Statistics Toolbox | ![]() ![]() |
Syntax
Description
p = capaplot(data,specs)
estimates the mean and variance of the observations in input vector data
, and plots the pdf of the resulting T distribution. The observations in data
are assumed to be normally distributed. The output, p
, is the probability that a new observation from the estimated distribution will fall within the range specified by the two-element vector specs
. The portion of the distribution between the lower and upper bounds specified in specs
is shaded in the plot.
[p,h] = capaplot(data,specs)
additionally returns handles to the plot elements in h
.
Example
Imagine a machined part with specifications requiring a dimension to be within 3 thousandths of an inch of nominal. Suppose that the machining process cuts too thick by one thousandth of an inch on average and also has a standard deviation of one thousandth of an inch.
The probability of a new observation being within specs is 97.84%.
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