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Nonparametric Skew
In statistics and probability theory, the nonparametric skew is a statistic occasionally used with random variables that take real values.Arnold BC, Groeneveld RA (1995) Measuring skewness with respect to the mode. The American Statistician 49 (1) 34–38 DOI:10.1080/00031305.1995.10476109Rubio F.J.; Steel M.F.J. (2012) "On the Marshall–Olkin transformation as a skewing mechanism". ''Computational Statistics & Data Analysis''Preprint/ref> It is a measure of the skewness of a random variable's distribution—that is, the distribution's tendency to "lean" to one side or the other of the mean. Its calculation does not require any knowledge of the form of the underlying distribution—hence the name nonparametric. It has some desirable properties: it is zero for any symmetric distribution; it is unaffected by a scale shift; and it reveals either left- or right-skewness equally well. In some statistical samples it has been shown to be less powerfulTabor J (2010) Investiga ...
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Statistics
Statistics (from German language, German: ''wikt:Statistik#German, Statistik'', "description of a State (polity), state, a country") is the discipline that concerns the collection, organization, analysis, interpretation, and presentation of data. In applying statistics to a scientific, industrial, or social problem, it is conventional to begin with a statistical population or a statistical model to be studied. Populations can be diverse groups of people or objects such as "all people living in a country" or "every atom composing a crystal". Statistics deals with every aspect of data, including the planning of data collection in terms of the design of statistical survey, surveys and experimental design, experiments.Dodge, Y. (2006) ''The Oxford Dictionary of Statistical Terms'', Oxford University Press. When census data cannot be collected, statisticians collect data by developing specific experiment designs and survey sample (statistics), samples. Representative sampling as ...
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Skewness
In probability theory and statistics, skewness is a measure of the asymmetry of the probability distribution of a real-valued random variable about its mean. The skewness value can be positive, zero, negative, or undefined. For a unimodal distribution, negative skew commonly indicates that the ''tail'' is on the left side of the distribution, and positive skew indicates that the tail is on the right. In cases where one tail is long but the other tail is fat, skewness does not obey a simple rule. For example, a zero value means that the tails on both sides of the mean balance out overall; this is the case for a symmetric distribution, but can also be true for an asymmetric distribution where one tail is long and thin, and the other is short but fat. Introduction Consider the two distributions in the figure just below. Within each graph, the values on the right side of the distribution taper differently from the values on the left side. These tapering sides are called ''tail ...
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Symmetric Probability Distribution
In statistics, a symmetric probability distribution is a probability distribution—an assignment of probabilities to possible occurrences—which is unchanged when its probability density function (for continuous probability distribution) or probability mass function (for discrete random variables) is reflected around a vertical line at some value of the random variable represented by the distribution. This vertical line is the line of symmetry of the distribution. Thus the probability of being any given distance on one side of the value about which symmetry occurs is the same as the probability of being the same distance on the other side of that value. Formal definition A probability distribution is said to be symmetric if and only if there exists a value x_0 such that : f(x_0-\delta) = f(x_0+\delta) for all real numbers \delta , where ''f'' is the probability density function if the distribution is continuous or the probability mass function if the distribution is d ...
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Degrees Of Freedom
Degrees of freedom (often abbreviated df or DOF) refers to the number of independent variables or parameters of a thermodynamic system. In various scientific fields, the word "freedom" is used to describe the limits to which physical movement or other physical processes are possible. This relates to the philosophical concept to the extent that people may be considered to have as much freedom as they are physically able to exercise. Applications Statistics In statistics, degrees of freedom refers to the number of variables in a statistic calculation that can vary. It can be calculated by subtracting the number of estimated parameters from the total number of values in the sample. For example, a sample variance calculation based on n samples will have n-1 degrees of freedom, because sample variance is calculated using the sample mean as an estimate of the actual mean. Mathematics In mathematics, this notion is formalized as the dimension of a manifold or an algebraic variety. ...
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Yulia Gel
Yulia R. Gel is a professor in the Department of Mathematical Sciences at the University of Texas at Dallas and an adjunct professor in the Department of Statistics and Actuarial Science of the University of Waterloo. Gel earned her doctorate in mathematics at Saint Petersburg State University in Russia, under the supervision of Vladimir N. Fomin. After postdoctoral research at the University of Washington, she joined the Waterloo faculty in 2004, and moved to Dallas in 2014. In 2014 she was elected as a Fellow of the American Statistical Association The American Statistical Association (ASA) is the main professional organization for statisticians and related professionals in the United States. It was founded in Boston, Massachusetts on November 27, 1839, and is the second oldest continuousl ... "for theoretical contributions to nonparametric aspects of spatiotemporal processes; for promoting the application of modern statistical methodologies in law, public policy, and the e ...
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Antonietta Mira
Antonietta Mira is an Italian computational statistics, computational statistician whose research involves the application of Markov chain Monte Carlo methods to Bayesian inference. She is a professor of statistics in the Faculty of Economics and Institute of Computational Science at the Università della Svizzera italiana in Lugano, Switzerland, and professor of statistics in the University of Insubria in Italy. Education and career Mira earned a degree in economics from the University of Pavia in 1991, and a doctorate in statistics from the University of Trento in 1995. She then went to the University of Minnesota for a second doctorate in statistics, completed in 1998. Her 1998 dissertation, ''Ordering, Slicing and Splitting Monte Carlo Markov Chains'', was supervised by Luke Tierney. She became a professor at the Università della Svizzera italiana in 2007, and added a second part-time affiliation as a professor at the University of Insubria in 2015. At the Università della ...
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Student's T-distribution
In probability and statistics, Student's ''t''-distribution (or simply the ''t''-distribution) is any member of a family of continuous probability distributions that arise when estimating the mean of a normally distributed population in situations where the sample size is small and the population's standard deviation is unknown. It was developed by English statistician William Sealy Gosset under the pseudonym "Student". The ''t''-distribution plays a role in a number of widely used statistical analyses, including Student's ''t''-test for assessing the statistical significance of the difference between two sample means, the construction of confidence intervals for the difference between two population means, and in linear regression analysis. Student's ''t''-distribution also arises in the Bayesian analysis of data from a normal family. If we take a sample of n observations from a normal distribution, then the ''t''-distribution with \nu=n-1 degrees of freedom can be de ...
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Journal Of The American Statistical Association
The ''Journal of the American Statistical Association (JASA)'' is the primary journal published by the American Statistical Association, the main professional body for statisticians in the United States. It is published four times a year in March, June, September and December by Taylor & Francis, Ltd on behalf of the American Statistical Association. As a statistics journal it publishes articles primarily focused on the application of statistics, statistical theory and methods in economic, social, physical, engineering, and health sciences. The journal also includes reviews of academic books which are important to the advancement of the field. It had an impact factor of 2.063 in 2010, tenth highest in the "Statistics and Probability" category of ''Journal Citation Reports''. In a 2003 survey of statisticians, the ''Journal of the American Statistical Association'' was ranked first, among all journals, for "Applications of Statistics" and second (after ''Annals of Statistics'') f ...
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Sample Standard Deviation
In statistics, the standard deviation is a measure of the amount of variation or dispersion of a set of values. A low standard deviation indicates that the values tend to be close to the mean (also called the expected value) of the set, while a high standard deviation indicates that the values are spread out over a wider range. Standard deviation may be abbreviated SD, and is most commonly represented in mathematical texts and equations by the lower case Greek letter σ (sigma), for the population standard deviation, or the Latin letter '' s'', for the sample standard deviation. The standard deviation of a random variable, sample, statistical population, data set, or probability distribution is the square root of its variance. It is algebraically simpler, though in practice less robust, than the average absolute deviation. A useful property of the standard deviation is that, unlike the variance, it is expressed in the same unit as the data. The standard deviation of a popul ...
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Order Statistic
In statistics, the ''k''th order statistic of a statistical sample is equal to its ''k''th-smallest value. Together with rank statistics, order statistics are among the most fundamental tools in non-parametric statistics and inference. Important special cases of the order statistics are the minimum and maximum value of a sample, and (with some qualifications discussed below) the sample median and other sample quantiles. When using probability theory to analyze order statistics of random samples from a continuous distribution, the cumulative distribution function is used to reduce the analysis to the case of order statistics of the uniform distribution. Notation and examples For example, suppose that four numbers are observed or recorded, resulting in a sample of size 4. If the sample values are :6, 9, 3, 8, the order statistics would be denoted :x_=3,\ \ x_=6,\ \ x_=8,\ \ x_=9,\, where the subscript enclosed in parentheses indicates the th order statistic of the s ...
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Quantile Function
In probability and statistics, the quantile function, associated with a probability distribution of a random variable, specifies the value of the random variable such that the probability of the variable being less than or equal to that value equals the given probability. Intuitively, the quantile function associates with a range at and below a probability input the likelihood that a random variable is realized in that range for some probability distribution. It is also called the percentile function, percent-point function or inverse cumulative distribution function. Definition Strictly monotonic distribution function With reference to a continuous and strictly monotonic cumulative distribution function F_X\colon \mathbb \to ,1/math> of a random variable ''X'', the quantile function Q\colon , 1\to \mathbb returns a threshold value ''x'' below which random draws from the given c.d.f. would fall ''100*p'' percent of the time. In terms of the distribution function ''F'', the qua ...
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Expected Value
In probability theory, the expected value (also called expectation, expectancy, mathematical expectation, mean, average, or first moment) is a generalization of the weighted average. Informally, the expected value is the arithmetic mean of a large number of independently selected outcomes of a random variable. The expected value of a random variable with a finite number of outcomes is a weighted average of all possible outcomes. In the case of a continuum of possible outcomes, the expectation is defined by integration. In the axiomatic foundation for probability provided by measure theory, the expectation is given by Lebesgue integration. The expected value of a random variable is often denoted by , , or , with also often stylized as or \mathbb. History The idea of the expected value originated in the middle of the 17th century from the study of the so-called problem of points, which seeks to divide the stakes ''in a fair way'' between two players, who have to end th ...
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