Hi,
a basic question from a MSc student in England. First of all, yeah I read
the FAQ and I didnt find anything answering my question, which is fairly
simple: I am trying to analyse how well several mathematical methods perform
to modelize a scanner. So I have, for every input data, the corresponding
output given by the scanner and the values given by the mathematical models
I am using.
First, given the distribution of the errors, I can use the usual mean-StdDev
if the distro is normal, or median-95th percentile otherwise. Any other
known methods to enhance the pertinence of the analysis? Any ideas welcome.
Thanks in advance,
Alexis
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