rem4:t-tests_and_linear_models
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| - | All of these articles | + | ====== T-Tests & Linear Models ====== |
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| + | ===Concepts=== | ||
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| + | | H< | ||
| + | | H< | ||
| + | | Probability | ||
| + | | Statistical test | Helps us estimate the likelihood of us being wrong. | ||
| + | | One- and Two-Tailed Tests | Scenario: You measure something under two conditions, you expect there to be a difference between the measures. If you have strong suspicions that one measure will be higher than the other, you use a one-tailed test. \\ As you know, results of any experiment could be a coincidence. A statistical test helps us figure out what the probability of this is. \\ If we have a pre-determined idea of which direction a certain difference will be, our hypothesis is **stronger** than if our hypothesis simply says "there will be a difference" | ||
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| + | === Gathering Data === | ||
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| + | | Example hypothesis | ||
| + | | Sample | ||
| + | | Variables | ||
| + | | Subject pool | N=20; random sample. Specify by which means/ | ||
| + | | Gathering data | Repeated measures: 20 measurements for indexes of health: \\ North: | ||
| + | | **What we have so far** | Basically, we have a bunch of measurements which came from two different parts of the country. They will probably have a different mean, median, etc. -- it's unlikely that they will be equal. This difference, we would like to find out -- is it a true representation of the actual fish population in each of these two different locations? | ||
| + | | Sampling distribution | ||
| + | | Population distribution | ||
| + | | Standard Deviation (SD) | If the population is normally distributed, | ||
| + | | **What we want to know** | ||
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| + | === t-tests === | ||
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| + | | A.k.a. | ||
| + | | When to use | To test the difference between two means, when the standard deviation | ||
| + | | Input | Data from two populations. | ||
| + | | NB: Underlying assumption | ||
| + | | Standard deviation of sample | ||
| + | | Output | ||
| + | | t-value | ||
| + | | p-value | ||
| + | | Typical thresholds for p | p<0.05 and p<0.01 \\ ...that is, the difference between two (sample) populations is " | ||
| + | | One-sample and two-sample t-test | ||
| + | | One-sample alternative names | Matched-sample t-test, Paired t-test, Repeated-measures t-test. | ||
| + | | More information | ||
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| + | === Linear Models: Regression Analysis === | ||
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| + | | Purpose of Regression Analysis | ||
| + | | Scatterplot | ||
| + | | First-order linear function | ||
| + | | Residual | ||
| + | | How do we find the line? | Least Squares Criterion: We select the linear function that will yield the smallest sum of squared residuals | ||
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| + | ===Linear Correlation=== | ||
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| + | | Given a linear function | ||
| + | | Need estimate of error | We must estimate how closely real Ys (Y) follow the predicted Ys (Y' | ||
| + | | The measure most commonly used | Standard Error of Estimate | ||
| + | | Formula for Std. Err. of Est. | http:// | ||
| + | | What it tells us | How far, on average, real Ys fall from the line | | ||
| + | | The smaller the Std. Err. of Est. is ... | ... the better a predictor the line is | | ||
| + | | Main limitation of linear models | ||
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| + | EOF | ||
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