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Step 2. For each symbol in the th group, calculate its phase deviation from the corresponding nominal phase as (20).
In all cases, "error" in a value or interpolated surface based on a subset of points was taken as a deviation from the corresponding result based on the full dataset of 54 points.
The developed two-parameter model results show 0.6% average absolute relative deviation from the corresponding RI experimental values, measured at 293.15 K and atmospheric pressure, and squared correlation coefficient of 0.722.
IGHV sequences were considered mutated if deviation from the corresponding germline gene was >2%.
Using the different methods (Hozo et al. Bland, Wan et al. and ABC) we obtain the various estimates of the mean and standard deviation from the corresponding sample descriptive statistics.
These results are shown in Table 5. Apparently, all perchlorate levels obtained by the standard addition method were within 20% deviation from the corresponding levels obtained by isotope dilution method, which suggested that the high levels of perchlorate in these three samples were likely due to the addition of more perchlorate containing ingredients into the toddler formula.
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Moreover, depending on the values of δeff and θeff, different axial heterogeneities will yield different deviations from the corresponding ASDEH.
While the false negative rates by the LDA approach showed large deviation from that corresponding to the preset threshold levels (≤3.0%), those by the DF approach are relatively close (≤± 0.2%).
Note that the per-AID NN-pair CT score average for a given assay are found as much as 14 standard deviation units away from the corresponding average for the random compound pairs, reflecting that the average and standard deviation of the CT scores for the random compound pair are less than those of the ST or ComboT scores.
indicates the highest curvature value found in each chromosome, for the cases where this value represented more than 3 Standard Deviation Units (SDU) from the corresponding mean.
The first model is: (6) where β j 's are unknown regression coefficients relating covariates to the mean of Y j, r1 and r2 denote the random intercept and random slope, respectively and e j is the random error with zero mean representing deviation of responses from the corresponding predicted means.
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Justyna Jupowicz-Kozak
CEO of Professional Science Editing for Scientists @ prosciediting.com