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Q-function

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This is an old revision of this page, as edited by Zvika (talk | contribs) at 07:53, 7 April 2009 (time for this to be an article of its own. further info will be added soon. some of the material was adapted from normal distribution.). The present address (URL) is a permanent link to this revision, which may differ significantly from the current revision.

In statistics, the Q-function is defined as the tail probability of the normalized Gaussian distribution. In other words, is the probability that a normalized Gaussian random variable will obtain a value larger than .

Formally, the Q-function is defined as

The Q-function can be expressed in terms of the error function as