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I have an int array that represents a bell shaped distribution so that if I were to plot the data using the indexes as the x axis and the values as the y values I would obtain a graph like this:

index   value 
0   46
1   659
2   541
3   519
4   431
5   480
6   441
7   448
8   530
9   557
10  625
11  670
12  818
13  994
14  953
15  1139
16  1221
17  1226
18  1394
19  1772
20  2006
21  2351
22  2590
23  2785
24  3164
25  3639
26  4304
27  4860
28  5539
29  6340
30  7799
31  9364
32  10912
33  13017
34  15571
35  18633
36  22181
37  26567
38  31027
39  36643
40  42486
41  49997
42  57444
43  65501
44  74261
45  83820
46  93841
47  104361
48  114911
49  125867
50  136503
51  148606
52  158489
53  168585
54  177544
55  185554
56  192791
57  200219
58  203626
59  206432
60  208801
61  207941
62  207363
63  205734
64  201727
65  197152
66  190431
67  182139
68  174938
69  165990
70  155895
71  146229
72  136247
73  126603
74  116665
75  106734
76  97147
77  87350
78  78454
79  70097
80  62644
81  55134
82  48509
83  42327
84  36758
85  32089
86  27850
87  23787
88  20226
89  17071
90  14624
91  12542
92  10511
93  8669
94  7150
95  6054
96  5069
97  4178
98  3390
99  2894
100 2291
101 1963
102 1711
103 1394
104 1191
105 969
106 924
107 802
108 711
109 604
110 562
111 608
112 613
113 633
114 639
115 591
116 662
117 594
118 580
119 626
120 610
121 633
122 605
123 617
124 608
125 558
126 564
127 573
128 521
129 474
130 487
131 475
132 477
133 459
134 439
135 428
136 391
137 355
138 345
139 342
140 353
141 347
142 304
143 302
144 291
145 247
146 234
147 217
148 219
149 187
150 178
151 166
152 147
153 115
154 139
155 118
156 125
157 131
158 108
159 103
160 86
161 99
162 85
163 77
164 68
165 66
166 70
167 57
168 35
169 42
170 45
171 41
172 37
173 37
174 32
175 46
176 37
177 34
178 23
179 40
180 27
181 30
182 33
183 39
184 41
185 51
186 50
187 36
188 31
189 32
190 31
191 24
192 33
193 24
194 30
195 34
196 35
197 32
198 39
199 46
200 6821

enter image description here

In the picture above the green line shows the index with the max value and the green blocks represent standard deviation (SD) from the max (I'm not sure if SD is the proper name, I've heard some people calling it sigma value). I want to write a java function that takes this int array and outputs the lowest and highest boundaries given a desired SD and the max value. What I have so far is not much:

public static void getIntervalMinMax(int [] input){
   int max = 0;
   for(int i=0; i<input.length; i++){
      if(input[i]>max){
         max = input[i];
      }
   }

   int deviation = ??;      

   System.out.println("MIN: "+(max-deviation));
   System.out.println("MAX: "+(max+deviation));
}

I have checked this post but I have not being able to find a function in this library for a distribution SD. Can you please help me figure out how to calculate deviation? Thanks

share|improve this question
    
Which is the question? –  SJuan76 Feb 21 '13 at 21:01
    
let me edit the question –  Julio Diaz Feb 21 '13 at 21:02
    
have you looked into Distributions math package by Apache commons.apache.org/math/userguide/distribution.html? –  CPU 100 Feb 21 '13 at 21:06

2 Answers 2

up vote 1 down vote accepted

Standard Deviation is represented by the greek letter sigma so sigma value is just another same for the same thing. Standard Deviation is the square root of the Variance (also called sigma squared). The variance is defined by the average of the distribution:

variance = sum( data | x ^ 2 ) / n - average( data ) ^ 2

I'd create a class called Distribution like so:

public class Distribution {
    private Double[] data;
    private double max = Double.NaN;
    private double min = Double.NaN;
    private double variance = Double.NaN;
    private double average = Double.NaN;        

    public getMax() {
        if( max == Double.NaN ) {
            calculateStats();
        }
        return max;
    }

    // each method getMin, getAverage, getVariance, etc would be written the same way as getMax().

    private void calculateStats() {
        min = Double.MAX_VALUE;
        max = Double.MIN_VALUE;
        average = 0;
        variance = 0;
        for( int i = 0; i < data.length; i++ ) {
            double sample = data[i];
            if( sample > max ) max = sample;
            if( sample < min ) min = sample;
            average += sample;
            variance += sample * sample;
        }

        average = average / data.length;
        variance = variance / data.length - average * average;
    }

    public double getStandardDeviation() {
        if( variance == Double.NaN ) {
            calculateStats();
        }
        return Math.sqrt( variance );
    }
}
share|improve this answer
    
Im not very good at statistics but I was wondering if this solution calculates the deviation from the average rather than from the max. –  Julio Diaz Feb 21 '13 at 21:30
    
Standard deviation is always calculated using the average. You can approximate it with (max - min) / 4, but that is only a rough approximation and shouldn't be used as the standard deviation. –  chubbsondubs Feb 24 '13 at 20:10

You can calculate the SD with the square root from the empirical sample variance which is:

s² = 1/(n-1) * sum_{i=1}^n (y_i - mean(y))^2

EDIT: This density is actually NOT bell shaped if you refer to a gaussian distribution!

share|improve this answer

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