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In statistics, a central tendency (or measure of central tendency) is a central or typical value for a
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 phenomeno ...
.Weisberg H.F (1992) ''Central Tendency and Variability'', Sage University Paper Series on Quantitative Applications in the Social Sciences, p.2 Colloquially, measures of central tendency are often called '' averages.'' The term ''central tendency'' dates from the late 1920s. The most common measures of central tendency are the
arithmetic mean In mathematics and statistics, the arithmetic mean ( ) or arithmetic average, or just the ''mean'' or the '' average'' (when the context is clear), is the sum of a collection of numbers divided by the count of numbers in the collection. The coll ...
, the median, and the mode. A middle tendency can be calculated for either a finite set of values or for a theoretical distribution, such as 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 ...
. Occasionally authors use central tendency to denote "the tendency of quantitative
data In the pursuit of knowledge, data (; ) is a collection of discrete values that convey information, describing quantity, quality, fact, statistics, other basic units of meaning, or simply sequences of symbols that may be further interpret ...
to cluster around some central value."Upton, G.; Cook, I. (2008) ''Oxford Dictionary of Statistics'', OUP (entry for "central tendency")Dodge, Y. (2003) ''The Oxford Dictionary of Statistical Terms'', OUP for International Statistical Institute. (entry for "central tendency") The central tendency of a distribution is typically contrasted with its '' dispersion'' or ''variability''; dispersion and central tendency are the often characterized properties of distributions. Analysis may judge whether data has a strong or a weak central tendency based on its dispersion.


Measures

The following may be applied to one-dimensional data. Depending on the circumstances, it may be appropriate to transform the data before calculating a central tendency. Examples are squaring the values or taking logarithms. Whether a transformation is appropriate and what it should be, depend heavily on the data being analyzed. ;
Arithmetic mean In mathematics and statistics, the arithmetic mean ( ) or arithmetic average, or just the ''mean'' or the '' average'' (when the context is clear), is the sum of a collection of numbers divided by the count of numbers in the collection. The coll ...
or simply, mean: the sum of all measurements divided by the number of observations in the data set. ; Median: the middle value that separates the higher half from the lower half of the data set. The median and the mode are the only measures of central tendency that can be used for ordinal data, in which values are ranked relative to each other but are not measured absolutely. ; Mode: the most frequent value in the data set. This is the only central tendency measure that can be used with nominal data, which have purely qualitative category assignments. ; Generalized mean: A generalization of the Pythagorean means, specified by an exponent. ;
Geometric mean In mathematics, the geometric mean is a mean or average which indicates a central tendency of a set of numbers by using the product of their values (as opposed to the arithmetic mean which uses their sum). The geometric mean is defined as the ...
: the ''n''th root of the product of the data values, where there are ''n'' of these. This measure is valid only for data that are measured absolutely on a strictly positive scale. ;
Harmonic mean In mathematics, the harmonic mean is one of several kinds of average, and in particular, one of the Pythagorean means. It is sometimes appropriate for situations when the average rate is desired. The harmonic mean can be expressed as the recipr ...
: the reciprocal of the arithmetic mean of the reciprocals of the data values. This measure too is valid only for data that are measured absolutely on a strictly positive scale. ; Weighted arithmetic mean: an arithmetic mean that incorporates weighting to certain data elements. ; Truncated mean or trimmed mean: the arithmetic mean of data values after a certain number or proportion of the highest and lowest data values have been discarded. ; Interquartile mean: a truncated mean based on data within the interquartile range. ; Midrange: the arithmetic mean of the maximum and minimum values of a data set. ; Midhinge: the arithmetic mean of the first and third quartiles. ; Quasi-arithmetic mean: A generalization of the generalized mean, specified by a continuous injective function. ; Trimean: the weighted arithmetic mean of the median and two quartiles. ; Winsorized mean: an arithmetic mean in which extreme values are replaced by values closer to the median. Any of the above may be applied to each dimension of multi-dimensional data, but the results may not be invariant to rotations of the multi-dimensional space. ;
Geometric median In geometry, the geometric median of a discrete set of sample points in a Euclidean space is the point minimizing the sum of distances to the sample points. This generalizes the median, which has the property of minimizing the sum of distance ...
: the point minimizing the sum of distances to a set of sample points. This is the same as the median when applied to one-dimensional data, but it is not the same as taking the median of each dimension independently. It is not invariant to different rescaling of the different dimensions. ; Quadratic mean (often known as the root mean square): useful in engineering, but not often used in statistics. This is because it is not a good indicator of the center of the distribution when the distribution includes negative values. ; Simplicial depth: the probability that a randomly chosen
simplex In geometry, a simplex (plural: simplexes or simplices) is a generalization of the notion of a triangle or tetrahedron to arbitrary dimensions. The simplex is so-named because it represents the simplest possible polytope in any given dimension ...
with vertices from the given distribution will contain the given center ;
Tukey median John Wilder Tukey (; June 16, 1915 – July 26, 2000) was an American mathematician and statistician, best known for the development of the fast Fourier Transform (FFT) algorithm and box plot. The Tukey range test, the Tukey lambda distribut ...
: a point with the property that every halfspace containing it also contains many sample points


Solutions to variational problems

Several measures of central tendency can be characterized as solving a variational problem, in the sense of the
calculus of variations The calculus of variations (or Variational Calculus) is a field of mathematical analysis that uses variations, which are small changes in functions and functionals, to find maxima and minima of functionals: mappings from a set of functions t ...
, namely minimizing variation from the center. That is, given a measure of
statistical dispersion In statistics, dispersion (also called variability, scatter, or spread) is the extent to which a distribution is stretched or squeezed. Common examples of measures of statistical dispersion are the variance, standard deviation, and interquartil ...
, one asks for a measure of central tendency that minimizes variation: such that variation from the center is minimal among all choices of center. In a quip, "dispersion precedes location". These measures are initially defined in one dimension, but can be generalized to multiple dimensions. This center may or may not be unique. In the sense of spaces, the correspondence is: The associated functions are called -norms: respectively 0-"norm", 1-norm, 2-norm, and ∞-norm. The function corresponding to the 0 space is not a norm, and is thus often referred to in quotes: 0-"norm". In equations, for a given (finite) data set , thought of as a vector , the dispersion about a point is the "distance" from to the constant vector in the -norm (normalized by the number of points ): :f_p(c) = \left\, \mathbf - \mathbf \right\, _p := \bigg( \frac \sum_^n \left, x_i - c\ ^p \bigg) ^ For and these functions are defined by taking limits, respectively as and . For the limiting values are and or , so the difference becomes simply equality, so the 0-norm counts the number of ''unequal'' points. For the largest number dominates, and thus the ∞-norm is the maximum difference.


Uniqueness

The mean (''L''2 center) and midrange (''L'' center) are unique (when they exist), while the median (''L''1 center) and mode (''L''0 center) are not in general unique. This can be understood in terms of convexity of the associated functions ( coercive functions). The 2-norm and ∞-norm are strictly convex, and thus (by convex optimization) the minimizer is unique (if it exists), and exists for bounded distributions. Thus standard deviation about the mean is lower than standard deviation about any other point, and the maximum deviation about the midrange is lower than the maximum deviation about any other point. The 1-norm is not ''strictly'' convex, whereas strict convexity is needed to ensure uniqueness of the minimizer. Correspondingly, the median (in this sense of minimizing) is not in general unique, and in fact any point between the two central points of a discrete distribution minimizes average absolute deviation. The 0-"norm" is not convex (hence not a norm). Correspondingly, the mode is not unique – for example, in a uniform distribution ''any'' point is the mode.


Clustering

Instead of a single central point, one can ask for multiple points such that the variation from these points is minimized. This leads to
cluster analysis Cluster analysis or clustering is the task of grouping a set of objects in such a way that objects in the same group (called a cluster) are more similar (in some sense) to each other than to those in other groups (clusters). It is a main task of ...
, where each point in the data set is clustered with the nearest "center". Most commonly, using the 2-norm generalizes the mean to ''k''-means clustering, while using the 1-norm generalizes the (geometric) median to ''k''-medians clustering. Using the 0-norm simply generalizes the mode (most common value) to using the ''k'' most common values as centers. Unlike the single-center statistics, this multi-center clustering cannot in general be computed in a
closed-form expression In mathematics, a closed-form expression is a mathematical expression that uses a finite number of standard operations. It may contain constants, variables, certain well-known operations (e.g., + − × ÷), and functions (e.g., ''n''th ro ...
, and instead must be computed or approximated by an
iterative method In computational mathematics, an iterative method is a mathematical procedure that uses an initial value to generate a sequence of improving approximate solutions for a class of problems, in which the ''n''-th approximation is derived from the pre ...
; one general approach is expectation–maximization algorithms.


Information geometry

The notion of a "center" as minimizing variation can be generalized in information geometry as a distribution that minimizes divergence (a generalized distance) from a data set. The most common case is maximum likelihood estimation, where the maximum likelihood estimate (MLE) maximizes likelihood (minimizes expected surprisal), which can be interpreted geometrically by using
entropy Entropy is a scientific concept, as well as a measurable physical property, that is most commonly associated with a state of disorder, randomness, or uncertainty. The term and the concept are used in diverse fields, from classical thermodyna ...
to measure variation: the MLE minimizes cross entropy (equivalently, relative entropy, Kullback–Leibler divergence). A simple example of this is for the center of nominal data: instead of using the mode (the only single-valued "center"), one often uses the empirical measure (the frequency distribution divided by the sample size) as a "center". For example, given binary data, say heads or tails, if a data set consists of 2 heads and 1 tails, then the mode is "heads", but the empirical measure is 2/3 heads, 1/3 tails, which minimizes the cross-entropy (total surprisal) from the data set. This perspective is also used in
regression analysis In statistical modeling, regression analysis is a set of statistical processes for estimating the relationships between a dependent variable (often called the 'outcome' or 'response' variable, or a 'label' in machine learning parlance) and one ...
, where
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 r ...
finds the solution that minimizes the distances from it, and analogously in
logistic regression In statistics, the logistic model (or logit model) is a statistical model that models the probability of an event taking place by having the log-odds for the event be a linear function (calculus), linear combination of one or more independent var ...
, a maximum likelihood estimate minimizes the surprisal (information distance).


Relationships between the mean, median and mode

For
unimodal distribution In mathematics, unimodality means possessing a unique mode. More generally, unimodality means there is only a single highest value, somehow defined, of some mathematical object. Unimodal probability distribution In statistics, a unimodal ...
s the following bounds are known and are sharp:Johnson NL, Rogers CA (1951) "The moment problem for unimodal distributions". ''Annals of Mathematical Statistics'', 22 (3) 433–439 : \frac \le \sqrt , : \frac \le \sqrt , : \frac \le \sqrt , where ''μ'' is the mean, ''ν'' is the median, ''θ'' is the mode, and ''σ'' is the standard deviation. For every distribution,Hotelling H, Solomons LM (1932) The limits of a measure of skewness. Annals Math Stat 3, 141–114Garver (1932) Concerning the limits of a mesuare of skewness. Ann Math Stats 3(4) 141–142 : \frac \le 1.


See also

*
Central moment In probability theory and statistics, a central moment is a moment of a probability distribution of a random variable about the random variable's mean; that is, it is the expected value of a specified integer power of the deviation of the random ...
*
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 ...
* Location parameter *
Mean There are several kinds of mean in mathematics, especially in statistics. Each mean serves to summarize a given group of data, often to better understand the overall value ( magnitude and sign) of a given data set. For a data set, the '' ari ...
* Population mean * Sample mean


Notes


References

{{DEFAULTSORT:Central Tendency Summary statistics Probability theory de:Lagemaß