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Related Concept Videos

Confidence Interval for Estimating Population Mean01:25

Confidence Interval for Estimating Population Mean

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A point estimate of the population mean is obtained from a single sample. Such a point estimate does not represent a population well because it needs to account for variability in the population. Single point estimate can also be biased despite the sample being selected randomly. Thus, a point estimate is often unreliable. A confidence interval is needed to reduce this unreliability.
A confidence interval for the mean is a range of values that provides an estimate of the population mean. As the...
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What are Estimates?01:06

What are Estimates?

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It isn't easy to measure a parameter such as the mean height or the mean weight of a population. So, we draw samples from the population and calculate the mean height or mean weight of the individuals in the sample. This sample data acts as a representative measure of the population parameter. These sample statistics are known as estimates. 
The estimate for the mean of a sample is denoted by ͞x, whereas the mean of the population is designated as μ. Further, parameters such...
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Estimating Population Mean with Known Standard Deviation01:16

Estimating Population Mean with Known Standard Deviation

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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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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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Mean From a Frequency Distribution01:11

Mean From a Frequency Distribution

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Sometimes, data gathered from an experiment on a large sample or population are organized into concise tables. In such cases, the frequency of the quantitative data set is plotted in the form of a table. Or else, the data values are grouped into the quantity’s intervals, which form classes, and their respective frequencies are known. That is, the data values are distributed over different categories or classes. This is known as frequency distribution.
When such a data set is encountered,...
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Sampling Distribution01:12

Sampling Distribution

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Given simple random samples of size n from a given population with a measured characteristic such as mean, proportion, or standard deviation for each sample, the probability distribution of all the measured characteristics is called a sampling distribution. How much the statistic varies from one sample to another is known as the sampling variability of a statistic. You typically measure the sampling variability of a statistic by its standard error. The standard error of the mean is an example...
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Inference from a sample mean--Part 1

Nikolaos Pandis1

  • 1Visiting assistant professor, Department of Orthodontics and Dentofacial Orthopedics, Faculty of Medicine, University of Bern, Bern, Switzerland; private practice, Corfu, Greece.

American Journal of Orthodontics and Dentofacial Orthopedics : Official Publication of the American Association of Orthodontists, Its Constituent Societies, and the American Board of Orthodontics
|June 4, 2015
PubMed
Summary

No abstract available in PubMed .

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