In this tutorial, we look once again at the behavior of the sample mean in repeated sampling. We introduce the use of the pnorm() function to approximate the proportion of observation below a given value in a normal model.
In this activity, we explore the theoretical and empirical behavior of the sum of two dice rolled simultaneously.
In this tutorial, we use R to build a fundamental understanding of the behavior of normally distributed variables.
This is a final data science project by Champigny, Durocher and Smith.
Testing use of R Markdown