Standard Deviation Calculator — मानक विचलन हिंदी में
10,12,14,16,18: Mean=14, Pop SD=2.83।
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10,12,14,16,18: Mean=14, Pop SD=2.83।
SD: data variability। Finance में risk measure।
अक्सर पूछे जाने वाले प्रश्न
Pop vs Sample SD?
Population: N। Sample: N-1।
Finance में?
Fund volatility। Sharpe ratio।
68-95-99.7?
±1SD=68%, ±2=95%, ±3=99.7%।
CV?
(SD/Mean)×100।
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