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Related Concept Videos

Testing a Claim about Standard Deviation01:19

Testing a Claim about Standard Deviation

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A complete procedure to test a claim about population standard deviation or population variance is explained here.
The hypothesis testing for the claim of population standard deviation (or variance) requires the data and samples to be random and unbiased. The population distribution also must be normal. There is no specific requirement on the sample size as the estimation is based on the chi-square distribution.
As a first step, the hypothesis (null and alternative) concerning the claim about...
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Estimating Population Standard Deviation01:26

Estimating Population Standard Deviation

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When the population standard deviation is unknown and the sample size is large, the sample standard deviation s is commonly used as a point estimate of σ. However, it can sometimes under or overestimate the population standard deviation. To overcome this drawback, confidence intervals are determined to estimate population parameters and eliminate any calculation bias accurately. However, this only applies to random samples from normally distributed populations. Knowing the sample mean and...
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Estimating Population Mean with Known Standard Deviation01:16

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To construct a confidence interval for a single unknown population mean μ, where the population standard deviation is known, we need sample mean as an estimate for μ and we need the margin of error. Here, the margin of error (EBM) is called the error bound for a population mean (abbreviated EBM). The sample mean is the point estimate of the unknown population mean μ.
The confidence interval estimate will have the form as follows:
(point estimate - error bound, point estimate +...
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Calculating Standard Deviation01:08

Calculating Standard Deviation

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The standard deviation is the most common measure of variation. It is a value that tells us how far a data value is from the mean value in a dataset. Further, the standard deviation is always a positive value or zero.
The standard deviation value is small when all the data is concentrated close to the mean. Here the data exhibits low variation. The standard deviation value is larger when the data values are more spread out from the mean. Here, the data displays high...
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Estimating Population Mean with Unknown Standard Deviation01:22

Estimating Population Mean with Unknown Standard Deviation

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In practice, we rarely know the population standard deviation. In the past, when the sample size was large, this did not present a problem to statisticians. They used the sample standard deviation s as an estimate for σ and proceeded as before to calculate a confidence interval with close enough results. However, statisticians ran into problems when the sample size was small. A small sample size caused inaccuracies in the confidence interval.
William S. Gosset (1876–1937) of the...
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Range Rule of Thumb to Interpret Standard Deviation01:13

Range Rule of Thumb to Interpret Standard Deviation

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The range rule of thumb in statistics helps us calculate a dataset's minimum and maximum values with known standard deviation. This rule is based on the concept that 95% of all values in a dataset lie within two standard deviations from the mean.
For instance, the range rule of thumb can be used to find the tallest and the shortest student in a class, given the mean student height and standard deviation. If the mean student height is 1.6 m and the standard deviation, s is 0.05 m, the height...
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Estimating true standard deviations

David Trafimow1

  • 1Department of Psychology, New Mexico State University Las Cruces, NM, USA.

Frontiers in Psychology
|March 28, 2014
PubMed
Summary

No abstract available in PubMed .

Keywords:
classical test theoryclassical true score theoryrandom measurement errorstandard deviationtrue standard deviations

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