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211 test 2

What is a p-value?

The probability of obtaining a test statstic at least as unusual / extreme as the one obtained from our sample, given that the null hypothesis is true.

why would we might remove influential observations?

Bc they might have an undue effect on the regression coefficients

what is the null hypothesis meaning for a 2 sample / paired analysis?

For 2 Sample analysis the Null hypothesis is that Mu1 - Mu2 = 0 .

therefore Mu1 and Mu2 are equal and have no difference.

The Null hypothesis is essentially saying that both groups have the same mean.

What is a 2 Sample analysis?

It is when we are interested in comparing measurements between 2 populations about the topic.

- There are ussually 2 box plots. 1/group.

What is the Grand Mean?

The grand mean is the average of the 2 means from each group.

i.e. (Mu1 + Mu2) / 2 = Grand Mean

What are the 2 Modelling types in 2 Sample Analysis ?

1. Group Means Model
yij = yiBar + rij

yij = Observation

yiBar = the typical value for its sample (i.e. the mean for that sample)

rij = residual / error. This is the difference between the observation and typical value for its sample (mean).


2. Effects Model

yij = yBar + Alpha + rij

yij = observvation

yBar = grand mean

Alpha = This is the group effect. It is the difference between the grand mean and the mean of the sample.

rij = residual / error. This is the difference between the observation and typical value for its sample (mean).

What is the Alternative hypothesis for 2 sample / paired analysis?

The Alternative hypothesis is saying that the mean for group 1 is not the same as group 2. Hence Group effect is not zero.

What are the 3 assumptions in 2 sample analysis?

1. Independence
- the observations in each sample is independent of each observation in that sample. (same as 1 sample analysis)

- Also observations between the 2 samples are also independent of each other as well.


2. Equal Variance

- Both sample groups have the same variance. i.e. average squared distance an observed point has to the mean is the same for both groups.


3. Normality

- Each group has a normal distribution of data.

What is a Paired sample analysis and how does it differ from a 2 sample analysis?

A paired sample analysis is an analysis between 2 dependent samples. Whereas the 2 sample analysis is an analysis between 2 independent samples.

- paired also includes same number of observations/sample


i.e. analysis between a group's Blood pressure before drugs and a groups blood pressure after drugs. The before and after are directly dependent as it is the BP of the same person. This is a paired sample analysis.


i.e. How much money do Asian Engineers earn compared to English Engineers in USA. The 2 samples have no relation to each other whatsoever hence are independent of each other. This is a 2 sample analysis.

What is the structure of an Executive Summary in PSA?

- Intro
- CI explanation

- State sample size

- State what difference is being measured

- Conclusion

- State which group has the higher mean

- State Confidence interval of difference. Which group higher/lower.

What is the structure of 2 sample Executive Summary structure?

- Intro
- CI

- comment on which mean higher

- comment on CI and state which group is higher/lower

What are the 2 assumptions in One Sample Analysis?

1. Random sample of independent observations
2. Random variable with constant mean and constant variance

How do we check Normality?

1. By looking at the Q-Q plot and seeing of all points roughly lie on the line.
2. By looking at the histogram under the bell curve.

Define a residual:

it is the difference between an observed point and the median of that sample.

How can normality be satisfied if Q-Q plot and Histogram are not Normal?

The Central limit theorem states that if the sample size is 30 or more than the data comes from a normally distributed sample regardless of anything Q-Q plots/histogram.

What are the 2 types of Hypotheses and what do they mean?

1. Null Hypothesis
- this is what we test

- this is what we try to disprove

- but we can never prove it to be ever true


2. Alternative Hypothesis

- this is the researchers hypothesis

- try to support this by saying Null hypothesis is crap

What is the residual if the observed point is 50 and the mean is 38?

y= Mu + Epsilon
50= 38 + Epsilon


Epsilon = 50-38 = 12

Residual is 12.

Define the p value

The pi value is the probability of the Null hypothesis being true. If the p value is less than 5% (0.05) then we have evidence against the Null hypothesis.

i.e. p = 0.01.

This means there is less than 1% chance that the Null Hypothesized mean will contain the true mean. Hence we have evidence against the Null hypothesis and the test is statically significant.


Therefore 99% of the confidence interval will not contain the Null Hypothesized mean.

what is a confidence interval?

a 95% CI = chance that the true mean of the whole population is within this range.

Do we know for certain that the 95% confidence interval will contain the true mean?

No, as we only examined a sample and the interval may or may not contain the true mean. It is impossible to be sure. Under repeated sampling there is still a 5% chance that the true mean is not contained within this interval.

Executive summary points?

1. Intro
2. Confidence Interval: estimate the average interval (etc 2.5% and 95% values from table)

3. The model explains for R^2 % value of variation

4. Comment on weather this is greater/lower or supporting / not supporting the Null Hypothesis.

What is the standard sample deviation?

Variance square rooted

What does p value > 0.05 mean?

No evidence against Ho

What does p value < 0.05 mean?

Evidence against Ho

What does anova mean in regards to the Ho?

H = mu1 = mu2 = mun...
- difference between means

For multiplicative estimation:

estimate between the average Tukey values

What does the F-test for anova mean?

F-test for ANOVA we compare the between-group variation with the within-group variation to assess whether there is a difference in the population means.
Thus, by comparing these two measures of variation (spread) with each other, we are able to detect if there are true differences among underlying group population means.

What does a categorical model find?

- is the mean of the quantitative measurement the same between all levels of the categorical variable, or are they different?
- what are the differences in measurement between the levels, if any?

- also uses "dummy" variables

When do u log data?

- overly right skewed
- residuals "fan" out

What do you do if the Cook's distance > 0.4?

- compare estimates
- if larger than 1 standard error then leave out

= better fits data

what does the p value in an anova test mean?

- p-value in an ANOVA test helps us assess the likelihood that the observed differences between groups are real and not due to random variation.
eg) The lower the p value is for a given ratio, the more reliably we can reject the null hypothesis that a particular source or model or parameter is not significant.

How to write regression equation:

- somethingi = y value
- B1 x (x value)

- Always add the epilson i where epilson =...

- might need to state baselin & dummy variables as well

What are ways in which eov is not satisfied?

- non constant scatter
- "fan" effect

-> can log / transform data from thereon

When do you use prediction or CI intervals for estimation?

- If estimating "average" use "CI"
- If estimating point, use "Prediction"

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