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Mathematical statistics

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This is an old revision of this page, as edited by Dcljr (talk | contribs) at 21:55, 9 August 2004 (created stub; I really think we should separate MATH stat from APPLIED stat as much as possible, since a very different audience is interested in each). The present address (URL) is a permanent link to this revision, which may differ significantly from the current revision.

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Mathematical statistics uses probability theory and other branches of mathematics to study statistics from a purely mathematical standpoint.

Thus, for example, a random sample is denoted by a sequence of random variables,

each following a certain probability distribution (usually they are considered independent and identically distributed). The sample mean is expressed as a function of those variables,

and is therefore itself a random variable with a distribution.

By proceeding in this fashion, mathematical statistics attempts to provide a theoretical basis for many practices in applied statistics.