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Statistics

Median

compute the median

Calling Sequence

Median(A, ds_options)

Median(X, rv_options)

Parameters

X

-

algebraic; random variable or distribution

ds_options

-

(optional) equation(s) of the form option=value where option is one of ignore, or weights; specify options for computing the median of a data set

rv_options

-

(optional) equation of the form numeric=value; specifies options for computing the median of a random variable

Description

The Median function computes the median of the specified random variable or data set.

The first parameter can be a data set (e.g., a Vector ), a Matrix data set , a distribution (see Statistics[Distribution] ), a random variable, or an algebraic expression involving random variables (see Statistics[RandomVariable] ).

In the first calling sequence, if A has an even number of data points, then the median is the mean of the two middle data points.

In the second calling sequence, if X is a discrete random variable, then the median is defined as the first point t such that the CDF at t is greater than or equal to 12.

Computation

By default, all computations involving random variables are performed symbolically (see option numeric below).

All computations involving data are performed in floating-point; therefore, all data provided must have type/realcons and all returned solutions are floating-point, even if the problem is specified with exact values.

For more information about computation in the Statistics package, see the Statistics[Computation] help page.

Data Set Options

The ds_options argument can contain one or more of the options shown below. More information for some options is available in the Statistics[DescriptiveStatistics] help page.

ignore=truefalse -- This option controls how missing data is handled by the Median command. Missing items are represented by undefined or Float(undefined). So, if ignore=false and A contains missing data, the Median command will return undefined. If ignore=true all missing items in A will be ignored. The default value is false.

weights=Vector -- Data weights. The number of elements in the weights array must be equal to the number of elements in the original data sample. By default all elements in A are assigned weight 1.

Random Variable Options

The rv_options argument can contain one or more of the options shown below. More information for some options is available in the Statistics[RandomVariables] help page.

numeric=truefalse -- By default, the median is computed using exact arithmetic. To compute the median numerically, specify the numeric or numeric = true option.

Examples

>

withStatistics:

Compute the median of the Weibull distribution with parameters p and q.

>

MedianWeibullp,q

pln21q

(1)

Use numeric parameters.

>

MedianWeibull3,5

3ln215

(2)
>

MedianWeibull3,5,numeric

2.787958770

(3)

Generate a random sample of size 100000 drawn from the above distribution and compute the sample median.

>

ASampleWeibull3,5,105:

>

MedianA

2.78854409375312

(4)

Compute the standard error of the sample median for the normal distribution with parameters 5 and 2.

>

XNormal5,2

XNormal5,2

(5)
>

BSampleX,106:

>

MedianX,numeric,StandardErrorMedian,X,samplesize=106,numeric

5.,0.00250662827550447

(6)
>

MedianB

4.99678420082019

(7)

Compute the median of a sum of two random variables.

>

XRandomVariableNormal5,2:

>

YRandomVariableNormal10,1:

>

MedianX+Y

15

(8)

Verify this using simulation.

>

CSampleX+Y,105:

>

MedianC

15.0048009574154

(9)

Compute the median of a weighted data set.

>

Vseqi,i=57..77,undefined:

>

W2,4,14,41,83,169,394,669,990,1223,1329,1230,1063,646,392,202,79,32,16,5,2,5:

>

MedianV,weights=W

67.

(10)
>

MedianV,weights=W,ignore=true

67.

(11)

Consider the following Matrix data set .

>

MMatrix3,1130,114694,4,1527,127368,3,907,88464,2,878,96484,4,995,128007

M31130114694415271273683907884642878964844995128007

(12)

We compute the median of each of the columns.

>

MedianM

3.995.114694.

(13)

References

Stuart, Alan, and Ord, Keith. Kendall's Advanced Theory of Statistics. 6th ed. London: Edward Arnold, 1998. Vol. 1: Distribution Theory.

Compatibility

The A parameter was updated in Maple 16.


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