Alexandria University, Faculty of Engineering, Production Department
Alexandria University, Faculty of Engineering, Production Department
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Alexandria University,
Faculty of engineering,
Production department.
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In the measure-theoretic formalization of probability
theory, a random variable is defined as
a measurable function u from a probability
space to measurable space .
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A l t l i t i : ll
t i t ti tt f
f . i t i ti ft i i
i i l i t i ti it p = 0 = /6.
A t l , fli i t ti
tt f . i t i ti ft i
i i i l i t i ti it p =
= /2.
I l, if t i l K f ll t
i i l i t i ti it t ,
it K ~ B , . ilit f tti tl
i ti l i i t ilit
: f ti
f = 0, , 2, ..., ,
i t i i l ffi i t t ft
i t i ti " ", l t C , ,
C , C . f l t
f ll : t í f il
í í .H ,t
t ti l , t C ,
iff t f i t i ti i
. f ti l
I ti f t l f i i l i t i ti
ilit , ll t t l i fill i t /2
l . i i f > /2, t ilit
l l t it l t
So, one must look to a different k and a different p
(the binomial is not symmetrical in general).
owever, its behavior is not arbitrary. There is
always an integer mthat satisfies
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A Gaussian distribution can be used to model the
error in a system where the error is caused by
relatively small and unrelated events.
This distribution is a curve which is symmetric about
the mean (i.e. a Bell shaped curve) and has a range
measured by standard deviations above and below
the mean of the data set .To better explain,
consider that a certain percentage of all data points
will fall within one standard deviation of the mean.
Likewise, more data points will fall within two
standard deviations of the mean, and so on.
owever, under this model it would require an
infinite range to capture ALL the data points thus
presenting a minor difficulty in this appraoch.
The figure below is a possible Gaussian distribution,
where the mean (ȝ) is 1 and standard deviation (ı)
is . F(x) is the number of times a certain value of x
occurs in the population. The mean is simply the
numerical average of all the samples in the
population, and the standard deviation is the
measure of how far from the mean the samples
tend to deviate. The following sections explain how
and why a normal distribution curve is used in
control and what it signifies about sets of data.
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