To get a better idea of the distribution of your variables in the dataset, use the summary() function. If you need a quick survey of your dataset, you can, of course, always use the R str() function and look at the structure.

**summary in R**

The summary is a built-in R function used to produce result summaries of various model fitting functions. The summary() function implores specific methods that depend on the class of the first argument.

**Syntax**

`summary(object, maxsum = 7, digits = max(3, getOption("digits")-3), …)`

**Parameters**

**object:** It is an object for which a summary is desired.

**maxsum:** It is an integer indicating how many levels should be shown for factors.

**digits: **It is an integer used for number formatting with signif().

**Return Value**

The summary() function returns the value that depends on the class of its argument.

**Example**

Let’s apply the summary() function to a vector that will act like the R object.

```
vec <- 1:5
vec
cat("The summary() of vector is", "\n")
summary(vec)
```

**Output**

```
[1] 1 2 3 4 5
The summary() of vector is
Min. 1st Quantile Median Mean 3rd Quantile Max.
1 2 3 3 4 5
```

As you can see from the output that the summary() of a vector returns descriptive statistics such as the **minimum**, the **1st quantile**, the **median**, the **mean**, the **3rd quantile**, and the **maximum** value of our input data.

**Applying summary() function on the List**

To get the summary of the list in R, use the summary() function. To define a list, use the list() function and pass the elements as arguments.

```
vec <- 1:5
list <- list(vec)
cat("The summary() of list is", "\n")
summary(vec)
```

**Output**

```
The summary() of list is
Min. 1st Qu. Median Mean 3rd Qu. Max.
1 2 3 3 4 5
```

**summary() function on the Array**

To get the summary of an array in R, use the summary() function. To create an array in R, use the **array() **function. The **array() **function takes a vector as an argument and uses the **dim** parameter to create an array.

```
rv <- c(19, 21)
rv2 <- c(46, 4)
arr <- array(c(rv, rv2), dim = c(2, 2, 2))
cat("The summary() of array is", "\n")
summary(arr)
```

**Output**

```
The summary() of array is
Min. 1st Qu. Median Mean 3rd Qu. Max.
4.00 15.25 20.00 22.50 27.25 46.00
```

**summary() function on R Matrix**

To get the summary of a matrix in R, use the summary() function. To create a matrix in R, use the matrix() function, and pass the **vector**, **nrow**, and **ncol** parameters.

```
rv <- c(11, 18, 19, 21)
mtrx <- matrix(rv, nrow = 2, ncol = 2)
cat("The summary() of matrix is", "\n")
summary(mtrx)
```

**Output**

```
The summary() of matrix is
V1 V2
Min. :11.00 Min. :19.0
1st Qu.:12.75 1st Qu.:19.5
Median :14.50 Median :20.0
Mean :14.50 Mean :20.0
3rd Qu.:16.25 3rd Qu.:20.5
Max. :18.00 Max. :21.0
```

**summary() function on R data frame**

To get the summary of a data frame in R, use the summary() function. To create a data frame in R, use **data.frame() **function.

```
df <- data.frame(
service_id = c(1:5),
service_name = c("Netflix", "Disney+", "HBOMAX", "Hulu", "Peacock"),
service_price = c(18, 10, 15, 7, 12),
stringsAsFactors = FALSE
)
cat("The summary() of data frame is", "\n")
summary(df)
```

**Output**

```
The summary() of data frame is
service_id service_name service_price
Min. :1 Length:5 Min. : 7.0
1st Qu.:2 Class :character 1st Qu.:10.0
Median :3 Mode :character Median :12.0
Mean :3 Mean :12.4
3rd Qu.:4 3rd Qu.:15.0
Max. :5 Max. :18.0
```

**summary() function on Linear Regression Model**

**Linear regression** attempts to model the relationship between two variables by fitting a **linear** equation to observed data. One variable is considered to be an explanatory variable, and the other is considered to be a dependent variable.

A widespread application of the summary functions is the computation of summary statistics of statistical models. For example, let’s see the following code.

```
set.seed(93274)
l_x <- rnorm(1000)
l_y <- rnorm(1000) + l_x
mod <- lm(l_y ~ l_x)
summary(mod)
```

**Output**

```
Call:
lm(formula = l_y ~ l_x)
Residuals:
Min 1Q Median 3Q Max
-3.7337 -0.6964 -0.0047 0.7333 3.3489
Coefficients:
Estimate Std. Error t value Pr(>|t|)
(Intercept) -0.02159 0.03292 -0.656 0.512
l_x 1.00156 0.03262 30.707 <2e-16 ***
---
Signif. codes: 0 ‘***’ 0.001 ‘**’ 0.01 ‘*’ 0.05 ‘.’ 0.1 ‘ ’ 1
Residual standard error: 1.041 on 998 degrees of freedom
Multiple R-squared: 0.4858, Adjusted R-squared: 0.4853
F-statistic: 942.9 on 1 and 998 DF, p-value: < 2.2e-16
```

Our example data consists of two randomly distributed numeric vectors. As a result, we can estimate a linear regression model.

The data object mod contains the output of our linear regression. We have applied the summary() function to this model object to print summary statistics for this model.

That is it for the summary() function in the R tutorial.