f*data[i] + (1-f)*data[i+1]
}
}
q8 <- function(data,n,p,i,f) {
np <- (n+1)*p
i <<- floor(np)
f <<- np - i
if (f==0) {
qvalue <- data[i]
} else {
if (f == 0.5) {
qvalue <- (data[i]+data[i+1])/2
} else {
if (f < 0.5) {
qvalue <- data[i]
} else {
qvalue <- data[i+1]
}
}
}
}
iqd <- function(x,def) {
x <-sort(x[!is.na(x)])
n<-length(x)
if (def==1) {
qvalue1 <- q1(x,n,0.25,i,f)
qvalue3 <- q1(x,n,0.75,i,f)
}
if (def==2) {
qvalue1 <- q2(x,n,0.25,i,f)
qvalue3 <- q2(x,n,0.75,i,f)
}
if (def==3) {
qvalue1 <- q3(x,n,0.25,i,f)
qvalue3 <- q3(x,n,0.75,i,f)
}
if (def==4) {
qvalue1 <- q4(x,n,0.25,i,f)
qvalue3 <- q4(x,n,0.75,i,f)
}
if (def==5) {
qvalue1 <- q5(x,n,0.25,i,f)
qvalue3 <- q5(x,n,0.75,i,f)
}
if (def==6) {
qvalue1 <- q6(x,n,0.25,i,f)
qvalue3 <- q6(x,n,0.75,i,f)
}
if (def==7) {
qvalue1 <- q7(x,n,0.25,i,f)
qvalue3 <- q7(x,n,0.75,i,f)
}
if (def==8) {
qvalue1 <- q8(x,n,0.25,i,f)
qvalue3 <- q8(x,n,0.75,i,f)
}
iqdiff <- qvalue3 - qvalue1
return(c(iqdiff,iqdiff/2,iqdiff/(qvalue3 + qvalue1)))
}
range <- max(x) - min(x)
lx <- length(x)
biasf <- (lx-1)/lx
varx <- var(x)
bvarx <- varx*biasf
sdx <- sqrt(varx)
mx <- mean(x)
bsdx <- sqrt(bvarx)
x2 <- x*x
mse0 <- sum(x2)/lx
xmm <- x-mx
xmm2 <- xmm*xmm
msem <- sum(xmm2)/lx
axmm <- abs(x - mx)
medx <- median(x)
axmmed <- abs(x - medx)
xmmed <- x - medx
xmmed2 <- xmmed*xmmed
msemed <- sum(xmmed2)/lx
qarr <- array(NA,dim=c(8,3))
for (j in 1:8) {
qarr[j,] <- iqd(x,j)
}
sdpo <- 0
adpo <- 0
for (i in 1:(lx-1)) {
for (j in (i+1):lx) {
ldi <- x[i]-x[j]
aldi <- abs(ldi)
sdpo = sdpo + ldi * ldi
adpo = adpo + aldi
}
}
denom <- (lx*(lx-1)/2)
sdpo = sdpo / denom
adpo = adpo / denom
gmd <- 0
for (i in 1:lx) {
for (j in 1:lx) {
ldi <- abs(x[i]-x[j])
gmd = gmd + ldi
}
}
gmd <- gmd / (lx*(lx-1))
sumx <- sum(x)
pk <- x / sumx
ck <- cumsum(pk)
dk <- array(NA,dim=lx)
for (i in 1:lx) {
if (ck[i] <= 0.5) dk[i] <- ck[i] else dk[i] <- 1 - ck[i]
}
bigd <- sum(dk) * 2 / (lx-1)
iod <- 1 - sum(pk*pk)
res[1,] <- c('Absolute range','absolute.htm', range)
res[2,] <- c('Relative range (unbiased)','relative.htm', range/sd(x))
res[3,] <- c('Relative range (biased)','relative.htm', range/sqrt(varx*biasf))
res[4,] <- c('Variance (unbiased)','unbiased.htm', varx)
res[5,] <- c('Variance (biased)','biased.htm', bvarx)
res[6,] <- c('Standard Deviation (unbiased)','unbiased1.htm', sdx)
res[7,] <- c('Standard Deviation (biased)','biased1.htm', bsdx)
res[8,] <- c('Coefficient of Variation (unbiased)','variation.htm', sdx/mx)
res[9,] <- c('Coefficient of Variation (biased)','variation.htm', bsdx/mx)
res[10,] <- c('Mean Squared Error (MSE versus 0)','mse.htm', mse0)
res[11,] <- c('Mean Squared Error (MSE versus Mean)','mse.htm', msem)
res[12,] <- c('Mean Absolute Deviation from Mean (MAD Mean)', 'mean2.htm', sum(axmm)/lx)
res[13,] <- c('Mean Absolute Deviation from Median (MAD Median)', 'median1.htm', sum(axmmed)/lx)
res[14,] <- c('Median Absolute Deviation from Mean', 'mean3.htm', median(axmm))
res[15,] <- c('Median Absolute Deviation from Median', 'median2.htm', median(axmmed))
res[16,] <- c('Mean Squared Deviation from Mean', 'mean1.htm', msem)
res[17,] <- c('Mean Squared Deviation from Median', 'median.htm', msemed)
load(file='createtable')
mylink1 <- hyperlink('difference.htm','Interquartile Difference','')
mylink2 <- paste(mylink1,hyperlink('method_1.htm','(Weighted Average at Xnp)',''),sep=' ')
res[18,] <- c('', mylink2, qarr[1,1])
mylink2 <- paste(mylink1,hyperlink('method_2.htm','(Weighted Average at X(n+1)p)',''),sep=' ')
res[19,] <- c('', mylink2, qarr[2,1])
mylink2 <- paste(mylink1,hyperlink('method_3.htm','(Empirical Distribution Function)',''),sep=' ')
res[20,] <- c('', mylink2, qarr[3,1])
mylink2 <- paste(mylink1,hyperlink('method_4.htm','(Empirical Distribution Function - Averaging)',''),sep=' ')
res[21,] <- c('', mylink2, qarr[4,1])
mylink2 <- paste(mylink1,hyperlink('method_5.htm','(Empirical Distribution Function - Interpolation)',''),sep=' ')
res[22,] <- c('', mylink2, qarr[5,1])
mylink2 <- paste(mylink1,hyperlink('method_6.htm','(Closest Observation)',''),sep=' ')
res[23,] <- c('', mylink2, qarr[6,1])
mylink2 <- paste(mylink1,hyperlink('method_7.htm','(True Basic - Statistics Graphics Toolkit)',''),sep=' ')
res[24,] <- c('', mylink2, qarr[7,1])
mylink2 <- paste(mylink1,hyperlink('method_8.htm','(MS Excel (old versions))',''),sep=' ')
res[25,] <- c('', mylink2, qarr[8,1])
mylink1 <- hyperlink('deviation.htm','Semi Interquartile Difference','')
mylink2 <- paste(mylink1,hyperlink('method_1.htm','(Weighted Average at Xnp)',''),sep=' ')
res[26,] <- c('', mylink2, qarr[1,2])
mylink2 <- paste(mylink1,hyperlink('method_2.htm','(Weighted Average at X(n+1)p)',''),sep=' ')
res[27,] <- c('', mylink2, qarr[2,2])
mylink2 <- paste(mylink1,hyperlink('method_3.htm','(Empirical Distribution Function)',''),sep=' ')
res[28,] <- c('', mylink2, qarr[3,2])
mylink2 <- paste(mylink1,hyperlink('method_4.htm','(Empirical Distribution Function - Averaging)',''),sep=' ')
res[29,] <- c('', mylink2, qarr[4,2])
mylink2 <- paste(mylink1,hyperlink('method_5.htm','(Empirical Distribution Function - Interpolation)',''),sep=' ')
res[30,] <- c('', mylink2, qarr[5,2])
mylink2 <- paste(mylink1,hyperlink('method_6.htm','(Closest Observation)',''),sep=' ')
res[31,] <- c('', mylink2, qarr[6,2])
mylink2 <- paste(mylink1,hyperlink('method_7.htm','(True Basic - Statistics Graphics Toolkit)',''),sep=' ')
res[32,] <- c('', mylink2, qarr[7,2])
mylink2 <- paste(mylink1,hyperlink('method_8.htm','(MS Excel (old versions))',''),sep=' ')
res[33,] <- c('', mylink2, qarr[8,2])
mylink1 <- hyperlink('variation1.htm','Coefficient of Quartile Variation','')
mylink2 <- paste(mylink1,hyperlink('method_1.htm','(Weighted Average at Xnp)',''),sep=' ')
res[34,] <- c('', mylink2, qarr[1,3])
mylink2 <- paste(mylink1,hyperlink('method_2.htm','(Weighted Average at X(n+1)p)',''),sep=' ')
res[35,] <- c('', mylink2, qarr[2,3])
mylink2 <- paste(mylink1,hyperlink('method_3.htm','(Empirical Distribution Function)',''),sep=' ')
res[36,] <- c('', mylink2, qarr[3,3])
mylink2 <- paste(mylink1,hyperlink('method_4.htm','(Empirical Distribution Function - Averaging)',''),sep=' ')
res[37,] <- c('', mylink2, qarr[4,3])
mylink2 <- paste(mylink1,hyperlink('method_5.htm','(Empirical Distribution Function - Interpolation)',''),sep=' ')
res[38,] <- c('', mylink2, qarr[5,3])
mylink2 <- paste(mylink1,hyperlink('method_6.htm','(Closest Observation)',''),sep=' ')
res[39,] <- c('', mylink2, qarr[6,3])
mylink2 <- paste(mylink1,hyperlink('method_7.htm','(True Basic - Statistics Graphics Toolkit)',''),sep=' ')
res[40,] <- c('', mylink2, qarr[7,3])
mylink2 <- paste(mylink1,hyperlink('method_8.htm','(MS Excel (old versions))',''),sep=' ')
res[41,] <- c('', mylink2, qarr[8,3])
res[42,] <- c('Number of all Pairs of Observations', 'pair_numbers.htm', lx*(lx-1)/2)
res[43,] <- c('Squared Differences between all Pairs of Observations', 'squared_differences.htm', sdpo)
res[44,] <- c('Mean Absolute Differences between all Pairs of Observations', 'mean_abs_differences.htm', adpo)
res[45,] <- c('Gini Mean Difference', 'gini_mean_difference.htm', gmd)
res[46,] <- c('Leik Measure of Dispersion', 'leiks_d.htm', bigd)
res[47,] <- c('Index of Diversity', 'diversity.htm', iod)
res[48,] <- c('Index of Qualitative Variation', 'qualitative_variation.htm', iod*lx/(lx-1))
res[49,] <- c('Coefficient of Dispersion', 'dispersion.htm', sum(axmm)/lx/medx)
res[50,] <- c('Observations', '', lx)
res
a<-table.start()
a<-table.row.start(a)
a<-table.element(a,'Variability - Ungrouped Data',2,TRUE)
a<-table.row.end(a)
for (i in 1:num) {
a<-table.row.start(a)
if (res[i,1] != '') {
a<-table.element(a,hyperlink(res[i,2],res[i,1],''),header=TRUE)
} else {
a<-table.element(a,res[i,2],header=TRUE)
}
a<-table.element(a,res[i,3])
a<-table.row.end(a)
}
a<-table.end(a)
table.save(a,file='mytable.tab')