Wachowicz, John M. and Shrieves, Ronald E. 1980. An argument for "Generalized" Mean-Coefficient of Variation Analysis. Financial Management, 9(4): 51-58.SHRIEVES, R.E. and J. M. WACHOWICZ (1981). "A Utility Theoretic Basis for Generalized Mean-Coefficient of Variation (MCV) Analysis,"...
Govt Economist advised that while the Gini Coefficient previously released had not taken into account the income re-distribution effect brought about by government policies, the Administration would make use of the population by-census data to conduct a detailed and comprehensive analysis on [...] ...
Financial analysis Print Email Meaning and definition of Coefficient of Variation The coefficient of variation (CV) refers to a statistical measure of the distribution of data points in a data series around the mean. It represents the ratio of the standard deviation to the mean. The coefficient...
In a meta-analysis of animal risk preference (foraging birds and insects), the coeff... EU Weber,S Shafir,AR Blais - 《Psychological Review》 被引量: 827发表: 2004年 Use of Coefficient of Variation in Assessing Variability of Quantitative Assays We have derived the mathematical relationship ...
The error rates and stability values of the CV are unacceptable from both a clinical and a medico-legal standpoint. Therefore, the use of the CV for assessing sincerity of effort needs to be questioned. 展开 关键词: Grip strength meta-analysis coefficient of variation sincerity of effort ...
但少数知道怎么限制圣经文学是; 并且它也许符合一个好目的它的外在指南针与那普通的书比较。[translate] athe coefficient of variation 变化参数[translate]
A coefficient of variation (relative standard deviation) is a statistical measure of the dispersion of data points around the mean. The metric is commonly
coefficient of variation analysis, the Cr, Cu, Hg, Zn coefficient of variation is bigger than 1, explained these three metallic element is been very big the human factor, the artificial activity has caused the serious pollution to the soil, specially Cu, Hg, its coefficient of variation far ...
Advantages of the Coefficient of Variation The COV's chief advantage is its applicability to any given quantifiable data, thus paving the way for a comparative analysis between two unrelated entities. This quality separates COV from astandard deviation analysis, which cannot facilitate a meaningful com...
The coefficient of variation is 0.42 (8% ÷ 19%). The third investment, bond, ABC, has a volatility of 5% and an expected return of 8%. The coefficient of variation therefore is 0.63 (5% ÷ 8%). Investors' risk aversion differs from one investor to another. How...