That describes the behavior of a network can be done in several levels, such as calculating the expectation and variance of the rate of receipt of signals from the average (mean) and variance (standard deviation) The research focused on questions related to forecast the likelihood that they can collect the Nexpected < = Ntotal which are indicators of reliability of the data collection network to choose to consider the rally seems to be the opposite function (inverse cumulative density function), and the work of survivors, as shown in the equation.
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