Basic Error Propagation
Contents |
The approach to uncertainty analysis that has been followed up to this point in the discussion has been what is called a top-down approach. Uncertainty components are estimated from direct repetitions of the measurement result. To contrast this with a propagation of general formula for propagation of error error approach, consider the simple example where we estimate the area of a rectangle rules for the propagation of uncertainty for random error from replicate measurements of length and width. The area $$ area = length \cdot width $$ can be computed from each
Uncertainty Propagation
replicate. The standard deviation of the reported area is estimated directly from the replicates of area. Advantages of top-down approach This approach has the following advantages: proper treatment of covariances between measurements of length
Error Propagation Example
and width proper treatment of unsuspected sources of error that would emerge if measurements covered a range of operating conditions and a sufficiently long time period independence from propagation of error model Propagation of error approach combines estimates from individual auxiliary measurements The formal propagation of error approach is to compute: standard deviation from the length measurements standard deviation from the width measurements and combine the two into a standard error propagation division deviation for area using the approximation for products of two variables (ignoring a possible covariance between length and width), $$ s_{area} = \sqrt{width^2 \cdot s_{length}^2 + length^2 \cdot s_{width}^2} $$ Exact formula Goodman (1960) derived an exact formula for the variance between two products. Given two random variables, \(x\) and \(y\) (correspond to width and length in the above approximate formula), the exact formula for the variance is: $$ V(\bar{x} \bar{y}) = \frac{1}{n} \left[ X^2 V(y) + Y^2 V(x) + 2XYE_{11} + 2X\frac{E_{12}}{n} + 2Y\frac{E_{21}}{n} + \frac{V(x) V(y)}{n} + \frac{Cov((\Delta x)^2, (\Delta y)^2) -E_{11}^2 }{n^2} \right] $$ with \(X = E(x)\) and \(Y = E(y)\) (corresponds to width and length, respectively, in the approximate formula) \(V(x)\) is the variance of \(x\) and \(V(y)\) is the variance \(y\) (corresponds to \(s^2\) for width and length, respectively, in the approximate formula) \( E_{ij} = {(\Delta x)^i, (\Delta y)^j}\) where \( \Delta x = x - X \) and \( \Delta y = y - Y \) \( Cov((\Delta x)^2, (\Delta y)^2) = E_{22} - V(x) V(y) \) To obtain the standard deviation, simply take the square root of the above formula. Also, an estimate of the statistic is obtained by substituting sample estimates for the corresponding pop
or more quantities, each with their individual uncertainties, and then combine the information from these quantities in order to come up with a final result of our experiment. How can you state your answer for the
Error Propagation Physics
combined result of these measurements and their uncertainties scientifically? The answer to this fairly error propagation calculus common question depends on how the individual measurements are combined in the result. We will treat each case separately: Addition error propagation khan academy of measured quantities If you have measured values for the quantities X, Y, and Z, with uncertainties dX, dY, and dZ, and your final result, R, is the sum or difference of these http://www.itl.nist.gov/div898/handbook/mpc/section5/mpc55.htm quantities, then the uncertainty dR is: Here the upper equation is an approximation that can also serve as an upper bound for the error. Please note that the rule is the same for addition and subtraction of quantities. Example: Suppose we have measured the starting position as x1 = 9.3+-0.2 m and the finishing position as x2 = 14.4+-0.3 m. Then the displacement is: Dx = x2-x1 http://www.lon-capa.org/~mmp/labs/error/e2.htm = 14.4 m - 9.3 m = 5.1 m and the error in the displacement is: (0.22 + 0.32)1/2 m = 0.36 m Multiplication of measured quantities In the same way as for sums and differences, we can also state the result for the case of multiplication and division: Again the upper line is an approximation and the lower line is the exact result for independent random uncertainties in the individual variables. And again please note that for the purpose of error calculation there is no difference between multiplication and division. Example: We have measured a displacement of x = 5.1+-0.4 m during a time of t = 0.4+-0.1 s. What is the average velocity and the error in the average velocity? v = x / t = 5.1 m / 0.4 s = 12.75 m/s and the uncertainty in the velocity is: dv = |v| [ (dx/x)2 + (dt/t)2 ]1/2 = 12.75 m/s [(0.4/5.1)2 + (0.1/0.4)2]1/2 = 3.34 m/s Multiplication with a constant What if you have measured the uncertainty in an observable X, and you need to multiply it with a constant that is known exactly? What is the error then? This is easy: just multi
Engineering Medicine Agriculture Photosciences Humanities Periodic Table of the Elements Reference Tables Physical Constants Units and Conversions Organic Chemistry http://chem.libretexts.org/Core/Analytical_Chemistry/Quantifying_Nature/Significant_Digits/Propagation_of_Error Glossary Search site Search Search Go back to previous article Username Password Sign in Sign in Sign in Registration Forgot password Expand/collapse global hierarchy Home Core Analytical Chemistry Quantifying Nature Expand/collapse global location Propagation of Error Last updated 20:33, 14 May 2016 Save as PDF Share Share Share Tweet Share IntroductionDerivation of Exact error propagation FormulaDerivation of Arithmetic ExampleCaveats and WarningsDisadvantages of Propagation of Error ApproachTreatment of Covariance TermsReferencesContributors Propagation of Error (or Propagation of Uncertainty) is defined as the effects on a function by a variable's uncertainty. It is a calculus derived statistical calculation designed to combine uncertainties from multiple variables, in order to provide an accurate measurement basic error propagation of uncertainty. Introduction Every measurement has an air of uncertainty about it, and not all uncertainties are equal. Therefore, the ability to properly combine uncertainties from different measurements is crucial. Uncertainty in measurement comes about in a variety of ways: instrument variability, different observers, sample differences, time of day, etc. Typically, error is given by the standard deviation (\(\sigma_x\)) of a measurement. Anytime a calculation requires more than one variable to solve, propagation of error is necessary to properly determine the uncertainty. For example, lets say we are using a UV-Vis Spectrophotometer to determine the molar absorptivity of a molecule via Beer's Law: A = ε l c. Since at least two of the variables have an uncertainty based on the equipment used, a propagation of error formula must be applied to measure a more exact uncertainty of the molar absorptivity. This example will be continued below, after the derivation (see Example Calculation). Derivation of Exact Formula Suppose
be down. Please try the request again. Your cache administrator is webmaster. Generated Sat, 01 Oct 2016 17:45:58 GMT by s_hv997 (squid/3.5.20)