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For the four PTC sets, not all scores for the classification of test sets were calculated normally.
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Pearson correlation coefficients and Spearman correlation coefficients were calculated for normally distributed and non-normally distributed variables, respectively.
Pearson correlation coefficient were calculated for normally distributed and Spearman correlation coefficient for non-normally distributed variables.
Means and standard deviations were calculated for normally distributed continuous variables, medians and interquartile ranges for non-normally distributed continuous variables, and counts and percentages calculated for categorical variables.
Mean and standard deviation (± SD) were calculated for normally distributed variables, and median and interquartile ranges (IR) for non-normally distributed variables.
Mean and standard deviation (SD) were calculated for normally distributed variables, and median and interquartile range (IQR) for non-normally distributed variables.
Means and standard deviations were calculated for normally distributed variables, and medians and interquartile ranges were calculated for non-normally distributed variables.
The χ2 value was calculated and normally insignificant value of χ2 considered good for the fit model.
The difference was calculated assuming normally distributed errors and equal variances and was carried out using GraphPad Prism version 6.03 (http://www.graphpad.com).
One-way ANOVA was calculated for normally distributed data.
Means and standard deviations (SDs) were calculated for normally distributed variables.
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