Analysis 2

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A Model for Data

From the previous analysis tutorial, you have an idea of how to estimate errors on data, including the mean of data. And you know some basic error propagation. In this tutorial, you'll learn how to fit a model to the data and propagate errors to the model parameters.

So let's say you have measured $N$ data <math>d_i</math> along with some estimates of the error/standard deviation <math>s_i</math>. You took these data with respect to some well determined independent variable <math>t_i</math>. As an example, you could have measured the altitude of a projectile (<math>d_i</math>) as a function of time could be <math>t_i</math>. In this example you would expect the altitude of the data to be modeled by

<math> d_i = a t_i^2 + b t_i + c </math>

where <math>a, b, c</math> are model parameters corresponding to the acceleration, initial velocity, and initial displacement of the projectile. (Q: How would you have measured the error for the data? A: You could have run the experiment -- that is, tossed the projectile -- a number of times and computed the sample variance of the trials.)

<math>\chi^2</math> and Goodness of Fit

We construct the <math>\chi^2</math> of the model, given the data, like so

<math> \chi^2 = \sum_i^N \frac{(d_i - (a t_i^2 + b t_i + c))^2}{s_i^2} </math>

It's worht