Worst-Case Analysis for Randomly Collected Data
Abstract
We introduce a framework for statistical estimation that leverages knowledge of how samples are collected but makes no distributional assumptions on the data values. Specifically, we consider a population of elements [n]=1,…,n with corresponding data values x1,…,xn. We observe the values for a "sample" set A ⊂ [n] and wish to estimate some statistic of the values for a "target" set B ⊂ [n] where B could be the entire set. Crucially, we assume that the sets A and B are drawn according to some known distribution P over pairs of subsets of [n]. A given estimation algorithm is evaluated based on its "worst-case, expected error" where the expectation is with respect to the distribution P from which the sample A and target sets B are drawn, and the worst-case is with respect to the data values x1,…,xn. Within this framework, we give an efficient algorithm for estimating the target mean that returns a weighted combination of the sample values--where the weights are functions of the distribution P and the sample and target sets A, B--and show that the worst-case expected error achieved by this algorithm is at most a multiplicative π/2 factor worse than the optimal of such algorithms. The algorithm and proof leverage a surprising connection to the Grothendieck problem. This framework, which makes no distributional assumptions on the data values but rather relies on knowledge of the data collection process, is a significant departure from typical estimation and introduces a uniform algorithmic analysis for the many natural settings where membership in a sample may be correlated with data values, such as when sampling probabilities vary as in "importance sampling", when individuals are recruited into a sample via a social network as in "snowball sampling", or when samples have chronological structure as in "selective prediction".
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