Least squares with non-normal data: estimating experimental variance functions

Literature Information

Publication Date 2007-11-02
DOI 10.1039/B708709H
Impact Factor 4.616
Authors

Joel Tellinghuisen


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Abstract

Contrary to popular belief, the method of least squares (LS) does not require that the data have normally distributed (Gaussian) error for its validity. One practically important application of LS fitting that does not involve normal data is the estimation of data variance functions (VFE) from replicate statistics. If the raw data are normal, sampling estimates s2 of the variance σ2 are χ2 distributed. For small degrees of freedom, the χ2 distribution is strongly asymmetrical – exponential in the case of three replicates, for example. Monte Carlo computations for linear variance functions demonstrate that with proper weighting, the LS variance-function parameters remain unbiased, minimum-variance estimates of the true quantities. However, the parameters are strongly non-normal – almost exponential for some parameters estimated from s2 values derived from three replicates, for example. Similar LS estimates of standard deviation functions from estimated s values have a predictable and correctable bias stemming from the bias inherent in s as an estimator of σ. Because s2 and s have uncertainties proportional to their magnitudes, the VFE and SDFE fits require weighting as s−4 and s−2, respectively. However, these weights must be evaluated on the calculated functions rather than directly from the sampling estimates. The computation is thus iterative but usually converges in a few cycles, with remaining ‘weighting’ bias sufficiently small as to be of no practical consequence.

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