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. 2021 Dec 22;127(2):341–353. doi: 10.1152/jn.00229.2021

Table 1.

Means ± standard deviation of Gaussian distributions used to generate each observation in the data set

k a b c m
1 −10 ± 2 30 ± 3 8 ± 1 −0.1 ± 0.05
2 10 ± 0.1 30 ± 2 8 ± 2 0.2 ± 0.03
3 −10 ± 0.1 35 ± 2 6 ± 1 0.1 ± 0.05
4 10 ± 0.1 35 ± 2 6 ± 1 −0.2 ± 0.03

Parameters a, b, and c determine the shape and curvature of the logistic curves, whereas m refers to the slope of the linear functions.