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Statistical inference is the process of using
data analysis Data analysis is a process of inspecting, cleansing, transforming, and modeling data with the goal of discovering useful information, informing conclusions, and supporting decision-making. Data analysis has multiple facets and approaches, enc ...
to infer properties of an underlying distribution of probability.Upton, G., Cook, I. (2008) ''Oxford Dictionary of Statistics'', OUP. . Inferential statistical analysis infers properties of a
population Population typically refers to the number of people in a single area, whether it be a city or town, region, country, continent, or the world. Governments typically quantify the size of the resident population within their jurisdiction using a ...
, for example by testing hypotheses and deriving estimates. It is assumed that the observed data set is
sampled Sample or samples may refer to: Base meaning * Sample (statistics), a subset of a population – complete data set * Sample (signal), a digital discrete sample of a continuous analog signal * Sample (material), a specimen or small quantity of so ...
from a larger population. Inferential statistics can be contrasted with
descriptive statistics A descriptive statistic (in the count noun sense) is a summary statistic that quantitatively describes or summarizes features from a collection of information, while descriptive statistics (in the mass noun sense) is the process of using and an ...
. Descriptive statistics is solely concerned with properties of the observed data, and it does not rest on the assumption that the data come from a larger population. In
machine learning Machine learning (ML) is a field of inquiry devoted to understanding and building methods that 'learn', that is, methods that leverage data to improve performance on some set of tasks. It is seen as a part of artificial intelligence. Machin ...
, the term ''inference'' is sometimes used instead to mean "make a prediction, by evaluating an already trained model"; in this context inferring properties of the model is referred to as ''training'' or ''learning'' (rather than ''inference''), and using a model for prediction is referred to as ''inference'' (instead of ''prediction''); see also
predictive inference Statistical inference is the process of using data analysis to infer properties of an underlying distribution of probability.Upton, G., Cook, I. (2008) ''Oxford Dictionary of Statistics'', OUP. . Inferential statistical analysis infers propertie ...
.


Introduction

Statistical inference makes propositions about a population, using data drawn from the population with some form of sampling. Given a hypothesis about a population, for which we wish to draw inferences, statistical inference consists of (first) selecting a
statistical model A statistical model is a mathematical model that embodies a set of statistical assumptions concerning the generation of sample data (and similar data from a larger population). A statistical model represents, often in considerably idealized form, ...
of the process that generates the data and (second) deducing propositions from the model. Konishi & Kitagawa state, "The majority of the problems in statistical inference can be considered to be problems related to statistical modeling". Relatedly, Sir David Cox has said, "How hetranslation from subject-matter problem to statistical model is done is often the most critical part of an analysis". The conclusion of a statistical inference is a statistical
proposition In logic and linguistics, a proposition is the meaning of a declarative sentence. In philosophy, " meaning" is understood to be a non-linguistic entity which is shared by all sentences with the same meaning. Equivalently, a proposition is the no ...
. Some common forms of statistical proposition are the following: * a
point estimate In statistics, point estimation involves the use of sample data to calculate a single value (known as a point estimate since it identifies a point in some parameter space) which is to serve as a "best guess" or "best estimate" of an unknown popu ...
, i.e. a particular value that best approximates some parameter of interest; * an
interval estimate In statistics, interval estimation is the use of sample data to estimate an '' interval'' of plausible values of a parameter of interest. This is in contrast to point estimation, which gives a single value. The most prevalent forms of interval e ...
, e.g. a confidence interval (or set estimate), i.e. an interval constructed using a dataset drawn from a population so that, under repeated sampling of such datasets, such intervals would contain the true parameter value with the
probability Probability is the branch of mathematics concerning numerical descriptions of how likely an event is to occur, or how likely it is that a proposition is true. The probability of an event is a number between 0 and 1, where, roughly speakin ...
at the stated
confidence level In frequentist statistics, a confidence interval (CI) is a range of estimates for an unknown parameter. A confidence interval is computed at a designated ''confidence level''; the 95% confidence level is most common, but other levels, such as ...
; * a
credible interval In Bayesian statistics, a credible interval is an interval within which an unobserved parameter value falls with a particular probability. It is an interval in the domain of a posterior probability distribution or a predictive distribution. Th ...
, i.e. a set of values containing, for example, 95% of posterior belief; * rejection of a
hypothesis A hypothesis (plural hypotheses) is a proposed explanation for a phenomenon. For a hypothesis to be a scientific hypothesis, the scientific method requires that one can test it. Scientists generally base scientific hypotheses on previous obser ...
; * clustering or
classification Classification is a process related to categorization, the process in which ideas and objects are recognized, differentiated and understood. Classification is the grouping of related facts into classes. It may also refer to: Business, organizat ...
of data points into groups.


Models and assumptions

Any statistical inference requires some assumptions. A statistical model is a set of assumptions concerning the generation of the observed data and similar data. Descriptions of statistical models usually emphasize the role of population quantities of interest, about which we wish to draw inference.Cox (2006) page 2 Descriptive statistics are typically used as a preliminary step before more formal inferences are drawn.


Degree of models/assumptions

Statisticians distinguish between three levels of modeling assumptions; * Fully parametric: The probability distributions describing the data-generation process are assumed to be fully described by a family of probability distributions involving only a finite number of unknown parameters. For example, one may assume that the distribution of population values is truly Normal, with unknown mean and variance, and that datasets are generated by 'simple' random sampling. The family of
generalized linear models In statistics, a generalized linear model (GLM) is a flexible generalization of ordinary linear regression. The GLM generalizes linear regression by allowing the linear model to be related to the response variable via a ''link function'' and b ...
is a widely used and flexible class of parametric models. *
Non-parametric Nonparametric statistics is the branch of statistics that is not based solely on parametrized families of probability distributions (common examples of parameters are the mean and variance). Nonparametric statistics is based on either being distri ...
: The assumptions made about the process generating the data are much less than in parametric statistics and may be minimal. For example, every continuous probability distribution has a median, which may be estimated using the sample median or the Hodges–Lehmann–Sen estimator, which has good properties when the data arise from simple random sampling. * Semi-parametric: This term typically implies assumptions 'in between' fully and non-parametric approaches. For example, one may assume that a population distribution has a finite mean. Furthermore, one may assume that the mean response level in the population depends in a truly linear manner on some covariate (a parametric assumption) but not make any parametric assumption describing the variance around that mean (i.e. about the presence or possible form of any
heteroscedasticity In statistics, a sequence (or a vector) of random variables is homoscedastic () if all its random variables have the same finite variance. This is also known as homogeneity of variance. The complementary notion is called heteroscedasticity. The s ...
). More generally, semi-parametric models can often be separated into 'structural' and 'random variation' components. One component is treated parametrically and the other non-parametrically. The well-known Cox model is a set of semi-parametric assumptions.


Importance of valid models/assumptions

Whatever level of assumption is made, correctly calibrated inference, in general, requires these assumptions to be correct; i.e. that the data-generating mechanisms really have been correctly specified. Incorrect assumptions of ' simple' random sampling can invalidate statistical inference. More complex semi- and fully parametric assumptions are also cause for concern. For example, incorrectly assuming the Cox model can in some cases lead to faulty conclusions. Incorrect assumptions of Normality in the population also invalidates some forms of regression-based inference. The use of any parametric model is viewed skeptically by most experts in sampling human populations: "most sampling statisticians, when they deal with confidence intervals at all, limit themselves to statements about stimatorsbased on very large samples, where the central limit theorem ensures that these stimatorswill have distributions that are nearly normal." In particular, a normal distribution "would be a totally unrealistic and catastrophically unwise assumption to make if we were dealing with any kind of economic population." Here, the central limit theorem states that the distribution of the sample mean "for very large samples" is approximately normally distributed, if the distribution is not heavy-tailed.


Approximate distributions

Given the difficulty in specifying exact distributions of sample statistics, many methods have been developed for approximating these. With finite samples, approximation results measure how close a limiting distribution approaches the statistic's
sample distribution In statistics, an empirical distribution function (commonly also called an empirical Cumulative Distribution Function, eCDF) is the distribution function associated with the empirical measure of a sample. This cumulative distribution function ...
: For example, with 10,000 independent samples the
normal distribution In statistics, a normal distribution or Gaussian distribution is a type of continuous probability distribution for a real-valued random variable. The general form of its probability density function is : f(x) = \frac e^ The parameter \mu i ...
approximates (to two digits of accuracy) the distribution of the
sample mean The sample mean (or "empirical mean") and the sample covariance are statistics computed from a sample of data on one or more random variables. The sample mean is the average value (or mean value) of a sample of numbers taken from a larger pop ...
for many population distributions, by the Berry–Esseen theorem. Jörgen Hoffman-Jörgensen's ''Probability With a View Towards Statistics'', Volume I. Page 399 Yet for many practical purposes, the normal approximation provides a good approximation to the sample-mean's distribution when there are 10 (or more) independent samples, according to simulation studies and statisticians' experience. Following Kolmogorov's work in the 1950s, advanced statistics uses
approximation theory In mathematics, approximation theory is concerned with how functions can best be approximated with simpler functions, and with quantitatively characterizing the errors introduced thereby. Note that what is meant by ''best'' and ''simpler'' ...
and
functional analysis Functional analysis is a branch of mathematical analysis, the core of which is formed by the study of vector spaces endowed with some kind of limit-related structure (e.g. inner product, norm, topology, etc.) and the linear functions defined on ...
to quantify the error of approximation. In this approach, the
metric geometry In mathematics, a metric space is a set together with a notion of ''distance'' between its elements, usually called points. The distance is measured by a function called a metric or distance function. Metric spaces are the most general sett ...
of
probability distribution In probability theory and statistics, a probability distribution is the mathematical function that gives the probabilities of occurrence of different possible outcomes for an experiment. It is a mathematical description of a random phenomenon ...
s is studied; this approach quantifies approximation error with, for example, the
Kullback–Leibler divergence In mathematical statistics, the Kullback–Leibler divergence (also called relative entropy and I-divergence), denoted D_\text(P \parallel Q), is a type of statistical distance: a measure of how one probability distribution ''P'' is different fro ...
,
Bregman divergence In mathematics, specifically statistics and information geometry, a Bregman divergence or Bregman distance is a measure of difference between two points, defined in terms of a strictly convex function; they form an important class of divergences. ...
, and the
Hellinger distance In probability and statistics, the Hellinger distance (closely related to, although different from, the Bhattacharyya distance) is used to quantify the similarity between two probability distributions. It is a type of ''f''-divergence. The Helli ...
. With indefinitely large samples, limiting results like the
central limit theorem In probability theory, the central limit theorem (CLT) establishes that, in many situations, when independent random variables are summed up, their properly normalized sum tends toward a normal distribution even if the original variables themselv ...
describe the sample statistic's limiting distribution if one exists. Limiting results are not statements about finite samples, and indeed are irrelevant to finite samples. However, the asymptotic theory of limiting distributions is often invoked for work with finite samples. For example, limiting results are often invoked to justify the generalized method of moments and the use of
generalized estimating equation In statistics, a generalized estimating equation (GEE) is used to estimate the parameters of a generalized linear model with a possible unmeasured correlation between observations from different timepoints. Although some believe that Generalized e ...
s, which are popular in
econometrics Econometrics is the application of statistical methods to economic data in order to give empirical content to economic relationships.M. Hashem Pesaran (1987). "Econometrics," '' The New Palgrave: A Dictionary of Economics'', v. 2, p. 8 p. 8� ...
and
biostatistics Biostatistics (also known as biometry) are the development and application of statistical methods to a wide range of topics in biology. It encompasses the design of biological experiments, the collection and analysis of data from those experimen ...
. The magnitude of the difference between the limiting distribution and the true distribution (formally, the 'error' of the approximation) can be assessed using simulation. The heuristic application of limiting results to finite samples is common practice in many applications, especially with low-dimensional models with log-concave
likelihood The likelihood function (often simply called the likelihood) represents the probability of random variable realizations conditional on particular values of the statistical parameters. Thus, when evaluated on a given sample, the likelihood functi ...
s (such as with one-parameter
exponential families In probability and statistics, an exponential family is a parametric set of probability distributions of a certain form, specified below. This special form is chosen for mathematical convenience, including the enabling of the user to calculat ...
).


Randomization-based models

For a given dataset that was produced by a randomization design, the randomization distribution of a statistic (under the null-hypothesis) is defined by evaluating the test statistic for all of the plans that could have been generated by the randomization design. In frequentist inference, the randomization allows inferences to be based on the randomization distribution rather than a subjective model, and this is important especially in survey sampling and design of experiments.Hinkelmann and Kempthorne(2008) Statistical inference from randomized studies is also more straightforward than many other situations. In
Bayesian inference Bayesian inference is a method of statistical inference in which Bayes' theorem is used to update the probability for a hypothesis as more evidence or information becomes available. Bayesian inference is an important technique in statistics, and ...
, randomization is also of importance: in
survey sampling In statistics, survey sampling describes the process of selecting a sample of elements from a target population to conduct a survey. The term " survey" may refer to many different types or techniques of observation. In survey sampling it most ofte ...
, use of
sampling without replacement In statistics, a simple random sample (or SRS) is a subset of individuals (a sample) chosen from a larger set (a population) in which a subset of individuals are chosen randomly, all with the same probability. It is a process of selecting a sam ...
ensures the
exchangeability In statistics, an exchangeable sequence of random variables (also sometimes interchangeable) is a sequence ''X''1, ''X''2, ''X''3, ... (which may be finitely or infinitely long) whose joint probability distribution does not change whe ...
of the sample with the population; in randomized experiments, randomization warrants a
missing at random In statistics, missing data, or missing values, occur when no data value is stored for the variable in an observation. Missing data are a common occurrence and can have a significant effect on the conclusions that can be drawn from the data. Mi ...
assumption for
covariate Dependent and independent variables are variables in mathematical modeling, statistical modeling and experimental sciences. Dependent variables receive this name because, in an experiment, their values are studied under the supposition or deman ...
information. Objective randomization allows properly inductive procedures. Many statisticians prefer randomization-based analysis of data that was generated by well-defined randomization procedures. (However, it is true that in fields of science with developed theoretical knowledge and experimental control, randomized experiments may increase the costs of experimentation without improving the quality of inferences.) Similarly, results from
randomized experiment In science, randomized experiments are the experiments that allow the greatest reliability and validity of statistical estimates of treatment effects. Randomization-based inference is especially important in experimental design and in survey sampl ...
s are recommended by leading statistical authorities as allowing inferences with greater reliability than do observational studies of the same phenomena. However, a good observational study may be better than a bad randomized experiment. The statistical analysis of a randomized experiment may be based on the randomization scheme stated in the experimental protocol and does not need a subjective model. However, at any time, some hypotheses cannot be tested using objective statistical models, which accurately describe randomized experiments or random samples. In some cases, such randomized studies are uneconomical or unethical.


Model-based analysis of randomized experiments

It is standard practice to refer to a statistical model, e.g., a linear or logistic models, when analyzing data from randomized experiments. However, the randomization scheme guides the choice of a statistical model. It is not possible to choose an appropriate model without knowing the randomization scheme. Seriously misleading results can be obtained analyzing data from randomized experiments while ignoring the experimental protocol; common mistakes include forgetting the blocking used in an experiment and confusing repeated measurements on the same experimental unit with independent replicates of the treatment applied to different experimental units.


Model-free randomization inference

Model-free techniques provide a complement to model-based methods, which employ reductionist strategies of reality-simplification. The former combine, evolve, ensemble and train algorithms dynamically adapting to the contextual affinities of a process and learning the intrinsic characteristics of the observations. For example, model-free simple linear regression is based either on * a ''random design'', where the pairs of observations (X_1,Y_1), (X_2,Y_2), \cdots , (X_n,Y_n) are independent and identically distributed (iid), or * a ''deterministic design'', where the variables X_1, X_2, \cdots, X_n are deterministic, but the corresponding response variables Y_1,Y_2, \cdots, Y_n are random and independent with a common conditional distribution, i.e., P\left (Y_j \leq y , X_j =x\right ) = D_x(y), which is independent of the index j. In either case, the model-free randomization inference for features of the common conditional distribution D_x(.) relies on some regularity conditions, e.g. functional smoothness. For instance, model-free randomization inference for the population feature ''conditional mean'', \mu(x)=E(Y , X = x), can be consistently estimated via local averaging or local polynomial fitting, under the assumption that \mu(x) is smooth. Also, relying on asymptotic normality or resampling, we can construct confidence intervals for the population feature, in this case, the ''conditional mean'', \mu(x).


Paradigms for inference

Different schools of statistical inference have become established. These schools—or "paradigms"—are not mutually exclusive, and methods that work well under one paradigm often have attractive interpretations under other paradigms. Bandyopadhyay & Forster describe four paradigms: The classical (or
frequentist Frequentist inference is a type of statistical inference based in frequentist probability, which treats “probability” in equivalent terms to “frequency” and draws conclusions from sample-data by means of emphasizing the frequency or pr ...
) paradigm, the
Bayesian Thomas Bayes (/beɪz/; c. 1701 – 1761) was an English statistician, philosopher, and Presbyterian minister. Bayesian () refers either to a range of concepts and approaches that relate to statistical methods based on Bayes' theorem, or a follower ...
paradigm, the likelihoodist paradigm, and the Akaikean-Information Criterion-based paradigm.


Frequentist inference

This paradigm calibrates the plausibility of propositions by considering (notional) repeated sampling of a population distribution to produce datasets similar to the one at hand. By considering the dataset's characteristics under repeated sampling, the frequentist properties of a statistical proposition can be quantified—although in practice this quantification may be challenging.


Examples of frequentist inference

* ''p''-value * Confidence interval *
Null hypothesis In scientific research, the null hypothesis (often denoted ''H''0) is the claim that no difference or relationship exists between two sets of data or variables being analyzed. The null hypothesis is that any experimentally observed difference is d ...
significance testing


Frequentist inference, objectivity, and decision theory

One interpretation of
frequentist inference Frequentist inference is a type of statistical inference based in frequentist probability, which treats “probability” in equivalent terms to “frequency” and draws conclusions from sample-data by means of emphasizing the frequency or pro ...
(or classical inference) is that it is applicable only in terms of
frequency probability Frequentist probability or frequentism is an interpretation of probability; it defines an event's probability as the limit of its relative frequency in many trials (the long-run probability). Probabilities can be found (in principle) by a repe ...
; that is, in terms of repeated sampling from a population. However, the approach of Neyman develops these procedures in terms of pre-experiment probabilities. That is, before undertaking an experiment, one decides on a rule for coming to a conclusion such that the probability of being correct is controlled in a suitable way: such a probability need not have a frequentist or repeated sampling interpretation. In contrast, Bayesian inference works in terms of conditional probabilities (i.e. probabilities conditional on the observed data), compared to the marginal (but conditioned on unknown parameters) probabilities used in the frequentist approach. The frequentist procedures of significance testing and confidence intervals can be constructed without regard to
utility function As a topic of economics, utility is used to model worth or value. Its usage has evolved significantly over time. The term was introduced initially as a measure of pleasure or happiness as part of the theory of utilitarianism by moral philosophe ...
s. However, some elements of frequentist statistics, such as
statistical decision theory Decision theory (or the theory of choice; not to be confused with choice theory) is a branch of applied probability theory concerned with the theory of making decisions based on assigning probabilities to various factors and assigning numerical ...
, do incorporate
utility function As a topic of economics, utility is used to model worth or value. Its usage has evolved significantly over time. The term was introduced initially as a measure of pleasure or happiness as part of the theory of utilitarianism by moral philosophe ...
s. In particular, frequentist developments of optimal inference (such as
minimum-variance unbiased estimator In statistics a minimum-variance unbiased estimator (MVUE) or uniformly minimum-variance unbiased estimator (UMVUE) is an unbiased estimator that has lower variance than any other unbiased estimator for all possible values of the parameter. For pra ...
s, or
uniformly most powerful test In statistical hypothesis testing, a uniformly most powerful (UMP) test is a hypothesis test which has the greatest power 1 - \beta among all possible tests of a given size ''α''. For example, according to the Neyman–Pearson lemma, the likelih ...
ing) make use of
loss function In mathematical optimization and decision theory, a loss function or cost function (sometimes also called an error function) is a function that maps an event or values of one or more variables onto a real number intuitively representing some "cos ...
s, which play the role of (negative) utility functions. Loss functions need not be explicitly stated for statistical theorists to prove that a statistical procedure has an optimality property. However, loss-functions are often useful for stating optimality properties: for example, median-unbiased estimators are optimal under
absolute value In mathematics, the absolute value or modulus of a real number x, is the non-negative value without regard to its sign. Namely, , x, =x if is a positive number, and , x, =-x if x is negative (in which case negating x makes -x positive), an ...
loss functions, in that they minimize expected loss, and
least squares The method of least squares is a standard approach in regression analysis to approximate the solution of overdetermined systems (sets of equations in which there are more equations than unknowns) by minimizing the sum of the squares of the re ...
estimators are optimal under squared error loss functions, in that they minimize expected loss. While statisticians using frequentist inference must choose for themselves the parameters of interest, and the
estimators In statistics, an estimator is a rule for calculating an estimate of a given quantity based on observed data: thus the rule (the estimator), the quantity of interest (the estimand) and its result (the estimate) are distinguished. For example, the ...
/
test statistic A test statistic is a statistic (a quantity derived from the sample) used in statistical hypothesis testing.Berger, R. L.; Casella, G. (2001). ''Statistical Inference'', Duxbury Press, Second Edition (p.374) A hypothesis test is typically specifie ...
to be used, the absence of obviously explicit utilities and prior distributions has helped frequentist procedures to become widely viewed as 'objective'.


Bayesian inference

The Bayesian calculus describes degrees of belief using the 'language' of probability; beliefs are positive, integrate into one, and obey probability axioms. Bayesian inference uses the available posterior beliefs as the basis for making statistical propositions. There are several different justifications for using the Bayesian approach.


Examples of Bayesian inference

*
Credible interval In Bayesian statistics, a credible interval is an interval within which an unobserved parameter value falls with a particular probability. It is an interval in the domain of a posterior probability distribution or a predictive distribution. Th ...
for
interval estimation In statistics, interval estimation is the use of sample data to estimate an '' interval'' of plausible values of a parameter of interest. This is in contrast to point estimation, which gives a single value. The most prevalent forms of interval e ...
*
Bayes factor The Bayes factor is a ratio of two competing statistical models represented by their marginal likelihood, and is used to quantify the support for one model over the other. The models in questions can have a common set of parameters, such as a nu ...
s for model comparison


Bayesian inference, subjectivity and decision theory

Many informal Bayesian inferences are based on "intuitively reasonable" summaries of the posterior. For example, the posterior mean, median and mode, highest posterior density intervals, and Bayes Factors can all be motivated in this way. While a user's
utility function As a topic of economics, utility is used to model worth or value. Its usage has evolved significantly over time. The term was introduced initially as a measure of pleasure or happiness as part of the theory of utilitarianism by moral philosophe ...
need not be stated for this sort of inference, these summaries do all depend (to some extent) on stated prior beliefs, and are generally viewed as subjective conclusions. (Methods of prior construction which do not require external input have been proposed but not yet fully developed.) Formally, Bayesian inference is calibrated with reference to an explicitly stated utility, or loss function; the 'Bayes rule' is the one which maximizes expected utility, averaged over the posterior uncertainty. Formal Bayesian inference therefore automatically provides
optimal decision An optimal decision is a decision that leads to at least as good a known or expected outcome as all other available decision options. It is an important concept in decision theory. In order to compare the different decision outcomes, one commonly ...
s in a decision theoretic sense. Given assumptions, data and utility, Bayesian inference can be made for essentially any problem, although not every statistical inference need have a Bayesian interpretation. Analyses which are not formally Bayesian can be (logically) incoherent; a feature of Bayesian procedures which use proper priors (i.e. those integrable to one) is that they are guaranteed to be
coherent Coherence, coherency, or coherent may refer to the following: Physics * Coherence (physics), an ideal property of waves that enables stationary (i.e. temporally and spatially constant) interference * Coherence (units of measurement), a deriv ...
. Some advocates of
Bayesian inference Bayesian inference is a method of statistical inference in which Bayes' theorem is used to update the probability for a hypothesis as more evidence or information becomes available. Bayesian inference is an important technique in statistics, and ...
assert that inference ''must'' take place in this decision-theoretic framework, and that
Bayesian inference Bayesian inference is a method of statistical inference in which Bayes' theorem is used to update the probability for a hypothesis as more evidence or information becomes available. Bayesian inference is an important technique in statistics, and ...
should not conclude with the evaluation and summarization of posterior beliefs.


Likelihood-based inference

Likelihoodism approaches statistics by using the
likelihood function The likelihood function (often simply called the likelihood) represents the probability of random variable realizations conditional on particular values of the statistical parameters. Thus, when evaluated on a given sample, the likelihood functi ...
. Some likelihoodists reject inference, considering statistics as only computing support from evidence. Others, however, propose inference based on the likelihood function, of which the best-known is
maximum likelihood estimation In statistics, maximum likelihood estimation (MLE) is a method of estimating the parameters of an assumed probability distribution, given some observed data. This is achieved by maximizing a likelihood function so that, under the assumed statis ...
.


AIC-based inference

The ''
Akaike information criterion The Akaike information criterion (AIC) is an estimator of prediction error and thereby relative quality of statistical models for a given set of data. Given a collection of models for the data, AIC estimates the quality of each model, relative to e ...
'' (AIC) is an
estimator In statistics, an estimator is a rule for calculating an estimate of a given quantity based on observed data: thus the rule (the estimator), the quantity of interest (the estimand) and its result (the estimate) are distinguished. For example, the ...
of the relative quality of
statistical model A statistical model is a mathematical model that embodies a set of statistical assumptions concerning the generation of sample data (and similar data from a larger population). A statistical model represents, often in considerably idealized form, ...
s for a given set of data. Given a collection of models for the data, AIC estimates the quality of each model, relative to each of the other models. Thus, AIC provides a means for
model selection Model selection is the task of selecting a statistical model from a set of candidate models, given data. In the simplest cases, a pre-existing set of data is considered. However, the task can also involve the design of experiments such that the ...
. AIC is founded on
information theory Information theory is the scientific study of the quantification, storage, and communication of information. The field was originally established by the works of Harry Nyquist and Ralph Hartley, in the 1920s, and Claude Shannon in the 1940s. ...
: it offers an estimate of the relative information lost when a given model is used to represent the process that generated the data. (In doing so, it deals with the trade-off between the
goodness of fit The goodness of fit of a statistical model describes how well it fits a set of observations. Measures of goodness of fit typically summarize the discrepancy between observed values and the values expected under the model in question. Such measure ...
of the model and the simplicity of the model.)


Other paradigms for inference


Minimum description length

The minimum description length (MDL) principle has been developed from ideas in
information theory Information theory is the scientific study of the quantification, storage, and communication of information. The field was originally established by the works of Harry Nyquist and Ralph Hartley, in the 1920s, and Claude Shannon in the 1940s. ...
Soofi (2000) and the theory of
Kolmogorov complexity In algorithmic information theory (a subfield of computer science and mathematics), the Kolmogorov complexity of an object, such as a piece of text, is the length of a shortest computer program (in a predetermined programming language) that pr ...
.Hansen & Yu (2001) The (MDL) principle selects statistical models that maximally compress the data; inference proceeds without assuming counterfactual or non-falsifiable "data-generating mechanisms" or
probability models A statistical model is a mathematical model that embodies a set of statistical assumptions concerning the generation of sample data (and similar data from a larger population). A statistical model represents, often in considerably idealized form, ...
for the data, as might be done in frequentist or Bayesian approaches. However, if a "data generating mechanism" does exist in reality, then according to Shannon's
source coding theorem In information theory, Shannon's source coding theorem (or noiseless coding theorem) establishes the limits to possible data compression, and the operational meaning of the Shannon entropy. Named after Claude Shannon, the source coding theorem ...
it provides the MDL description of the data, on average and asymptotically.Hansen and Yu (2001), page 747. In minimizing description length (or descriptive complexity), MDL estimation is similar to
maximum likelihood estimation In statistics, maximum likelihood estimation (MLE) is a method of estimating the parameters of an assumed probability distribution, given some observed data. This is achieved by maximizing a likelihood function so that, under the assumed statis ...
and
maximum a posteriori estimation In Bayesian statistics, a maximum a posteriori probability (MAP) estimate is an estimate of an unknown quantity, that equals the mode of the posterior distribution. The MAP can be used to obtain a point estimate of an unobserved quantity on th ...
(using maximum-entropy Bayesian priors). However, MDL avoids assuming that the underlying probability model is known; the MDL principle can also be applied without assumptions that e.g. the data arose from independent sampling.Rissanen (1989), page 84 The MDL principle has been applied in communication-
coding theory Coding theory is the study of the properties of codes and their respective fitness for specific applications. Codes are used for data compression, cryptography, error detection and correction, data transmission and data storage. Codes are studied ...
in
information theory Information theory is the scientific study of the quantification, storage, and communication of information. The field was originally established by the works of Harry Nyquist and Ralph Hartley, in the 1920s, and Claude Shannon in the 1940s. ...
, in
linear regression In statistics, linear regression is a linear approach for modelling the relationship between a scalar response and one or more explanatory variables (also known as dependent and independent variables). The case of one explanatory variable is cal ...
, and in data mining. The evaluation of MDL-based inferential procedures often uses techniques or criteria from
computational complexity theory In theoretical computer science and mathematics, computational complexity theory focuses on classifying computational problems according to their resource usage, and relating these classes to each other. A computational problem is a task solved ...
.


Fiducial inference

Fiducial inference Fiducial inference is one of a number of different types of statistical inference. These are rules, intended for general application, by which conclusions can be drawn from samples of data. In modern statistical practice, attempts to work with ...
was an approach to statistical inference based on
fiducial probability Fiducial inference is one of a number of different types of statistical inference. These are rules, intended for general application, by which conclusions can be drawn from samples of data. In modern statistical practice, attempts to work with ...
, also known as a "fiducial distribution". In subsequent work, this approach has been called ill-defined, extremely limited in applicability, and even fallacious. However this argument is the same as that which shows that a so-called
confidence distribution In statistical inference, the concept of a confidence distribution (CD) has often been loosely referred to as a distribution function on the parameter space that can represent confidence intervals of all levels for a parameter of interest. Histori ...
is not a valid
probability distribution In probability theory and statistics, a probability distribution is the mathematical function that gives the probabilities of occurrence of different possible outcomes for an experiment. It is a mathematical description of a random phenomenon ...
and, since this has not invalidated the application of confidence intervals, it does not necessarily invalidate conclusions drawn from fiducial arguments. An attempt was made to reinterpret the early work of Fisher's fiducial argument as a special case of an inference theory using
Upper and lower probabilities Upper and lower probabilities are representations of imprecise probability. Whereas probability theory uses a single number, the probability, to describe how likely an event is to occur, this method uses two numbers: the upper probability of the eve ...
.


Structural inference

Developing ideas of Fisher and of Pitman from 1938 to 1939,
George A. Barnard George Alfred Barnard (23 September 1915 – 9 August 2002) was a British statistician known particularly for his work on the foundations of statistics and on quality control. Biography George Barnard was born in Walthamstow, London ...
developed "structural inference" or "pivotal inference", an approach using invariant probabilities on group families. Barnard reformulated the arguments behind fiducial inference on a restricted class of models on which "fiducial" procedures would be well-defined and useful.
Donald A. S. Fraser Donald Alexander Stuart Fraser (April 29, 1925 - December 21, 2020) was a Canadian statistician, and Professor Emeritus at the University of Toronto. In 2012 he was appointed an Officer of the Order of Canada for his influence in the advancement ...
developed a general theory for structural inference based on
group theory In abstract algebra, group theory studies the algebraic structures known as groups. The concept of a group is central to abstract algebra: other well-known algebraic structures, such as rings, fields, and vector spaces, can all be seen as ...
and applied this to linear models. The theory formulated by Fraser has close links to decision theory and Bayesian statistics and can provide optimal frequentist decision rules if they exist.


Inference topics

The topics below are usually included in the area of statistical inference. #
Statistical assumptions Statistics, like all mathematical disciplines, does not infer valid conclusions from nothing. Inferring interesting conclusions about real statistical populations almost always requires some background assumptions. Those assumptions must be made c ...
#
Statistical decision theory Decision theory (or the theory of choice; not to be confused with choice theory) is a branch of applied probability theory concerned with the theory of making decisions based on assigning probabilities to various factors and assigning numerical ...
#
Estimation theory Estimation theory is a branch of statistics that deals with estimating the values of parameters based on measured empirical data that has a random component. The parameters describe an underlying physical setting in such a way that their value ...
#
Statistical hypothesis testing A statistical hypothesis test is a method of statistical inference used to decide whether the data at hand sufficiently support a particular hypothesis. Hypothesis testing allows us to make probabilistic statements about population parameters. ...
#
Revising opinions in statistics Revising may refer to: * Revise (disambiguation) * Revision (disambiguation) * Study skill {{disambig ...
#
Design of experiments The design of experiments (DOE, DOX, or experimental design) is the design of any task that aims to describe and explain the variation of information under conditions that are hypothesized to reflect the variation. The term is generally associ ...
, the analysis of variance, and
regression Regression or regressions may refer to: Science * Marine regression, coastal advance due to falling sea level, the opposite of marine transgression * Regression (medicine), a characteristic of diseases to express lighter symptoms or less extent ( ...
#
Survey sampling In statistics, survey sampling describes the process of selecting a sample of elements from a target population to conduct a survey. The term " survey" may refer to many different types or techniques of observation. In survey sampling it most ofte ...
#
Summarizing statistical data A descriptive statistic (in the count noun sense) is a summary statistic that quantitatively describes or summarizes features from a collection of information, while descriptive statistics (in the mass noun sense) is the process of using and ana ...


Predictive inference

Predictive inference is an approach to statistical inference that emphasizes the
prediction A prediction (Latin ''præ-'', "before," and ''dicere'', "to say"), or forecast, is a statement about a future event or data. They are often, but not always, based upon experience or knowledge. There is no universal agreement about the exac ...
of future observations based on past observations. Initially, predictive inference was based on ''observable'' parameters and it was the main purpose of studying
probability Probability is the branch of mathematics concerning numerical descriptions of how likely an event is to occur, or how likely it is that a proposition is true. The probability of an event is a number between 0 and 1, where, roughly speakin ...
, but it fell out of favor in the 20th century due to a new parametric approach pioneered by Bruno de Finetti. The approach modeled phenomena as a physical system observed with error (e.g.,
celestial mechanics Celestial mechanics is the branch of astronomy that deals with the motions of objects in outer space. Historically, celestial mechanics applies principles of physics (classical mechanics) to astronomical objects, such as stars and planets, to ...
). De Finetti's idea of
exchangeability In statistics, an exchangeable sequence of random variables (also sometimes interchangeable) is a sequence ''X''1, ''X''2, ''X''3, ... (which may be finitely or infinitely long) whose joint probability distribution does not change whe ...
—that future observations should behave like past observations—came to the attention of the English-speaking world with the 1974 translation from French of his 1937 paper, Translated in and has since been propounded by such statisticians as
Seymour Geisser Seymour Geisser (October 5, 1929 – March 11, 2004) was an American statistician noted for emphasizing predictive inference. In his book ''Predictive Inference: An Introduction'', he held that conventional statistical inference about unobservable p ...
. Geisser, Seymour (1993)
Predictive Inference: An Introduction
', CRC Press.


See also

*
Algorithmic inference Algorithmic inference gathers new developments in the statistical inference methods made feasible by the powerful computing devices widely available to any data analyst. Cornerstones in this field are computational learning theory, granular computin ...
*
Induction (philosophy) Inductive reasoning is a method of reasoning in which a general principle is derived from a body of observations. It consists of making broad generalizations based on specific observations. Inductive reasoning is distinct from ''deductive'' rea ...
*
Informal inferential reasoning In statistics education, informal inferential reasoning (also called informal inference) refers to the process of making a generalization based on data (samples) about a wider universe (population/process) while taking into account uncertainty witho ...
*
Information field theory Information field theory (IFT) is a Bayesian statistical field theory relating to signal reconstruction, cosmography, and other related areas. IFT summarizes the information available on a physical field using Bayesian probabilities. It uses comp ...
*
Population proportion In statistics, a population proportion, generally denoted by P or the Greek letter \pi, is a parameter that describes a percentage value associated with a population. For example, the 2010 United States Census showed that 83.7% of the American po ...
*
Philosophy of statistics The philosophy of statistics involves the meaning, justification, utility, use and abuse of statistics and its methodology, and ethical and epistemological issues involved in the consideration of choice and interpretation of data and methods of ...
*
Prediction interval In statistical inference, specifically predictive inference, a prediction interval is an estimate of an interval in which a future observation will fall, with a certain probability, given what has already been observed. Prediction intervals are o ...
*
Predictive analytics Predictive analytics encompasses a variety of statistical techniques from data mining, predictive modeling, and machine learning that analyze current and historical facts to make predictions about future or otherwise unknown events. In business ...
*
Predictive modelling Predictive modelling uses statistics to predict outcomes. Most often the event one wants to predict is in the future, but predictive modelling can be applied to any type of unknown event, regardless of when it occurred. For example, predictive mod ...
*
Stylometry Stylometry is the application of the study of linguistic style, usually to written language. It has also been applied successfully to music and to fine-art paintings as well. Argamon, Shlomo, Kevin Burns, and Shlomo Dubnov, eds. The structure o ...


Notes


References


Citations


Sources

* . * * Cox, D. R. (2006). ''Principles of Statistical Inference'', Cambridge University Press. . * Fisher, R. A. (1955), "Statistical methods and scientific induction", ''
Journal of the Royal Statistical Society The ''Journal of the Royal Statistical Society'' is a peer-reviewed scientific journal of statistics. It comprises three series and is published by Wiley for the Royal Statistical Society. History The Statistical Society of London was founded ...
, Series B'', 17, 69–78. (criticism of statistical theories of
Jerzy Neyman Jerzy Neyman (April 16, 1894 – August 5, 1981; born Jerzy Spława-Neyman; ) was a Polish mathematician and statistician who spent the first part of his professional career at various institutions in Warsaw, Poland and then at University College ...
and
Abraham Wald Abraham Wald (; hu, Wald Ábrahám, yi, אברהם וואַלד;  – ) was a Jewish Hungarian mathematician who contributed to decision theory, geometry, and econometrics and founded the field of statistical sequential analysis. One of ...
) * * Freedman, D. A. (2010). ''Statistical Models and Causal Inferences: A Dialogue with the Social Sciences'' (Edited by David Collier, Jasjeet Sekhon, and Philip B. Stark), Cambridge University Press. * * * * Reprinted as * Konishi S., Kitagawa G. (2008), ''Information Criteria and Statistical Modeling'', Springer. * * Le Cam, Lucian. (1986) ''Asymptotic Methods of Statistical Decision Theory'', Springer. * Moore, D. S.; McCabe, G. P.; Craig, B. A. (2015), ''Introduction to the Practice of Statistics'', Eighth Edition, Macmillan. * (reply to Fisher 1955) * Peirce, C. S. (1877–1878), "Illustrations of the logic of science" (series), ''
Popular Science Monthly ''Popular Science'' (also known as ''PopSci'') is an American digital magazine carrying popular science content, which refers to articles for the general reader on science and technology subjects. ''Popular Science'' has won over 58 awards, inclu ...
'', vols. 12–13. Relevant individual papers: ** (1878 March), "The Doctrine of Chances", ''Popular Science Monthly'', v. 12, March issue, pp
604
��615. ''Internet Archive'
Eprint
** (1878 April), "The Probability of Induction", ''Popular Science Monthly'', v. 12, pp
705
��718. ''Internet Archive'
Eprint
** (1878 June), "The Order of Nature", ''Popular Science Monthly'', v. 13, pp
203
��217.''Internet Archive'
Eprint
** (1878 August), "Deduction, Induction, and Hypothesis", ''Popular Science Monthly'', v. 13, pp
470
��482. ''Internet Archive'
Eprint
* Peirce, C. S. (1883), "A Theory of probable inference", ''Studies in Logic'', pp
126-181
Little, Brown, and Company. (Reprinted 1983,
John Benjamins Publishing Company John Benjamins Publishing Company is an independent academic publisher in social sciences and humanities with its head office in Amsterdam, Netherlands. The company was founded in the 1960s by John and Claire Benjamins and is currently manage ...
, ) * * * * * *


Further reading

* Casella, G., Berger, R. L. (2002). ''Statistical Inference''. Duxbury Press. * * Held L., Bové D.S. (2014). ''Applied Statistical Inference—Likelihood and Bayes'' (Springer). * * * Rahlf, Thomas (2014). "Statistical Inference", in Claude Diebolt, and Michael Haupert (eds.), "Handbook of Cliometrics ( Springer Reference Series)", Berlin/Heidelberg: Springer. http://www.springerreference.com/docs/html/chapterdbid/372458.html * * Sagitov, Serik (2022). "Statistical Inference". Wikibooks. http://upload.wikimedia.org/wikipedia/commons/f/f9/Statistical_Inference.pdf * Young, G.A., Smith, R.L. (2005). ''Essentials of Statistical Inference'', CUP.


External links


Statistical Inference
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MIT OpenCourseWare MIT OpenCourseWare (MIT OCW) is an initiative of the Massachusetts Institute of Technology (MIT) to publish all of the educational materials from its undergraduate- and graduate-level courses online, freely and openly available to anyone, any ...
platform
Statistical Inference
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{{Authority control Inductive reasoning Deductive reasoning Logic and statistics Philosophy of science Scientific method Psychometrics