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Chapter 8 Interval Estimation

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351 views25 pages

Chapter 8 Interval Estimation

Uploaded by

Titis Siswoyo
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PPT, PDF, TXT or read online on Scribd
You are on page 1/ 25

Essentials of Business Statistics: Communicating

with Numbers

By Sanjiv Jaggia and Alison Kelly

Copyright © 2014 by McGraw-Hill Higher Education. All rights reserved.


Chapter 8 Learning Objectives

LO 8.1 Explain an interval estimator.


LO 8.2 Calculate a confidence interval for the population mean when the population standard deviation is known.
LO 8.3 Describe the factors that influence the width of a confidence interval.
LO 8.4 Discuss features of the t distribution.
LO 8.5 Calculate a confidence interval for the population mean when the population standard deviation is not
known.
LO 8.6 Calculate a confidence interval for the population proportion.
LO 8.7 Select a sample size to estimate the population mean and the population proportion.

Estimation 8-2
8.1 Interval Estimators
LO 8.1 Explain an interval estimator.

 Confidence Interval—provides a range of values that,


with a certain level of confidence, contains the
population parameter of interest.
 Also referred to as an interval estimate.
 Construct a confidence interval as:
Point estimate ± Margin of error.
 Margin of error accounts for the variability of the estimator
and the desired confidence level of the interval.

Estimation 8-3
8.1 Interval Estimators
LO 8.2 Calculate a confidence interval for the population mean
when the population standard deviation is known.

 Constructing a Confidence Interval for  When


 is Known
 Consider a standard normal random variable Z.
P  1.96  Z  1.96   0.95
as illustrated here.

Estimation 8-4
LO 8.2 8.1 Interval Estimators

 Constructing a Confidence Interval for  When  is


Known
X 
 Since Z
 n

 X  
 We get P  1.96   1.96   0.95
  n 

 Which, after algebraically manipulating, is


equal to P    1.96  n  X    1.96  n   0.95

Estimation 8-5
LO 8.2 8.1 Interval Estimators

 Constructing a Confidence Interval for  When 


is Known
Note that 
P   1.96  
n  X    1.96  n  0.95

implies there is a 95% probability that the sample


mean X will fall within the interval   1.96  n
 Thus, if samples of size n are drawn repeatedly

from a given population, 95% of the computed


sample means, x 's , will fall within the interval
and the remaining 5% will fall outside the
interval.
Estimation 8-6
LO 8.2 8.1 Interval Estimators

 Constructing a Confidence Interval for  When 


is Known
 Since we do not know , we cannot determine if a
particular x falls within the interval or not.
 However, we do know that x will fall within the

interval   1.96  n if and only if  falls within the


interval x  1.96  .n
 This will happen 95% of the time given the interval
construction. Thus, this is a 95% confidence interval for the
population mean.
Estimation 8-7
LO 8.2 8.1 Interval Estimators

 Constructing a Confidence Interval for  When 


is Known
 Level of significance (i.e., probability of error) = .
 Confidence coefficient = (1 )
 Confidence level = 100(1 )%
 A 100(1-)% confidence interval of the population

mean  when the standard deviation  is known


is computed as x  z 2  n
or equivalently,  x  z 2  n , x  z 2 . n
 
Estimation 8-8
LO 8.2 8.1 Interval Estimators

 Constructing a Confidence Interval for  When 


is Known
 z/2 is the z value associated
with the probability of /2
in the upper-tail.
 x  z 2  n , x  z 2  n 

 Confidence Intervals:
 90%,  = 0.10, /2 = 0.05, z/2 = z = 1.645.
 95%,  = 0.05, /2 = 0.025, z/2 = z = 1.96.
 99%,  = 0.01, /2 = 0.005, z/2 = z = 2.575.
Estimation 8-9
LO 8.2 8.1 Interval Estimators

 Interpreting a Confidence Interval


 Interpreting a confidence interval requires care.
 Incorrect: The probability that  falls in the interval is
0.95.
 Correct: If numerous samples of size n are drawn from

a given population, then 95% of the intervals formed


by the formula x  z 2  n will contain .
 Since there are many possible samples, we will be
right 95% of the time, thus giving us 95%
confidence.
Estimation 8-10
8.1 Interval Estimators
LO 8.3 Describe the factors that influence the width of a confidence
interval.

 The Width of a Confidence Interval


 Margin of Error Confidence Interval Width
z 2  n 
2 z 2  n 
 The width of the confidence interval is
influenced by the:
 Sample size n.
 Standard deviation .
 Confidence level 100(1  )%.

Estimation 8-11
LO 8.3 8.1 Interval Estimators

 The Width of a Confidence Interval is influenced by:


I. For a given confidence level 100(1  )% and sample size n,
the width of the interval is wider, the greater the population
standard deviation .
 Example: Let the standard deviation of the population of

cereal boxes of Granola Crunch be 0.05 instead of 0.03.


Compute a 95% confidence interval based on the same
sample information.
x  z 2  
n  1.02  1.96 0.05 
25  1.02  0.20

 This confidence interval width has increased from 0.024 to


2(0.020) = 0.040.
Estimation 8-12
LO 8.3 8.1 Interval Estimators

 The Width of a Confidence Interval is influenced by:


II. For a given confidence level 100(1 )% and population
standard deviation , the width of the interval is wider, the
smaller the sample size n.
 Example: Instead of 25 observations, let the sample be based

on 16 cereal boxes of Granola Crunch. Compute a 95%


confidence interval using a sample mean of 1.02 pounds and
a population standard deviation of 0.03.
x  z 2  
n  1.02  1.96 0.03 
16  1.02  0.015

 This confidence interval width has increased from 0.024 to


2(0.015) = 0.030.
Estimation 8-13
LO 8.3 8.1 Interval Estimators

 The Width of a Confidence Interval is influenced by:


III. For a given sample size n and population standard deviation
, the width of the interval is wider, the greater the
confidence level 100(1  )%.
 Example: Instead of a 95% confidence interval, compute a

99% confidence interval based on the information from the


sample of Granola Crunch cereal boxes.
x  z 2  
n  1.02  2.575 0.03 
25  1.02  0.015

 This confidence interval width has increased from 0.024 to


2(0.015) = 0.030.

Estimation 8-14
8.2 Confidence Interval of the
Population Mean When  Is Unknown
LO 8.4 Discuss features of the t distribution.

 The t Distribution
 If repeated samples of size n are taken from a normal
population with a finite variance, then the
statistic T follows the t distribution
with (n  1) degrees of freedom, df. X 
T 
 Degrees of freedom determine S n
the extent of the broadness of the tails of the distribution;
the fewer the degrees of freedom,
the broader the tails.

Estimation 8-15
LO 8.4 8.2 Confidence Interval of the
Population Mean When  Is
Unknown
 Summary of the tdf Distribution
 Bell-shaped and symmetric around 0 with asymptotic tails
(the tails get closer and closer to the horizontal axis, but
never touch it).
 Has slightly broader tails than the z distribution.
 Consists of a family of distributions where the actual shape
of each one depends on the df. As df increases, the tdf
distribution becomes similar to the z distribution; it is
identical to the z distribution when df approaches infinity.

Estimation 8-16
LO 8.4 8.2 Confidence Interval of the
Population Mean When  Is
Unknown
 The tdf Distribution with Various Degrees of
Freedom

Estimation 8-17
8.2 Confidence Interval for the Population
Mean When  Is Unknown
LO 8.5 Calculate a confidence interval for the population mean
when the population standard deviation is not known.

 Constructing a Confidence Interval for  When  is


Unknown
 A 100(1  )% confidence interval of the population mean
 when the population standard deviation  is not known
is computed as x  t 2,df s n

or equivalently,  x  t 2,df s n , x  t 2,df s n


 

where s is the sample standard deviation.

Estimation 8-18
8.3 Confidence Interval for the Population
Proportion
LO 8.6 Calculate a confidence interval for the population proportion.

 Let the parameter p represent the proportion of


successes in the population, where success is defined
by a particular outcome.
 P is the point estimator of the population proportion
p.
 By the central limit theorem, P can be approximated
by a normal distribution for large samples (i.e., np > 5
and n(1  p) > 5).

Estimation 8-19
LO 8.6 8.3 Confidence Interval for the
Population Proportion

 Thus, a 100(1)% confidence interval of the


population proportion is
p  1 p   p  1 p  p  1 p  
p  z 2  p  z 2 , p  z 2 
n or  n n 

where p is used to estimate the population


parameter p.

Estimation 8-20
8.4 Selecting the Required Sample Size
LO 8.7 Select a sample size to estimate the population mean and the
population proportion.

 Precision in interval estimates is implied by a


low margin of error.
 A larger n reduces the margin of error for the
interval estimates.
 How large should the sample size be for a given
margin of error?

Estimation 8-21
LO 8.7 8.4 Selecting the Required Sample
Size
 Selecting n to estimate 
 Consider a confidence interval for  with a
known and let E denote the desired margin of
error.
 Since E  zα 2 σ n
2
we may rearrange to get  zα 2 σ 
n   
 E 
 If  is unknown, estimate it with ˆ .
Estimation 8-22
LO 8.7 8.4 Selecting the Required Sample
Size
 Selecting n to estimate 
 For a desired margin of error E, the minimum
sample size n required to estimate a 100(1 )%
confidence interval of the population mean  is
2
 zα 2 σˆ 
n   
 E 
Where ˆ is a reasonable estimate of  in the
planning stage.
Estimation 8-23
LO 8.7 8.4 Selecting the Required Sample
Size
 Selecting n to estimate p
 Consider a confidence interval for p and let E
denote the desired margin of error.
 Since p1  p  where p is the
E  zα 2 sample proportion
n
2
 zα 2 
n    p  1  p 
we may rearrange to get  E 
 Since p comes from a sample, we must use a
reasonable estimate of p, that is, p̂.
Estimation 8-24
LO 8.7 8.4 Selecting the Required Sample
Size
 Selecting n to estimate p
 For a desired margin of error E, the minimum
sample size n required to estimate a 100(1  )%
confidence interval of the population proportion
p is z 
2

n  
α 2
 pˆ  1  pˆ 
 E 
Where p̂ is a reasonable estimate of p in the
planning stage.

Estimation 8-25

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