Unit 6: Inference for Categorical Data: Proportions

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50 Terms

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Categorical variable

A variable that places individuals into categories (e.g., yes/no, defective/not defective).

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Success

The category of interest in a two-category (binary) setting; a label that does not imply “good.”

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Failure

The other category in a two-category (binary) setting; a label that does not imply “bad.”

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Population proportion (p)

The true fraction of the entire population that falls in the “success” category.

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Sample proportion (p-hat)

The proportion of successes in a sample; computed as p̂ = x/n.

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Inference

Using sample data to draw conclusions about a population parameter (here, a proportion).

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Sampling variability

The natural variation in a statistic (like p̂) from one random sample to another, even when the true p is fixed.

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Sampling distribution

The distribution of a statistic’s values over many repeated random samples from the same population.

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Normal approximation for p-hat

For large enough samples, the sampling distribution of p̂ is approximately Normal (bell-shaped).

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Association vs causation

Randomized experiments can support cause-and-effect conclusions; observational studies generally support only association due to possible confounding.

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Number of successes (x)

The count of observations in the sample that fall in the “success” category.

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Sample size (n)

The number of individuals/observations in the sample.

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Null value (p0)

The claimed population proportion used in a hypothesis test (the value assumed under H0).

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Parameter

A fixed (usually unknown) numerical characteristic of a population, such as p, p1, or p2.

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Statistic

A numerical value computed from sample data that varies from sample to sample, such as p̂.

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Independence assumption

Observations in a sample (and between groups, if applicable) must be independent for standard inference methods to apply.

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Random sampling

Selecting individuals so each sample of a given size has an equal chance of being chosen; helps justify independence.

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Random assignment

Assigning individuals to treatments by chance; helps create comparable groups and supports causal conclusions.

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10% condition (10% Rule)

When sampling without replacement, independence is reasonable if n ≤ 0.10N, where N is population size.

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Normality assumption (for proportions)

Using a Normal model for the sampling distribution of p̂; justified when expected success and failure counts are large enough.

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q = 1 − p

The population proportion of failures (the complement of the success proportion p).

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Large counts condition

A check that expected numbers of successes and failures are at least 10, supporting the Normal approximation.

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Binomial model

A model for the number of successes x when trials are independent and the success probability is constant: x ~ Binomial(n, p).

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Unbiased estimator

An estimator whose expected value equals the true parameter; E(p̂) = p under random sampling.

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Standard deviation of p-hat (σ_p̂)

The true SD of the sampling distribution of p̂: σ_p̂ = sqrt(p(1−p)/n).

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Standard error (SE)

An estimate of a sampling distribution’s standard deviation, computed using sample data or the null value.

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SE for one-proportion confidence interval

Estimated SD of p̂ for a CI: SE = sqrt(p̂(1−p̂)/n).

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SE under the null (one-proportion test)

SD used in a one-proportion z test, computed with p0: sqrt(p0(1−p0)/n).

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One-proportion z confidence interval

An interval estimating p: p̂ ± z* sqrt(p̂(1−p̂)/n).

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Critical value (z*)

The z-score multiplier that matches a chosen confidence level (e.g., about 1.96 for 95%).

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Margin of error (ME)

The “plus/minus” amount in a confidence interval: ME = z* × SE.

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Confidence level

The long-run success rate of the CI method (e.g., 95% of such intervals capture the true parameter).

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Correct confidence interval interpretation

A statement about being C% confident that the true population proportion (parameter) lies between the interval bounds, in context.

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Significance test

A procedure that assesses whether data provide convincing evidence against a specific null claim about a parameter.

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Null hypothesis (H0)

The claim assumed true for the test, stated as an equality for proportions (e.g., H0: p = p0).

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Alternative hypothesis (Ha)

The competing claim, stated as an inequality (p ≠ p0, p > p0, or p < p0), chosen from the question context.

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One-proportion z test statistic

A standardized measure for testing p: z = (p̂ − p0) / sqrt(p0(1−p0)/n).

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p-value

Assuming H0 is true, the probability of getting a result at least as extreme as the observed statistic (in the direction of Ha).

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Significance level (α)

A chosen cutoff for deciding whether a p-value is “small” (often 0.05); also the probability of a Type I error.

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Type I error

Rejecting H0 when H0 is actually true; its probability is controlled by α.

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Type II error

Failing to reject H0 when Ha is actually true.

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Beta (β)

The probability of a Type II error for a specific alternative value of the parameter.

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Power

1 − β; the probability of rejecting a false H0 when a particular alternative is true.

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Two independent samples design

A design with separate random samples from two populations; used to compare p1 and p2.

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Randomized experiment design

A design where subjects are randomly assigned to treatments; differences in outcomes can be attributed to the treatment (in that setting).

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Two population proportions (p1, p2)

p1 and p2 are the true success proportions in populations or treatment groups 1 and 2.

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Difference in sample proportions (p̂1 − p̂2)

A statistic that estimates the parameter p1 − p2; computed from two samples/groups.

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Unpooled SE for two-proportion confidence interval

SE for a CI for p1 − p2: sqrt( p̂1(1−p̂1)/n1 + p̂2(1−p̂2)/n2 ).

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Pooled proportion (p̂c)

Combined estimate used in two-proportion tests under H0: p̂c = (x1 + x2)/(n1 + n2).

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Two-proportion z test statistic

For H0: p1 = p2, z = ((p̂1 − p̂2) − 0) / sqrt( p̂c(1−p̂c)(1/n1 + 1/n2) ).

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