00:01
Okay, so to understand this correlation matrix, on the left, we've got all of the different variables.
00:08
So we've got pseudomature behaviour, for example, as the first one.
00:13
And then we've got minor debiance and so on and so on.
00:21
Along the top, then, we've got the mean and standard deviation for all of these categories listed.
00:27
So what these mean is these just give you the mean and standard deviation of the categories on the left.
00:32
So for example, for these first two, this means that the mean of pseudomature behavior is 0 and the standard deviation is 1.
00:40
The mean of minor deviance is 1 .15 and the standard deviation is 0 .24 and so on and so on.
00:48
And then next to that, we have the numbers 2 to 16.
00:56
And these just correspond again to the variables listed as 1 to 16 on the left.
01:02
The reason we don't have number one is because we don't write a correlation of any variable with itself.
01:08
Because that doesn't make sense to do...