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Summary - Political Science Research Methods 2 (MAN-BPRA205A)

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This is a summary of all the lectures of PSRM II. This document has all the information you need to make the assignments and make the exam.

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Subido en
11 de marzo de 2025
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Escrito en
2024/2025
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Summary Lectures Political Science Research Methods II (MAN-BPRA205A)

Lecture 1: Introduction and refresher inferential statistics
Population mean (µ)
Population mean= the average of the population
N

-
∑ Xi
i
μ=
N
o N= population
Variation= the dispersion of the mean
- High  everyone has 5 (mean is 5)
- Low  50% has 1 and 50% has 10 (mean is 5)

Population standard deviation (σ ) & variance (σ 2)
Standard deviation= a measure of how dispersed the data is related to the mean
- How far does each score lie from the mean

- σ=
√ ∑ ( X i−μ ) 2
N
Variance= the overall deviation of the observations from their means value

- σ
2
=
∑ ( X i−μ )
2


N

Hypothesis
H0= the claim that the effect being studies does not exist
Ha= the claim that the effect being studied does exist

P-value & calculation
p-value= probability of obtaining the observed results, assuming H0 is true
- How likely is it, that your data could have occurred under the null hypothesis
- Can be found in a table after calculating the test-statistic t
- Which you test to a significance level
o Commonly accepted significance level  α = 0,05
o t-test= difference between sample mean and the mean if H0 was true
X−μ
- t=
SE X
σ
o SE=
√n
Confidence interval
Confidence interval= indicates all values of a null-hypothesis
that would not be rejected by the current sample mean
- Range  sample mean +/- 1,96SE
o Upper bound  +
o Lower bound  -

Sample and Sampling distribution
Central limit theorem= N>30  sampling distribution becomes
normal distribution
Sampling distribution= a probability distribution of a statistic obtained from a larger number of samples from a
larger population (normal distribution)
1

,Sample distribution= a probability distribution of a smaller part of the population

Lecture 2A: Simple regression
Regression analysis
Regression analysis= method for estimation of relationship between variables
- X-axis  Causal determined (independent variable)
- Y-axis  Caused by something (dependent variable)
- Predicting values on a Y-variable based on one or more X-variables
By trying to predict one variable based on scores on another variable, we can find out what the association between
political phenomena looks like
Explanatory purpose  Informative about the causal relationship
- But correlation doesn’t imply causation
Descriptive purpose  Even without causal relation, it is interesting in its own right

Simple linear regression model




- Intercept= where does the line cross the y-axis, when x is 0
- Regression coefficient= how much does Y-axis multiply per one unit
- Residual= distance of a certain point towards the (linear) line

Predicted values= values on Y for each case based on the estimated model
- Y^ =b +b X
i 0 1 i
Observed value= values on Y for each case that we actually observe in the sample
- Y i=b0 +b1 X i +ε i
Residuals= the difference between the observed values and the predicted values
- ε i=Y i−Y^i

Simple  one independent variable (X)
Linear  effect of X on Y can be represented by a straight line
- Steepness of the line (slope) given by the value of regression coefficient
o Multiply the value of X of each case i by b1

Testing significance
H0  b1=0
Ha  b1 < or > 0
T- test  test the statistical significance of the regression coefficients
b 1estimated
- t=
SEb 1
- Corresponds with a p-value
P-value= the probability that you would have found the estimated coefficient for b1 in your sample if X & Y would be
completely unrelated in the population
- P < α  reject H0
o Effect of X on Y is statistically significant
2

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