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The median absolute deviation is a measure of statistical dispersion. Moreover, the MAD is a robust statistic, being more resilient to outliers in a data set than the standard deviation. In the standard deviation, the distances from the mean are squared, so large deviations are weighted more heavily, and thus outliers can heavily influence it ...
The modified Thompson Tau test is used to find one outlier at a time (largest value of δ is removed if it is an outlier). Meaning, if a data point is found to be an outlier, it is removed from the data set and the test is applied again with a new average and rejection region. This process is continued until no outliers remain in a data set.
L-estimators can also be used as statistics in their own right – for example, the median is a measure of location, and the IQR is a measure of dispersion. In these cases, the sample statistics can act as estimators of their own expected value; for example, the sample median is an estimator of the population median.
The five-number summary is a set of descriptive statistics that provides information about a dataset. It consists of the five most important sample percentiles: the sample minimum (smallest observation) the lower quartile or first quartile; the median (the middle value) the upper quartile or third quartile; the sample maximum (largest observation)
For a symmetric distribution (where the median equals the midhinge, the average of the first and third quartiles), half the IQR equals the median absolute deviation (MAD). The median is the corresponding measure of central tendency. The IQR can be used to identify outliers (see below). The IQR also may indicate the skewness of the dataset. [1]
The book has seven chapters. [1] [4] The first is introductory; it describes simple linear regression (in which there is only one independent variable), discusses the possibility of outliers that corrupt either the dependent or the independent variable, provides examples in which outliers produce misleading results, defines the breakdown point, and briefly introduces several methods for robust ...
A variation of the Theil–Sen estimator, the repeated median regression of Siegel (1982), determines for each sample point (x i, y i), the median m i of the slopes (y j − y i)/(x j − x i) of lines through that point, and then determines the overall estimator as the median of these medians. It can tolerate a greater number of outliers than ...
Calculating the median in data sets of odd (above) and even (below) observations. The median of a set of numbers is the value separating the higher half from the lower half of a data sample, a population, or a probability distribution. For a data set, it may be thought of as the “middle" value.