根据度量值计算出平均值和标准偏差。
From the measurements, compute the mean and standard deviation.
平均值和标准背离值同样是被用到的。
那么,如何用平均值和标准偏差判断两个任务中哪一个更快呢?
So, how can the mean and standard deviation be used to determine which of two tasks is faster?
And then I could also do a Gaussian one here, with the mean of and the standard deviation of volatility divided by 2.
然后我在这里再写一个高斯分布的函数,它的浮动值的平均值和,标准偏差值都除了2。
It could be normal, everything, that would be a Gaussian, where if you recall there was a mean, and a standard deviation, and most values were going to be close to the mean.
可能是正态分布,也就是高斯分布,只要有平均值和标准偏差值,你就可以进行调用,大部分的值都是集中在平均值附近的。
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