Survey Adjustment Notes
Survey Adjustment Notes
Measuring is core business for a surveyor. A surveyor is fully responsible to his measurement. A quality of
measurement always be a bench mark of good surveyor. As a human there is some lack of perfection but how
big the error must be taken into account by a surveyor.
The quality of measurement can be shown by errors, precision, accuracy, and residual. In order to achieve the
accepted error, residual, precision or accuracy some steps or work flow must be implemented as followed:
• Redundant measurement
• Calculation of Standard deviation [weight]
• Determination of Parameters [propagation]
Error propagation calculation
Basic of Computation [Matrix manipulation]
LSE principle for adjustment process.
Require adjustment: for unique solution of parameters from redundant measurements (&
equations)
Once these errors are removed (provided that they are large), least-squares techniques can
be used to optimally estimate the positions and their errors by the minimization of a specific
norm. This generates optimal estimates of the coordinates and their errors (error ellipses or
regions of probability).
a. Variance
Most probability density functions (PDFs) have a single peak. The value of x at
which they peak is the most probable value, or mode. This is the same as the
mean for symmetric PDFs, but they can be quite different for asymmetric ones.
The most probable value is called mmax, and obeys
Examples of when to use median vs. mean.
For a set of measurements (sample distribution) that follows the Gaussian
(Normal) distribution, the mean and median are basically the same, so long
as the sample is large.
However, the median is often preferred over the mean, as an estimate of
the true value, in the presence of outliers.
Say we have a set of measurements x = 190. + randn (1,100); You can check
that the mean and median are nearly identical. Now say there was
nd
something wrong with the 42 measurement (x(42) = 300.;). Now the
median is nearly unchanged, but the mean is much higher.
c. Residual
d. Standard error
Standard error is a statistical term that measures the accuracy with which a sample
represents a population. In statistics, a sample mean deviates from the actual mean
of a population; this deviation is the standard error.
e. Standard deviaton
The Standard Deviation is a measure of how spread out numbers are. Its symbol is σ
(the greek letter sigma)
The formula is easy: it is the square root of the Variance. So now you ask, "What is the
Variance?"
f. Covariance
A measure of the degree to which returns on two risky assets move in tandem. A
positive covariance means that asset returns move together. A negative covariance
means returns move inversely.
g. Correlation coefficient
The correlation coefficient is a measure of how closely two variables move in relation
to one another. If one variable goes up by a certain amount, the correlation coefficient
indicates which way the other variable moves and by how much.
• In deterministic models there are no randomness and the outcome is totally predictable
The terms precision and accuracy are constantly used in surveying and yet their meanings or
often misused or misunderstood. Precision is the degree of refinement in the method used to make a
measurement. In other words, it is the closeness to each other of a set of observations. Close
agreement of the observations (readings) means high precision and wide scatter in the data means
low precision. The degree of precision attainable is dependent on equipment sensitivity and observer
skill. In measuring distance, precision is defined as the ratio of the error of the measurement to the
distance measured and it is reduced to a fraction. If a distance of 4200 fi is measured and the error is
later estimated to equal 0.70 ft., the precision of the measurement is: 0.70/4200 = 1:6000= 1 part in
6000.
Accuracy is the degree of agreement or conformity with the true value. It refers to the
degree of perfection obtained in measurements. Accuracy is decided by conformity with a standard,
calibration of instruments, avoiding or removing mistakes, and by detecting and removing systematic
errors. In most cases, the true accuracy cannot be ascertained, but by careful analysis of the errors
consistent with the precision used, an estimate of the accuracy can be ascertained. So, precision
relates to the method of the measurement and the expression of the measured value, and accuracy
relates to the result.
There is a definite connection between random errors and precision (the lower the random
errors, the higher the precision); and between systematic errors and accuracy (reduction of
systematic errors increases accuracy).
The diagram below clearly defined the manning the different between precision and accuracy.
Accuracy is the closeness of agreement between a measured value and the true value.
Accuracy—How close the measurements are to the “true” value (note that we may
not always know the true value).
Errors—Deviations of measurements from the “true” value. Error here does not mean a
blunder! Also referred to as uncertainties.
In practice there are variety of ways that can be employed to reduced gross errors
(Mikhail, 1974)
The systematic errors may arise due to (i) variations of temperature, humidity,
pressure, current velocity, curvature, refraction, etc. and (ii) faulty setting or improper
leveling of any instrument and personal vision of an individual. The following are the
examples:
If undetected, systematic errors are very serious. Therefore, (1) all surveying
equipment must be designed and used so that, whenever possible, systematic errors will be
automatically eliminated, and (2) all systematic errors that cannot be surely eliminated by
this means must be evaluated and their relationship to the conditions that cause them must
be determined.
Random error are those which have no apparent cause, but are a consequence of the
measurement process itself. All measurements have to be done to some limit of precision
and we cannot predict the exact measurement we will obtain. However, random errors have
very definite statistical behaviour and so can be dealt with by statistical methods. Random
errors are the small differences between repeated measurements of the same quantity,
often of the order of the finest division in the measuring scale. We can eliminate or minimize
the effects of random errors by statistical procedures: for example we can adopt the mean of
a set of measurements as the value to be used in later calculations. With the idea of the
ubiquity of errors in all our measurements and everything we do, we can now look at one
measurement process and see how errors affect it. We will begin by looking at linear
measurements, such as those we make with tapes and such equipment as EDM.