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Ch 4 實習 Numerical Descriptive Techniques Measures of Central Location Measures of Variability Percentiles, Quartiles Measures of Linear Relationship 2 Range, Standard Deviation, Variance, Coefficient of Variation Measures of Relative Standing Mean, Median, Mode Covariance, Correlation Jia-Ying Chen The Arithmetic Mean This is the most popular and useful measure of central location Sum of the observations Mean = Number of observations Drawback 3 Very sensitive to extreme values (outliers) Jia-Ying Chen The Median The Median of a set of observations is the value that falls in the middle when the observations are arranged in order of magnitude. Sample and population medians are computed the same way. Example Comment Find the median of the time on the internet Suppose only 9 adults were sampled for the 10 adults Even number of observations 0, 0, 5, 0, 7, 5, 8, 7, 8, 9, 12, 14,14, 22,22, 33 33 8.59,, 12, 4 Odd number of observations 0, 0, 5, 7, 8 9, 12, 14, 22 Jia-Ying Chen The Mode The Mode of a set of observations is the value that occurs most frequently. Set of data may have one mode (or modal class), or two or more modes. When the number of all data appears only once, mode doesn’t exit. The modal class 5 For large data sets the modal class is much more relevant than a single-value mode. Jia-Ying Chen Example 1 The times (to the nearest minute) that a sample of 9 bank customers waited in line were recorded and are listed here. 7 4 0 2 7 3 1 9 12 Determine the mean, median, and mode for these data. 6 Jia-Ying Chen Solution 7 Mean=(7+4+0+2+7+3+1+9+12)/9=5 Ordered data:0 1 2 3 4 7 7 9 12 Median=4, Mode=7 Jia-Ying Chen Relationship among Mean, Median, and Mode If a distribution is symmetrical, the mean, median and mode coincide If a distribution is asymmetrical, and skewed to the left or to the right, the three measures differ. A positively skewed distribution (“skewed to the right”) 8 Mode Mean Median Jia-Ying Chen Relationship among Mean, Median, and Mode 9 If a distribution is symmetrical, the mean, median and mode coincide If a distribution is non symmetrical, and skewed to the left or to the right, the three measures differ. A positively skewed distribution (“skewed to the right”) A negatively skewed distribution (“skewed to the left”) Mode Mean Median Mean Mode Median Jia-Ying Chen The range The range of a set of observations is the difference between the largest and smallest observations. Its major advantage is the ease with which it can be computed. Its major shortcoming is its failure to provide information on the dispersion of the observations between the two end points. But, how do all the observations spread out? ? ? ? The range cannot assistRange in answering this question 10 Smallest observation Largest observation Jia-Ying Chen Variance… The variance of a population is: population size The variance of a sample is: population mean sample mean Note! the denominator is sample size (n) minus one ! 11 Jia-Ying Chen 思考!! 如何測量離散程度?? 每各數字跟平均值差的和? 每各數字跟平均值的差的平方的和? 都會是0 資料越多會越大 所以每各數字跟平均值的差的平方的和再取平均來 測量離散程度比較合理 原來是這樣~~ 12 Jia-Ying Chen Variance… 13 As you can see, you have to calculate the sample mean (x-bar) in order to calculate the sample variance. Alternatively, there is a short-cut formulation to calculate sample variance directly from the data without the intermediate step of calculating the mean. Its given by:0 Jia-Ying Chen Proof s 2 14 1 ( xi x) 2 n 1 2 1 2 ( x 2 x x x ) i i n 1 2 1 2 ( x ) 2 x x nx i i n 1 xi x n 2 2 ( x ) ( x ) 1 i i 2 ( xi ) 2 n 1 n n 2 ( x ) 1 i 2 ( xi ) n 1 n Jia-Ying Chen Coefficient of Variation… The coefficient of variation of a set of observations is the standard deviation of the observations divided by their mean, that is: CV是相對離勢量數(measure of relative disperson) 15 Population coefficient of variation = CV = / Sample coefficient of variation = cv = s / x 比較幾組資料單位不同的差異情形。 比較幾組資料單位相同,但平均數相差懸殊之差異情形。 Jia-Ying Chen The Empirical Rule… Approximately 68% of all observations fall within one standard deviation of the mean. Approximately 95% of all observations fall within two standard deviations of the mean. Approximately 99.7% of all observations fall within three standard deviations of the mean. 16 Jia-Ying Chen 4.16 Chebysheff’s Theorem… A more general interpretation of the standard deviation is derived from Chebysheff’s Theorem, which applies to all shapes of histograms (not just bell shaped). The proportion of observations in any sample that lie within k standard deviations of the mean is at least: For k=2 (say), the theorem states that at least 3/4 of all observations lie within 2 standard deviations of the mean. This is a “lower bound” compared to Empirical Rule’s approximation (95%). 17 Jia-Ying Chen 4.17 Example 2 Determine the variance, standard deviation, range, and the cv of the following sample. 9 15 11 31 23 13 15 17 21 18 Jia-Ying Chen Solution x x 155 17.2222 n 9 2 ( x ) 1552 i 2 xi 3041 n 9 46.4444 s2 n 1 8 i s 46.4444 6.8150 Range 31 9 22 cv 19 6.8150 0.3957 17.2222 Jia-Ying Chen Example 3 20 班上同學的第一次考試成績平均為60分,標準 差為11分,全班共有100人,成績分配不為常 態分配,請問班上至少有多少人位於82分和38 分之間? Solution Jia-Ying Chen Example 4 王先生最近打算將手中的閒錢用來購買股票,在要求 的投資報酬率下,初步篩選可投資股票,王先生決定 由A、B、C三家上市公司的股票中擇一購買。由最近 30天的收盤資料得三股票的收盤平均值與標準差分別 為: (單位:元) X A 52, X B 232, X C 176, S A 5, S B 24, SC 16 21 若王先生是一個保守的投資人,則他會購買何家公司 的股票?又他所依據的決策準則為何? Jia-Ying Chen Solution 追求相對風險,即追求三者中Risk最小者 5 CVA 9.62% 52 24 CVB 10.34% 232 16 CVC 9.09% 176 22 因為王先生為一個保守的投資人所以他追求為相 對風險最小,所以要用CV來衡量 Jia-Ying Chen Measures of Relative Standing and Box Plots Percentile The pth percentile of a set of measurements is the value for which p percent of the observations are less than that value 100(1-p) percent of all the observations are greater than that value. Example Suppose your score is the 60% percentile of a SAT test. Then 60% of all the scores lie here 23 Your score 40% Jia-Ying Chen Quartiles Commonly used percentiles 24 First (lower)decile First (lower) quartile, Q1, Second (middle)quartile,Q2, Third quartile, Q3, Ninth (upper)decile = 10th percentile = 25th percentile = 50th percentile = 75th percentile = 90th percentile Jia-Ying Chen Location of Percentiles Find the location of any percentile using the formula P LP (n 1) 100 w hereLP is the location of the P th percentile 25 Jia-Ying Chen Example 5 Determine the first, second, and third quartiles of the following data 10.5 14.7 15.3 17.7 15.9 12.2 10.0 14.1 13.9 18.5 13.9 15.1 14.7 26 Jia-Ying Chen Solution 排序後數列 27 10.0 10.5 12.2 13.9 13.9 14.1 14.7 14.7 15.1 15.3 15.9 17.7 18.5 First quartile: L25=(13+1)*25/100=3.5; the first quartile is 13.05 Second quartile: L50=(13+1)*50/100=7; the first quartile is 14.7 Third quartile: L75=(13+1)*75/100=10.5; the first quartile is 15.6 Jia-Ying Chen Interquartile Range This is a measure of the spread of the middle 50% of the observations Large value indicates a large spread of the observations Interquartile range = Q3 – Q1 28 Jia-Ying Chen Box Plot This is a pictorial display that provides the main descriptive measures of the data set: L - the largest observation Q3 - The upper quartile Q2 - The median Q1 - The lower quartile S - The smallest observation 1.5(Q3 – Q1) S 29 Whisker 1.5(Q3 – Q1) Q1 Q2 Q 3 Whisker L Jia-Ying Chen Measures of Linear Relationship… 30 We now present two numerical measures of linear relationship that provide information as to the strength & direction of a linear relationship between two variables (if one exists). They are the covariance and the coefficient of correlation. Covariance - is there any pattern to the way two variables move together? Coefficient of correlation - how strong is the linear relationship between two variables? Jia-Ying Chen Covariance… population mean of variable X, variable Y sample mean of variable X, variable Y Note: divisor is n-1, not n as you may expect. 31 Jia-Ying Chen Covariance… 32 In much the same way there was a “shortcut” for calculating sample variance without having to calculate the sample mean, there is also a shortcut for calculating sample covariance without having to first calculate the mean: Jia-Ying Chen Covariance… (Generally speaking) When two variables move in the same direction (both increase or both decrease), the covariance will be a large positive number. When two variables move in opposite directions, the covariance is a large negative number. When there is no particular pattern, the covariance is a small number. 33 Jia-Ying Chen Coefficient of Correlation… The coefficient of correlation is defined as the covariance divided by the standard deviations of the variables: Greek letter “rho” This coefficient answers the question: How strong is the association between X and Y? 34 Jia-Ying Chen Coefficient of Correlation… The advantage of the coefficient of correlation over covariance is that it has fixed range from -1 to +1, thus: If the two variables are very strongly positively related, the coefficient value is close to +1 (strong positive linear relationship). If the two variables are very strongly negatively related, the coefficient value is close to -1 (strong negative linear relationship). No straight line relationship is indicated by a coefficient close to zero. 35 Jia-Ying Chen Coefficient of Correlation… +1 Strong positive linear relationship r or r = 0 No linear relationship -1 Strong negative linear relationship 36 Jia-Ying Chen Example 6 37 A retailer wanted to estimate the monthly fixed and variable selling expenses. As a first step she collected data from the past 8 months. The total selling expenses (in $thousands) and the total sales (in $thousands were recorded and listed below. Total sales Selling Expenses 20 14 40 16 60 18 50 17 50 18 55 18 60 18 70 20 Compute the covariance and the coefficient of correlation Jia-Ying Chen Solution 38 Jia-Ying Chen Solution 39 Jia-Ying Chen 鑑往知來 40 樣本為96年學年度修郭老師統計課的考試成績 Jia-Ying Chen