Announcements. Final Review: Units 1-7
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1 Announcements Announcements Final : Units 1-7 Statistics 104 Mine Çetinkaya-Rundel June 24, 2013 Final on Wed: cheat sheet (one sheet, front and back) and calculator Must have webcam + audio on at all times, and be visible - you are welcomed to mute your audio to not hear others but I should be able to hear you Graded work: Everything including project will be returned by tonight, last PS will be returned by 10am tomorrow morning. Check your grades on Sakai and let me know if there is anything missing. No grade changes will be made after the final exam. Final exam will be graded by 1pm on Thursday, and you will be able to see the results once the grades are released. Final course grades will be submitted to the Registrar s on Friday. Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Which of the following is true? Modeling ( response) Which of the following is the best visualization for evaluating the relationship between two variables? Modeling ( response) (a) If the sample size is large enough, conclusions can be generalized to the population. (b) If subjects are randomly assigned to treatments, conclusions can be generalized to the population. (c) Blocking in experiments serves a similar purpose as stratifying in observational studies. (d) Representative samples allow us to make causal conclusions. (e) Statistical inference requires normal distribution of the response variable. (a) side-by-side box plots (b) mosaic plot (c) pie chart (d) segmented frequency bar plot (e) relative frequency histogram Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
2 Which of the following is false? Modeling ( response) Which of the following is false? Modeling ( response) (a) Box plots are useful for highlighting outliers, but we cannot determine skew based on a box plot. (b) Median and IQR are more robust statistics than mean and SD, respectively, since they are not affected by outliers or extreme skewness. (c) When the response variable is extremely right skewed, it may be useful to apply a log transformation to obtain a more symmetric distribution, and model the logged. (d) Segmented frequency bar plots are good enough for evaluating the relationship between two variables if the sample sizes are the same for various levels of the explanatory variable. (a) If A and B are independent, then having information on A does not tell us anything about B. (b) If A and B are disjoint, then knowing that A occurs tells us that B cannot occur. (c) Disjoint (mutually exclusive) events are always dependent since if one event occurs we know the other one cannot. (d) If A and B are independent, then P(A and B) = P(A) + P(B). (e) If A and B are not disjoint, then P(A or B) = P(A) + P(B) - P(A and B). Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Which of the following is the least useful method for assessing if the follow a normal distribution? About 30% of human twins are identical and the rest are fraternal. Identical twins are necessarily the same sex half are males and the other half are females. One-quarter of fraternal twins are both male, one-quarter both female, and one-half are mixes: one male, one female. You have just become a parent of twins and are told they are both girls. Given this information, what is the posterior probability that they are identical? Modeling ( response) Modeling ( response) Type of twins Gender (a) Check if 68% of the are within 1 SD of the mean, 95% of are within 2 SDs of the mean, and 99.7% of are within 3 SDs of the mean. (b) Check if the points are on a straight line on a normal probability plot. (c) Check if the mean and median are equal. (d) Check if the distribution is unimodal and symmetric. (e) Generate normally distributed random with same mean and standard deviation as the observed, overlay the plots of the generated and observed, and check if they line up. identical, 0.3 fraternal, 0.7 males, *0.5 = 0.15 females, *0.5 = 0.15 male&female, *0 = 0 males, *0.25 = females, *0.25 = P(iden f) = P(iden & f) P(f) = = 0.46 male&female, *0.5 = 0.35 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
3 Which of the following is false? Modeling ( response) (a) Suppose you re evaluating 4 claims. If prior to collection you don t have a preference for one claim over another, you should assign 0.25 as the prior probability to each claim. (b) Posterior probability and the p-value are the equivalent. (c) One advantage of is that can be integrated to the inferential scheme as they are collected. (d) Suppose a patient tests positive for a disease that 2% of the population are known to have. A doctor wants to confirm the test result by retesting the patient. In the second test the prior probability for having the disease should be more than 2%. Posterior = P(hypothesis ), p-value P( hypothesis) Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Two students in an introductory statistics class choose to conduct similar studies estimating the proportion of smokers at their school. Student A collects from 100 students, and student B collects from 50 students. How will the standard errors used by the two students compare? Assume both are simple random samples. (a) SE used by Student A < SE used as Student B. (b) SE used by Student A > SE used as Student B. (c) SE used by Student A = SE used as Student B. (d) SE used by Student A SE used as Student B. Modeling ( response) (e) Cannot tell without knowing the true proportion of smokers at this school. Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Test the hypothesis H 0 : µ = 10 vs. H A : µ > 10 for the following 8 samples. Assume σ = 2. n = 30 Jacob Shelby Daryn x p value n = 5000 Thomas Cece Lili x p value When n is large, even small deviations from the null (small effect sizes), which may be considered practically insignificant, can yield statistically significant results. Which of the following is the best method for evaluating the relationship between two variables? (a) chi-square test of independence (b) chi-square test of goodness of fit (c) anova (d) linear regression (e) t-test Modeling ( response) Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
4 for : Which of the following is the best method for evaluating the relationship between a and a variable with many levels? (a) z-test (b) chi-square test of goodness of fit (c) anova (d) linear regression (e) t-test Modeling ( response) One : Parameter of interest: µ n 30 Z, n < 30 T One vs. one (with 2 levels): Parameter of interest: µ 1 µ 2 n 1 and n 2 30 Z, n 1 or n 2 < 30 T If samples are dependent (paired), first find differences between paired observations One vs. one (with > 2 levels) - mean: Parameter of interest: NA ANOVA HT only For all other parameters of interest: simulation Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 for - binary outcome: for - > 2 outcomes: Binary outcome: One : Parameter of interest: p S/F condition met Z, if not simulation One vs. one, each with only 2 outcomes: Parameter of interest: p 1 p 2 S/F condition met Z, if not simulation S/F: use obs. S and F for CIs and exp. for HT > 2 outcomes: One, compared to hypothetical distribution: Parameter of interest: NA At least 5 exp. successes in each cell χ 2 GOF, if not simulation HT only One vs. one, either with > 2 outcomes: Parameter of interest: NA At least 5 exp. successes in each cell χ 2 Independence, if not simulation HT only Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
5 Data are collected at a bank on 6 tellers randomly sampled transactions. Do average transaction times vary by teller? Modeling ( response) Response variable:, Explanatory variable: ANOVA Summary statistics: n_1 = 14, mean_1 = , sd_1 = n_2 = 23, mean_2 = , sd_2 = n_3 = 15, mean_3 = 82.66, sd_3 = n_4 = 15, mean_4 = , sd_4 = n_5 = 44, mean_5 = , sd_5 = n_6 = 29, mean_6 = , sd_6 = H_0: All means are equal. H_A: At least one mean is different. Analysis of Variance Table Response: Df Sum Sq Mean Sq F value Pr(>F) group Residuals Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Data are collected on download times at three different times during the day. We want to evaluate whether average download times vary by time of day. Fill in the??s in the ANOVA output below. Modeling ( response) Response variable:, Explanatory variable: Summary statistics: n_early (7AM) = 16, mean_early (7AM) = , sd_early (7AM) = n_eve (5 PM) = 16, mean_eve (5 PM) = , sd_eve (5 PM) = n_late (12 AM) = 16, mean_late (12 AM) = , sd_late (12 AM) = Analysis of Variance Table Response: Df Sum Sq Mean Sq F value Pr(>F) group???????? 1.306e-11 Residuals?? ?? Total?? What is the result of the ANOVA? Early (7AM) Evening (5 PM) Late Night (12 AM) Since 1.306e-11 < 0.05, we reject the null hypothesis. The provide convincing evidence that the average download time is different for at least one pair of times of day Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
6 The next step is to evaluate the pairwise tests. There are 3 pairs of times of day 1 Early vs. Evening - Cece and Jacob 2 Evening vs. Late Night - Lili and Daryn 3 Early vs. Late Night - Shelby and Thomas Determine the appropriate significance level for these tests, and then complete the test assigned to you. α = 0.05/3 = (1) Early vs. Evening T 45 = = = p val < 0.01 (2) Evening vs. Late Night T 45 = = = p val < 0.01 (3) Early vs. Late Night T 45 = = = 4.81 p val < 0.01 What percent of variability in download times is explained by time of day? Response: Df Sum Sq Mean Sq F value Pr(>F) group e-11 Residuals (a) = 0.67 (b) (c) (d) Modeling ( response) Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 n = 50 and ˆp = Hypotheses: H 0 : p = 0.82; H A : p < We use a randomization test because the sample size isn t large enough for ˆp to be distributed nearly normally ( = 41 < 10; = 9 < 10) Which of the following is the correct set up for this hypothesis test? Red: success, blue: failure, ˆp sim = proportion of reds in simulated samples. Modeling ( response) Randomization distribution What is the center of the randomization distribution? What is the result of the hypothesis test? observed 0.8 (a) Place 80 red and 20 blue chips in a bag. Sample, with replacement, 50 chips proportion of simulations where ˆp sim (b) Place 82 red and 18 blue chips in a bag. Sample, without replacement, 50 chips proportion of simulations where ˆp sim (c) Place 82 red and 18 blue chips in a bag. Sample, with replacement, 50 chips proportion of simulations where ˆp sim (d) Place 82 red and 18 blue chips in a bag. Sample, with replacement, 100 chips proportion of simulations where ˆp sim randomization statistic Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24 Statistics 104 (Mine Çetinkaya-Rundel) Final June 24, / 24
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