Computes the variance among all values in a column. Input column can be of Integer or Decimal. If no numeric values are detected in the input column, the function returns
The variance of a set of values attempts to measure the spread in values around the mean. A variance of zero means that all values are the same, and a small variance means that the values are closely bunched together. A high value for variance indicates that the numbers are spread out widely. Variance is always a positive value.
Var(X) = [Sum ((X - mean(X))2)] / Count(X)
If a row contains a missing or null value, it is not factored into the calculation.
The square root of variance is standard deviation, which is used to measure variance under the assumption of a bell curve distribution. See STDEV Function.
For a version of this function computed over a rolling window of rows, see ROLLINGVAR Function.
Output: Returns the variance of the group of values from the
var(function_col_ref) [group:group_col_ref] [limit:limit_count]
|function_col_ref||Y||string||Name of column to which to apply the function|
For more information on the
limit parameters, see Pivot Transform.
Name of the column the values of which you want to calculate the variance. Column must contain Integer or Decimal values.
|Required?||Data Type||Example Value|
|Yes||String (column reference)|