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Intro to Confidence Intervals for One Mean (Sigma Known)

jbstatistics 370,895 12 years ago
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An introduction to confidence intervals for the population mean mu. These methods are appropriate when we are sampling from a normally distributed population, where the population standard deviation sigma is known. When the population standard deviation is not known, as is usually the case, we need to use a slightly different method (a method based on the t distribution). The 2D:4D ratio data (from the right hand) is simulated data with the same summary statistics as found in: Stevenson et al. (2007). Attention Deficit/Hyperactivity Disorder (ADHD) Symptoms and Digit Ratios in a College Sample. American Journal of Human Biology. 19:41-50. For those that use R, here is the R code to find the values given in the video: To find the value of a standard normal random variable that has an area of 0.025 to the left, qnorm(.025) [1] -1.959964 To find the value of a standard normal random variable that has an area of 0.025 to the right, qnorm(.975) [1] 1.959964 To find the value of a standard normal random variable that has an area of 0.05 to the left, qnorm(.05) [1] -1.644854 To find the value of a standard normal random variable that has an area of 0.05 to the right, qnorm(.95) [1] 1.644854

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