几个常用的统计概念 Arithmetic Mean(算数均值) Variance(方差) Standard Deviation Definition(标准差) Coefficient of Variation (CV)  (变异系数) Covariance (协方差) Correlation (相关性)

均值关注整体的一个平均水平。

https://www.investopedia.com/terms/a/arithmeticmean.asp

What Is the Arithmetic Mean?

mean is the simplest and most widely used measure of a mean, or average. It simply involves taking the sum of a group of numbers, then dividing that sum by the count of the numbers used in the series.

 

For example, take 34, 44, 56 and 78. The sum is 212. The arithmetic mean is 212 divided by four, or 53.

Variance(方差)

方差关注数据距离均值的离散程度。

https://www.investopedia.com/terms/v/variance.asp

The term variance refers to a statistical measurement of the spread between numbers in a data set. More specifically, variance measures how far each number in the set is from the mean and thus from every other number in the set. Variance is often depicted by this symbol: σ2. It is used by both analysts and traders to determine volatility and market security. The square root of the variance is the standard deviation (σ), which helps determine the consistency of an investment's returns over a period of time.

几个常用的统计概念
Arithmetic Mean(算数均值)
Variance(方差)
Standard Deviation Definition(标准差)
Coefficient of Variation (CV)  (变异系数)
Covariance (协方差)
Correlation (相关性)

https://baike.baidu.com/item/%E6%96%B9%E5%B7%AE

方差是在概率论和统计方差衡量平均数。在许多实际问题中,研究方差即偏离程度有着重要意义。

Standard Deviation Definition(标准差)

标准差是方差的平方根,跟方差一个含义。

但是量值上于 数据点数值 保持一致。方差是数据点数据的平方。

What Is Standard Deviation?

calculated as the square root of variance by determining each data point's deviation relative to the mean. If the data points are further from the mean, there is a higher deviation within the data set; thus, the more spread out the data, the higher the standard deviation.

 

几个常用的统计概念
Arithmetic Mean(算数均值)
Variance(方差)
Standard Deviation Definition(标准差)
Coefficient of Variation (CV)  (变异系数)
Covariance (协方差)
Correlation (相关性)

Coefficient of Variation (CV)  (变异系数)

比较两组不同量值得离散度, 使用此方法。 例如一个是 cm 一个是m。

https://www.investopedia.com/terms/c/coefficientofvariation.asp

What Is the Coefficient of Variation (CV)?

The coefficient of variation (CV) is a statistical measure of the dispersion of data points in a data series around the mean. The coefficient of variation represents the ratio of the standard deviation to the mean, and it is a useful statistic for comparing the degree of variation from one data series to another, even if the means are drastically different from one another.

 

几个常用的统计概念
Arithmetic Mean(算数均值)
Variance(方差)
Standard Deviation Definition(标准差)
Coefficient of Variation (CV)  (变异系数)
Covariance (协方差)
Correlation (相关性)

https://baike.baidu.com/item/%E5%8F%98%E5%BC%82%E7%B3%BB%E6%95%B0/6463621

变异系数(Coefficient of Variation):当需要比较两组数据方差一样,都是反映数据离散程度的绝对值。其数据大小不仅受变量值离散程度的影响,而且还受变量值平均水平大小的影响。

Covariance (协方差)

计算两个变量的相关程度。越大越相关。

https://www.investopedia.com/terms/c/covariance.asp

What Is Covariance?

standard deviations from the expected return) or by multiplying the correlation between the two variables by the standard deviation of each variable.

 

When an analyst has a set of data, a pair of x and y values, covariance can be calculated using five variables from that data. They are:

 
  • xi = a given x value in the data set
  • xm = the mean, or average, of the x values
  • yi = the y value in the data set that corresponds with xi
  • ym = the mean, or average, of the y values
  • n = the number of data points
 

Given this information, the formula for covariance is: Cov(x,y) = SUM [(xi - xm) * (yi - ym)] / (n - 1)

Correlation (相关性)

如果两个变量量值不同, 使用相关性来比较更合理。例如一个是cm,一个是m。

不同变量之间的相关度,可以在同一数量范围内比较。[-1, 1]

https://www.investopedia.com/terms/c/correlation.asp

What Is Correlation?

correlation coefficient, which has a value that must fall between -1.0 and +1.0.

 

几个常用的统计概念
Arithmetic Mean(算数均值)
Variance(方差)
Standard Deviation Definition(标准差)
Coefficient of Variation (CV)  (变异系数)
Covariance (协方差)
Correlation (相关性)