Saturday, April 6, 2019

Inferences for One Population Standard Deviation Essay Example for Free

Inferences for One commonwealth Standard Deviation EssayThe Standard deviation is a measure of the variation (or spread) of a information set. For a versatile x, the specimen deviation of all possible observations for the entire population is called the population standard deviation or standard deviation of the variable x. It is denoted x or, when no confusion will arise, simply . Suppose that we want to obtain information about a population standard deviation. If the population is small, we arsehole often determine exactly by first taking a census and then calculate from the population data. However, if the population is large, which is usually the case, a census is generally not feasible, and we must use illative methods to obtain the required information about .In this section, we describe how to perform hypothesis tests and construct confidence intervals for the standard deviation of a normally distributed variable. Such inferences are based on a dispersal called the chi-square dispersion. Chi is a Greek letter whose lowercase form is . A variable has a chi-square distribution if its distribution has the shape of a special type of right-skewed curve, called a chi-square (2) curve. Actually, there are infinitely many chi-square distributions, and we identify the chi-square distribution (and 2-curve) in question by its number of degrees of freedom. Basic Properties of 2-Curves areProperty 1 The total area under a 2-curve equals 1.Property 2 A 2-curve starts at 0 on the horizontal axis and extends indefinitely to the right, approaching, but never touching, the horizontal axis as it does so. Property 3 A 2-curve is right skewed.Property 4 As the number of degrees of freedom becomes larger, 2- curves look increasingly corresponding normal curves.Percentages (and probabilities) for a variable having a chi-square distribution are equal to areas under its associated 2-curve. The one-standard-deviation 2-test is also cognize as the 2-test for on e population standard deviation. This test is often formulated in terms of magnetic variation instead of standard deviation. Unlike the z-tests and t-tests for one and two population means, the one-standard deviation 2-test is not robust to discipline violations of the normality assumption. In fact, it is so non robust that many statisticians advice against its use unless there is considerable evidence that the variable under consideration is normally distributed or very nearly so.The non-parametric procedures, which do not require normality, birth been developed to perform inferences for a population standard deviation. If you have doubts about the normality of the variable under consideration, you can often use one of those procedures to perform a hypothesis test or let out a confidence interval for a population standard deviation. The one-standard-deviation 2-interval procedure is also known as the 2-interval procedure for one population standard deviation. This confidence-in terval procedure is often formulated in terms of unevenness instead of standard deviation.Referencehttp//classof1.com/homework-help/statistics-homework-helpView as multi-pages

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