Summary Statistics: Difference between revisions

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(Created page with "When we investigate a variable in a dataset, two things are great at ''summarizing'' the dataset: the ''center'' and the ''spread''. = Measuring Center = There are two ways to measure center: the mean and the median. == Mean == The '''mean''' is the average/expected value of a variable. The sample mean is denoted as <math>\bar{X}</math>, whereas the population mean is denoted as <math>\mu_X</math>. <math> \bar{X} = \frac{1}{n} \sum x_i </ma...")
 
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When we investigate a [[Variable (Statistics)|variable]] in a dataset, two things are great at ''summarizing'' the dataset: the ''center'' and the ''spread''.
When we investigate a dataset, two things are used to ''summarizing'' the dataset: the ''center'' and the ''spread''.


= Measuring Center =
= Measuring Center =
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== Mean ==
== Mean ==


The '''mean''' is the average/expected value of a variable. The sample mean is denoted as <math>\bar{X}</math>, whereas the population mean is denoted as <math>\mu_X</math>.
The '''mean''' is the average/expected value of a variable. The sample mean is denoted as <math display="inline">\bar{x}</math>, whereas the population mean is denoted as <math>\mu_X</math>.


<math>
<math>
\bar{X} = \frac{1}{n} \sum x_i
\bar{x} = \frac{1}{n} \sum x_i  
</math>
</math>


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= Measuring Spread =
= Measuring Spread =
There are three main ways to measure the spread of the dataset: range, interquartile range, and variance.
== Range ==
The '''range''' of a variable is the interval between the first statistic and the last statistic (after being ordered).
== Interquartile Range (IQR) ==
The '''interquartile range''' (IQR) is the middle 50% of the dataset. It is just from Q<sub>1</sub> to Q<sub>3</sub>.
== Variance ==
The '''variance''' measures how much the dataset deviate from the ''mean''. To be exact, it measures the average ''squared difference'' from the mean.
The reason we take the ''squared'' difference is because we want both statistics smaller than the mean and those greater than the mean to contribute to the variance.
The same variance is denoted as <math>s^2</math> and the population variance is denoted as <math>\sigma^2</math>. We have
<math>s^2 = \frac{1}{n - 1} \sum (x_i - \bar{x})^2 =  \frac{1}{n - 1} \left( \sum x_i^2 - n \bar{x}^2 \right)</math>
Without going into too much detail, the reason we use <math>n - 1</math> is because when only <math>n</math> is used, we ''always'' underestimates variance when we use the sample mean instead of the true mean
== Standard Deviation ==
Variance is difficult to interpret due to it being squared. Naturally then, we can take the square root of variance and get '''standard deviation''': the typical deviation of a data point to its mean.
== Outliers ==
'''Outliers''' are observations that appears extreme relative to the dataset. We use the following metric to determine outliers:
Upper cutoff: <math>> Q_3 + 1.5(IQR)</math>
Lower cutoff: <math>< Q_1 - 1.5(IQR)</math>
=== Robustness ===
We call a statistic '''robust''' if it is not strongly affected by outliers.
Robust statistics include median and IQR
Non-robust statistics include mean, range, and standard deviation.
= Others =
Besides the listed above, there are other statistics used to measure center and spread:
'''Spread:'''
* [[Bivariate|Bivariate data]]: covariance, correlation


[[Category: Statistics]]
[[Category: Statistics]]

Latest revision as of 01:12, 19 March 2024

When we investigate a dataset, two things are used to summarizing the dataset: the center and the spread.

Measuring Center

There are two ways to measure center: the mean and the median.

Mean

The mean is the average/expected value of a variable. The sample mean is denoted as , whereas the population mean is denoted as .

where is the sample size.

Median/Percentiles/Quartiles

The median tell us the literal center of the dataset: 50% of statistics are on the left, 50% on the right. It is denoted with

The quartiles is the same, except at 25% for the first quartile, 50% for the second (also the median), and 75% for the third. They are denoted with

The percentiles is also the same, except at a particular percentage. For example, the 80th percentile has 80% of data before it.

To calculate the P-th percentile (and thereby calculating all the other something-tiles), we have

where is the sample size.

Mode

The mode is the most frequently occurring value. It's pretty neglected lol.

Measuring Spread

There are three main ways to measure the spread of the dataset: range, interquartile range, and variance.

Range

The range of a variable is the interval between the first statistic and the last statistic (after being ordered).

Interquartile Range (IQR)

The interquartile range (IQR) is the middle 50% of the dataset. It is just from Q1 to Q3.

Variance

The variance measures how much the dataset deviate from the mean. To be exact, it measures the average squared difference from the mean.

The reason we take the squared difference is because we want both statistics smaller than the mean and those greater than the mean to contribute to the variance.

The same variance is denoted as and the population variance is denoted as . We have

Without going into too much detail, the reason we use is because when only is used, we always underestimates variance when we use the sample mean instead of the true mean

Standard Deviation

Variance is difficult to interpret due to it being squared. Naturally then, we can take the square root of variance and get standard deviation: the typical deviation of a data point to its mean.

Outliers

Outliers are observations that appears extreme relative to the dataset. We use the following metric to determine outliers:

Upper cutoff:

Lower cutoff:

Robustness

We call a statistic robust if it is not strongly affected by outliers.

Robust statistics include median and IQR

Non-robust statistics include mean, range, and standard deviation.

Others

Besides the listed above, there are other statistics used to measure center and spread:

Spread: