1 / 36

Chapter 12

Chapter 12. Analysis of Variance. Goals. List the characteristics of the F distribution Conduct a test of hypothesis to determine whether the variances of two populations are equal Discuss the general idea of analysis of variance Organize data into a ANOVA table

ira-levy
Download Presentation

Chapter 12

An Image/Link below is provided (as is) to download presentation Download Policy: Content on the Website is provided to you AS IS for your information and personal use and may not be sold / licensed / shared on other websites without getting consent from its author. Content is provided to you AS IS for your information and personal use only. Download presentation by click this link. While downloading, if for some reason you are not able to download a presentation, the publisher may have deleted the file from their server. During download, if you can't get a presentation, the file might be deleted by the publisher.

E N D

Presentation Transcript


  1. Chapter 12 Analysis of Variance

  2. Goals • List the characteristics of the F distribution • Conduct a test of hypothesis to determine whether the variances of two populations are equal • Discuss the general idea of analysis of variance • Organize data into a ANOVA table • Conduct a test of hypothesis among three or more treatment means

  3. F Distribution • Used to test whether two samples are from populations having equal variances • Applied when we want to compare several population means simultaneously to determine if they came from equal population • ANOVA • Analysis of variance • In both situations: • Populations must be Normally distributed • Data must be Interval-scale or higher

  4. Characteristics Of The F Distribution • Family of F Distributions • Each is determined by: • df in numerator • comes from pop. 1 which has larger sample variation • df in denominator • comes from pop. 2 which has smaller sample variation • F distribution is continuous • F Value can assume an infinite number of values from 0 to ∞ • Value for F Distribution cannot be negative • Smallest value = 0 • Positively skewed • Long tail is always to right • As # of df increases in both the numerator and the denominator, the distribution approaches normal • Asymptotic • As X increases the F curve approaches the X-axis

  5. What if two machines are making the same part for an airplane? Do we want the parts to be identical or nearly identical? Yes! We would test to see if the means are the same: Chapter 10 & 11 We would test to see if the variation is the same for the two machines: Chapter 12 What if two stocks have similar mean returns? Would we like to test and see if one stock has more variation than the other? Why Do We Want To Compare To See If Two Population Have Equal Variances?

  6. Why Do We Want To Compare To See If Two Population Have Equal Variances? • Remember Chapter 11: Assumptions for small sample tests of means: • Sample populations must follow the normal distribution • Two samples must be from independent (unrelated) populations • The variances & standard deviations of the two populations are equal

  7. Always list the sample with the larger sample variance as population 1 (allows us to use fewer tables) Conduct A Test Of Hypothesis To Determine Whether The Variances Of Two Populations Are Equal • To conduct a test: • Conduct two random samples • List population 1 as the sample with the largest variance: • n1 = # of observations • s1^2 = sample variance • n1 – 1 = df1 = degree of freedom (numerator for critical value lookup) • List population 2 as the sample with the smaller variance: • n2 = # of observations • s2^2 = sample variance • n2 – 1 = df2 = degree of freedom (denominator for critical value lookup)

  8. Step 1:State null and alternate hypotheses • List the population with the suspected largest variance as population 1 • Because we want to limit the number of F tables we need to use to look up values, we always put the larger variance in the numerator and the smaller variance in the denominator • This will force the F value to be at least 1 • We will only use the right tail of the F distribution • Examples of Step 1:

  9. Step 2: Select a level of significance: • Appendix G only lists significance levels: .05 and .01 Significance level = .10 .10/2 = .05 Use .05 table in Appendix G Significance level = .05 Use .05 table in Appendix G

  10. Step 3: Identify the test statistic (F), find critical value and draw picture If you have a df that is not listed in the border, calculate your F by estimating a value between two values. HW #5: df = 11, use value Between 10 & 12 Book says: (3.14+3.07)/2 = 3.105  3.10 • Look up Critical value in Appendix G and draw your picture

  11. Step 4 • Step 4: Formulate a decision rule: • Example: • If our calculated test statistic is greater than 3.87, reject Ho and accept H1, otherwise fail to reject Ho

  12. Larger variancein numerator, always!! Step 5 • Step 5: Take a random sample, compute the test statistic, compare it to critical value, and make decision to reject or not reject null and hypotheses • Test Statistic F: • Example Conclusion for a two tail test: • Fail to reject null • “The evidence suggests that there is not a difference in variation” • Reject null and accept alternate • “The evidence suggests that there is a difference in variation” Let’s Look at Handout 

  13. Colin, a stockbroker at Critical Securities, reported that the mean rate of return on a sample of 10 software stocks was 12.6 percent with a standard deviation of 3.9 percent. The mean rate of return on a sample of 8 utility stocks was 10.9 percent with a standard deviation of 3.5 percent. At the .05 significance level, can Colin conclude that there is more variation in the software stocks? Example 1

  14. Step 1: The hypotheses are Step 2: The significance level is .05. Step 3: The test statistic is the F distribution. Example 1 continued

  15. Step 4:H0 is rejected if F>3.68 or if p < .05. The degrees of freedom are n1-1 or 9 in the numerator and n1-1 or 7 in the denominator. Step 5: The value of F is computed as follows. H0 is not rejected. There is insufficient evidence to show more variation in the software stocks. Example 1 continued

  16. ANOVAAnalysis Of Variance • Technique in which we compare three or more population means to determine whether they could be equal • Assumptions necessary: • Populations follow the normal distribution • Populations have equal standard deviations () • Populations are independent • Why ANOVA? • Using t-distribution leads to build up of type 1 error • “Treatment” = different populations being examined

  17. Case Where Treatment Means Are Different

  18. Case Where Treatment Means Are The Same

  19. Example Of ANOVA Test To See If Four Treatment Means Are The Equal • 22 students earned the following grades in Professor Rad’s class. The grades are listed under the classification the student gave to the instructor • Is there a difference in the mean score of the students in each of the four categories? • Use significance level α = .01

  20. Conduct A Test Of Hypothesis Among Four Treatment Means • Step 1: State H0 and H1 H0 : µ1 = µ2 = µ3 = µ4 H1 : The Mean scores are not all equal (at least one treatment mean is different) • Step 2: Significance Level? α = .01

  21. Step 3: Determine Test Statistic And Select Critical Value

  22. Step 4: State Decision Rule • If our calculated test statistic is greater than we reject H0 and accept H1, otherwise we fail to reject H0 Now we move on to Step 5: Select the sample, perform calculations, and make a decision… Are you ready for a lot of procedures?!!

  23. The idea is: If we estimate variation in two ways and use one estimate in the numerator and the other estimate in the denominator: • If we divide and get 1 or close to 1, the sample means are assumed to be the same • If we get a number far from 1, we say that the means are assumed to be different • The F critical value will determined whether we are close to 1 or not

  24. ANOVA Table So Far Let’s go calculate this!

  25. Calculation 1: Treatment Means and Overall Mean

  26. Calculation 2: Total Variation

  27. Calculation 2: Total Variation

  28. ANOVA Table So Far Let’s go calculate this!

  29. Calculation 3: Random Variation

  30. Calculation 3: Random Variation

  31. ANOVA Table So Far Let’s go calculate this!

  32. Calculation 4: Treatment Variation Simple Subtraction!

  33. Calculation 5: Mean Square (Estimate of Variation)

  34. Calculation 6: F

  35. Step 5: Make A Decision • Because is less than 5.09, we fail to reject H0 • The evidence suggests that the mean score of the students in each of the four categories are equal (no difference)

  36. Summarize Chapter 12 • List the characteristics of the F distribution • Conduct a test of hypothesis to determine whether the variances of two populations are equal • Discuss the general idea of analysis of variance • Organize data into a ANOVA table • Conduct a test of hypothesis among three or more treatment means

More Related