In analysis of variance, the assumption of normality, constant variance and independence are usually made, why?
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In analysis of variance, the assumption of normality, constant variance and independence are usually made, why?
This sounds like homework. We don't do homework here unless it's to play devil's advocate or to move a student along to find the answer.
"In analysis of variance, the assumption of normality, constant variance and independence are usually made. Why?"
Why do you think?
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