Learn what residual standard deviation is, how to calculate it in regression analysis, and why it's crucial for measuring predictability and goodness-of-fit in data modeling.
The Python statistics module is a built-in module for performing simple statistical calculations. Since it's part of the standard Python library, it's available in every Python installation. To access ...
In this article, I review and explore techniques to gauge bitcoin’s risk relative to its reward and to assess its portfolio ...
Utilizing market research to inform decision-making begins with clearly identifying the objective: What specific goal am I ...
Modern portfolio theory provides a mathematical framework for assembling a portfolio of assets to maximize expected return for a given level of risk. This project aims to implement a quantum approach ...
Abstract: Traditionally, the uncertainty qualification is utilized with the known probability distribution function (PDF). However, in some scenarios, the PDFs of some uncertain variables are modeled ...
Abstract: Various approaches have been proposed for out-of-distribution (OOD) detection by augmenting models, input examples, training sets, and optimization objectives. Deviating from existing work, ...