Understandable Statistics: Concepts and Methods
Understandable Statistics: Concepts and Methods
12th Edition
ISBN: 9781337119917
Author: Charles Henry Brase, Corrinne Pellillo Brase
Publisher: Cengage Learning
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Chapter 7.4, Problem 8P

(a)

To determine

Identify the distribution that x¯1x¯2 follows if σ1 and σ2 are known.

(a)

Expert Solution
Check Mark

Explanation of Solution

Requirements:

  • When the distribution of x1 (population 1) and x2 (population 2) has the normal distribution with known population standard deviations σ1, σ2 then sampling distribution of x¯1x¯2 has the normal distribution for any sample sizes of n1,n2. The z distribution is used.
  • When the distribution of x1 (population 1) or x2 (population 2) are not normally distributed with known population standard deviations σ1, σ2 then sampling distribution of x¯1x¯2 has the normal distribution for sample sizes of n130,n230.

The variable x¯1x¯2 has the normal distribution with mean μ1μ2 and standard deviation σ12n1+σ22n2.

Two independent mound-shaped distributions are considered in the study. A random sample of size n1=36 is taken from first distribution with sample mean x¯1=15. Also, a random sample of size n2=40 is taken from second distribution with sample mean x¯1=14. The values of σ1,σ2 are known in the study.

The distributions of population are mounded shaped. The size of first sample and second samples is greater than 30. This shows that, the variable x¯1x¯2 has normal distribution.

(b)

To determine

Find the 95% confidence interval for μ1μ2.

(b)

Expert Solution
Check Mark

Answer to Problem 8P

The 95% confidence interval for μ1μ2 is 0.580<μ1μ2<2.580.

Explanation of Solution

Confidence interval:

The confidence interval for μ1μ2 when both σ1 and σ2 are known is,

(x¯1x¯2)E<μ1μ2<(x¯1x¯2)+E

In the formula, σ1 and σ2 are population standard deviations of populations 1 and 2, x¯1 and x¯2 are sample means from populations 1 and 2, n1 and n2 are sample sizes of population 1 and 2, E=zcσ12n1+σ22n2, c is confidence level, and zc is the critical value for confidence level c based on the standard normal distribution.

The confidence level is 95%.

Critical value:

Use the Appendix II: Tables, Table 5 (b): Confidence interval, Critical Values zc.

  • In the level of confidence c column, locate the value of 0.95, or 95%.
  • The corresponding Critical value zc is 1.96.

The value of zc is 1.96.

Substitute 36 for n1, 40 for n2, 3 for σ1, 4 for σ2, 1.96 for zc in the margin of error formula (E).

E=1.963236+4240=1.96×0.65=1.96×0.806=1.580

The margin of error E is 1.580.

Substitute 15 for x¯1, 14 for x¯2, 1.580 for E in the confidence formula.

(1514)1.580<μ1μ2<(1514)+1.58011.580<μ1μ2<1+1.5800.580<μ1μ2<2.580

Hence, the 95% confidence interval for μ1μ2 is 0.580<μ1μ2<2.580.

(c)

To determine

Identify the distribution that x¯1x¯2 follows if σ1 and σ2 are not known.

Find the degrees of freedom.

(c)

Expert Solution
Check Mark

Answer to Problem 8P

The degrees of freedom are 35.

Explanation of Solution

Calculation:

The degrees of freedom formula is,

d.f.=smaller(n11,n21)

In the formula n1 and n2 are sample sizes of population 1 and 2.

Requirements:

  • When the distribution of x1 (population 1) and x2 (population 2) has the normal distribution or mounded shaped with unknown population standard deviations σ1, σ2 then sampling distribution of x¯1x¯2 has the normal distribution for any sample sizes of n1,n2. The student’s t distribution is used.
  • When the distribution of x1 (population 1) or x2 (population 2) are not normally distributed with unknown population standard deviations σ1, σ2 then sampling distribution of x¯1x¯2 has the normal distribution for sample sizes of n130,n230. Also, σ1 is replaced with s1 and σ2 is replaced with s2.

The variable x¯1x¯2 has the normal distribution with mean μ1μ2 and standard deviation s12n1+s22n2.

Two independent mound-shaped distributions are considered in the study. A random sample of size n1=20 is taken from first distribution with sample mean x¯1=12. Also, a random sample of size n2=25 is taken from second distribution with sample mean x¯1=14. The values of σ1,σ2 are not known in the study.

The population distributions are mound-shaped and the population standard deviations are not known. Also, the size of first sample and second samples is greater than 30. This shows that, the variable x¯1x¯2 has student’s t distribution.

Substitute 36 for n1, 40 for n2 in the degrees of freedom formula.

d.f.=smaller(361,401)=smaller(35,39)=35

Hence, the degrees of freedom are 35.

(d)

To determine

Find the 95% confidence interval for μ1μ2.

(d)

Expert Solution
Check Mark

Answer to Problem 8P

The 95% confidence interval for μ1μ2 is 0.636<μ1μ2<2.636.

Explanation of Solution

Confidence interval:

The confidence interval for μ1μ2 when both σ1 and σ2 are unknown is,

(x¯1x¯2)E<μ1μ2<(x¯1x¯2)+E

In the formula, s1 and s2 are sample standard deviations of populations 1 and 2, x¯1 and x¯2 are sample means from populations 1 and 2, n1 and n2 are sample sizes of population 1 and 2, E=tcσ12n1+σ22n2, c is confidence level, and tc is the critical value for confidence level c.

The confidence level is 95%.

Critical value:

Use the Appendix II: Tables, Table 6: Critical Values for Student’s t Distribution:

  • In d.f. column locate the value 35.
  • In c row of locate the value 0.95.
  • The intersecting value of row and columns is 2.030.

The critical value is 2.030.

Substitute 36 for n1, 40 for n2, 3 for s1, 4 for s2, 2.030 for tc in the margin of error formula (E).

E=2.0303236+4240=2.030×0.65=2.030×0.806=1.636

The margin of error E is 1.636.

Substitute 15 for x¯1, 14 for x¯2, 1.636 for E in the confidence formula.

(1514)1.636<μ1μ2<(1514)+1.63611.636<μ1μ2<1+1.6360.636<μ1μ2<2.636

Hence, the 95% confidence interval for μ1μ2 is 0.636<μ1μ2<2.636.

(e)

To determine

Find the 95% confidence interval for μ1μ2 using degrees of freedom based on Satterthwaite’s approximation.

(e)

Expert Solution
Check Mark

Answer to Problem 8P

The 95% confidence interval for μ1μ2 using degrees of freedom based on Satterthwaite’s approximation is 0.607<μ1μ2<2.607.

Explanation of Solution

Confidence interval:

Use Ti 83 calculator to obtain the confidence interval as follows:

  • Select STAT, take the arrow to the TESTS menu, and then ‘0’ numbered key.
  • Select Stats under Inpt.
  • Enter x¯1 as 15, Sx1 as 3, and n1 as 36.
  • Enter x¯2 as 14, Sx2 as 4, and n2 as 40.
  • Enter C-Level as 0.95
  • Select No under Pooled.
  • Click Calculated.

Output using Ti 83 calculator is given below:

Understandable Statistics: Concepts and Methods, Chapter 7.4, Problem 8P

From Ti 83 calculator output, the confidence interval is (0.607,2.607).

Hence, the 95% confidence interval for μ1μ2 using degrees of freedom based on Satterthwaite’s approximation is 0.607<μ1μ2<2.607.

(f)

To determine

Identify whether there is 95% confident that μ1 is larger than μ2.

(f)

Expert Solution
Check Mark

Explanation of Solution

All the confidence intervals calculated have both negative and positive values. The 95% confidence interval calculated for difference of means (μ1μ2) includes negative and positive values, then it cannot be determined whether μ1μ2>0 or μ1μ2<0. The relation between two population means cannot be either μ1<μ2 or μ1>μ2. This shows that, there would be 95% sure that there is no difference between the average of first population (μ1) and average of second population (μ2). Also, μ1 cannot be larger than μ2.

Hence, there cannot be 95% confidence that μ1 is larger than μ2.

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Chapter 7 Solutions

Understandable Statistics: Concepts and Methods

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