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Summary - MAT 15403 Statistics 2 (MAT15403)

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Summary of statistics 2 (english)

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Statistiek 2
Tutorial 1
Characteristics Normal Distribution
● Total area = 1
● Symmetrical
● Bell-shaped
● Uni-model
Notation = y ~ N (μ, σ)

μ = population mean / expected value of y
● mode, mean and median

σ = standard deviation in the population

Probability = a relative frequency in the long-run
● P (A) is the area under the curve

Standard Normal Distribution: Z ~ N (0,1) table 1

Transformation to a Standard Normal Distribution:
● From y ~ N (μ, σ) to Z ~ N (0,1)
● y=μ+zxσ
● or z = (y - μ) / σ


Estimator = = μy

Distribution sample mean =
● σy / √n = standard error



Normal Q-Q plot
The observations are normally distributed if the sample
observations are positioned randomly around but close to the
straight normality line in the Q-Q plot.

,Central Limit Theorem

● For large n, the distribution of the sample mean can be approximated by:





Population characteristics
● μy = mean in population for variable y
● σy = standard deviation in population for variable y
Estimator

● = mean in sample for variable y
● s = sample standard deviation for variable y

Tutorial 2
● A wider confidence interval captures more data
● Larger critical values correspond to wider intervals of the distribution
● An increase in confidence level results in an increase in the margin of error

sy = sample standard deviation for variable y
sy/ √n = standard error of the mean

Accuracy and precision of an estimator




Estimator (formula)

, Confidence interval = estimator +/- error margin
● A coefficient 1-a reflects a degree of trust: 0.95 means that the procedure with which
a confidence interval is constructed leads to 95% correct statements (such that this
interval contains μy).
○ Meaning that a statement that CI contains μy is 95% of the time correct
○ Or the probability that the CI contains the unknown parameter μy is 0.95
● This procedure occasionally yields an interval where the population parameter μ
does not lie in the confidence interval.


Empirical rule =
● Right-tail p = 0.025 (a/2)

Limits confidence interval




Unknown σ
● Estimate σ by using the sample standard deviation s, the square root of the sample
variances
● The population standard deviation of the mean


is therefore estimated by


Standard error =

Confidence interval for μ with σ known/ unknown
● Assumption: based on random sample of size n from N(μ, σ) population, with
observations y
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