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In estimating the population variance from a sample when the population mean is unknown, the uncorrected sample variance is the mean of the squares of deviations of sample values from the sample mean (i.e., using a multiplicative factor 1/n). In this case, the sample variance is a biased estimator of the population variance. Multiplying the ...
The sample covariance matrix has in the denominator rather than due to a variant of Bessel's correction: In short, the sample covariance relies on the difference between each observation and the sample mean, but the sample mean is slightly correlated with each observation since it is defined in terms of all observations.
Consider the previous example with men's heights and suppose we have a random sample of n people. The sample mean could serve as a good estimator of the population mean. Then we have: The difference between the height of each man in the sample and the unobservable population mean is a statistical error, whereas
Correction factor versus sample size n.. When the random variable is normally distributed, a minor correction exists to eliminate the bias.To derive the correction, note that for normally distributed X, Cochran's theorem implies that () / has a chi square distribution with degrees of freedom and thus its square root, / has a chi distribution with degrees of freedom.
The resulting sample size formula, is often applied with a conservative estimate of p (e.g., 0.5): = / for n, yielding the sample size Sample sizes for binomial proportions given different confidence levels and margins of error
The MSE either assesses the quality of a predictor (i.e., a function mapping arbitrary inputs to a sample of values of some random variable), or of an estimator (i.e., a mathematical function mapping a sample of data to an estimate of a parameter of the population from which the data is sampled).
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