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An Introduction to Basic Statistics
and Probability
Shenek Heyward
NCSU
An Introduction to Basic Statistics and Probability – p. 1/4
Outline
Basic probability concepts
Conditional probability
Discrete Random Variables and Probability Distributions
Continuous Random Variables and Probability
Distributions
Sampling Distribution of the Sample Mean
Central Limit Theorem
An Introduction to Basic Statistics and Probability – p. 2/4
Idea of Probability
Chance behavior is unpredictable in the short run, but
has a regular and predictable pattern in the long run.
The probability of any outcome of a random
phenomenom is the proportion of times the outcome
would occur in a very long series of repetitions.
An Introduction to Basic Statistics and Probability – p. 3/4
Terminology
Sample Space - the set of all possible outcomes of a
random phenomenon
Event - any set of outcomes of interest
Probability of an event - the relative frequency of this
set of outcomes over an infinite number of trials
Pr(A) is the probability of event A
An Introduction to Basic Statistics and Probability – p. 4/4
Example
Suppose we roll two die and take their sum
S = {2, 3, 4, 5, .., 11, 12}
Pr(sum = 5) = 4
36
Because we get the sum of two die to be 5 if we roll a
(1,4),(2,3),(3,2) or (4,1).
An Introduction to Basic Statistics and Probability – p. 5/4
Notation
Let A and B denote two events.
A ∪ B is the event that either A or B or both occur.
A ∩ B is the event that both A and B occur
simultaneously.
The complement of A is denoted by A.
A is the event that A does not occur.
Note that Pr(A) = 1 − Pr(A).
An Introduction to Basic Statistics and Probability – p. 6/4
Definitions
A and B are mutually exclusive if both cannot occur at
the same time.
A and B are independent events if and only if
Pr(A ∩ B) = Pr(A) Pr(B).
An Introduction to Basic Statistics and Probability – p. 7/4
Laws of Probability
Multiplication Law: If A1, · · · , Ak are independent
events, then
Pr(A1 ∩ A2 ∩ · · · ∩ Ak) = Pr(A1) Pr(A2) · · · Pr(Ak).
Addition Law: If A and B are any events, then
Pr(A ∪ B) = Pr(A) + Pr(B) − Pr(A ∩ B)
Note: This law can be extended to more than 2 events.
An Introduction to Basic Statistics and Probability – p. 8/4
Conditional Probability
The conditional probability of B given A
Pr(B|A) =
Pr(A ∩ B)
Pr(A)
A and B are independent events if and only if
Pr(B|A) = Pr(B) = Pr(B|A)
An Introduction to Basic Statistics and Probability – p. 9/4
Random Variable
A random variable is a variable whose value is a
numerical outcome of a random phenomenon
Usually denoted by X, Y or Z.
Can be
Discrete - a random variable that has finite or
countable infinite possible values
Example: the number of days that it rains yearly
Continuous - a random variable that has an
(continuous) interval for its set of possible values
Example: amount of preparation time for the SAT
An Introduction to Basic Statistics and Probability – p. 10/4
Probability Distributions
The probability distribution for a random variable X
gives
the possible values for X, and
the probabilities associated with each possible value
(i.e., the likelihood that the values will occur)
The methods used to specify discrete prob.
distributions are similar to (but slightly different from)
those used to specify continuous prob. distributions.
An Introduction to Basic Statistics and Probability – p. 11/4
Probability Mass Function
f(x) - Probability mass function for a discrete random
variable X having possible values x1, x2, · · ·
f(xi) = Pr(X = xi) is the probability that X has the
value xi
Properties
0 ≤ f(xi) ≤ 1
P
i f(xi) = f(x1) + f(x2) + · · · = 1
f(xi) can be displayed as a table or as a mathematical
function
An Introduction to Basic Statistics and Probability – p. 12/4
Probability Mass Function
Example: (Moore p. 244)Suppose the random variable
X is the number of rooms in a randomly chosen
owner-occupied housing unit in Anaheim, California.
The distribution of X is:
Rooms X 1 2 3 4 5 6 7
Probability .083 .071 .076 .139 .210 .224 .197
An Introduction to Basic Statistics and Probability – p. 13/4
Parameters vs. Statistics
A parameter is a number that describes the population.
Usually its value is unknown.
A statistic is a number that can be computed from the
sample data without making use of any unknown
parameters.
In practice, we often use a statistic to estimate an
unknown parameter.
An Introduction to Basic Statistics and Probability – p. 14/4
Parameter vs. Statistic Example
For example, we denote the population mean by µ, and
we can use the sample mean x̄ to estimate µ.
Suppose we wanted to know the average income of
households in NC.
To estimate this population mean income µ, we may
randomly take a sample of 1000 households and
compute their average income x̄ and use this as an
estimate for µ.
An Introduction to Basic Statistics and Probability – p. 15/4
Expected Value
Expected Value of X or (population) mean
µ = E(X) =
R
X
i=1
xi Pr(X = xi) =
R
X
i=1
xif(xi),
where the sum is over R possible values. R may be
finite or infinite.
Analogous to the sample mean x̄
Represents the "average" value of X
An Introduction to Basic Statistics and Probability – p. 16/4
Variance
(Population) variance
σ2
= V ar(X)
=
R
X
i=1
(xi − µ)2
Pr(X = xi)
=
R
X
i=1
x2
i Pr(X = xi) − µ2
Represents the spread, relative to the expected value,
of all values with positive probability
The standard deviation of X, denoted by σ, is the
square root of its variance.
An Introduction to Basic Statistics and Probability – p. 17/4
Room Example
For the Room example, find the following
E(X)
V ar(X)
Pr [a unit has at least 5 rooms]
An Introduction to Basic Statistics and Probability – p. 18/4
Binomial Distribution
Structure
Two possible outcomes: Success (S) and Failure (F).
Repeat the situation n times (i.e., there are n trials).
The "probability of success," p, is constant on each
trial.
The trials are independent.
An Introduction to Basic Statistics and Probability – p. 19/4
Binomial Distribution
Let X = the number of S’s in n independent trials.
(X has values x = 0, 1, 2, · · · , n)
Then X has a binomial distribution with parameters n
and p.
The binomial probability mass function is
Pr(X = x) =

n
x

px
(1 − p)n−x
, x = 0, 1, 2, · · · , n
Expected Value: µ = E(X) = np
Variance: σ2 = V ar(X) = np(1 − p)
An Introduction to Basic Statistics and Probability – p. 20/4
Example
Example: (Moore p.306) Each child born to a particular
set of parents has probability 0.25 of having blood type
O. If these parents have 5 children, what is the
probability that exactly 2 of them have type O blood?
Let X= the number of boys
Pr(X = 2) = f(2) =

5
2

(.25)2
(.75)3
= .2637
An Introduction to Basic Statistics and Probability – p. 21/4
Example
What is the expected number of children with type O
blood?
µ = 5(.25) = 1.25
What is the probability of at least 2 children with type O
blood?
Pr(X ≥ 2) =
5
X
k=2

5
k

(.25)k
(.75)5−k
= 1 −
1
X
k=0

5
k

(.25)k
(.75)5−k
= .3671875
An Introduction to Basic Statistics and Probability – p. 22/4
Continuous Random Variable
f(x) - Probability density function for a continuous
random variable X
Properties
f(x) ≥ 0
R ∞
−∞ f(x)dx = 1
P[a ≤ X ≤ b] =
R b
a f(x)dx
Important Notes
P[a ≤ X ≤ a] =
R a
a f(x)dx = 0
This implies that P[X = a] = 0
P[a ≤ X ≤ b] = P[a  X  b]
An Introduction to Basic Statistics and Probability – p. 23/4
Summarizations
Summarizations for continuous prob. distributions
Mean or Expected Value of X
µ = EX =
Z ∞
−∞
xf(x)dx
Variance
σ2
= V arX
=
Z ∞
−∞
(x − EX)2
f(x)dx
=
Z ∞
−∞
x2
f(x)dx − (EX)2
An Introduction to Basic Statistics and Probability – p. 24/4
Example
Let X represent the fraction of the population in a
certain city who obtain the flu vaccine.
f(x) =
(
2x when 0 ≤ x ≤ 1,
0 otherwise.
Find P(1/4 ≤ X ≤ 1/2)
P(1/4 ≤ X ≤ 1/2) =
Z 1/2
1/4
f(x)dx
=
Z 1/2
1/4
2xdx
= 3/16 An Introduction to Basic Statistics and Probability – p. 25/4
Example
f(x) =
(
2x when 0 ≤ x ≤ 1,
0 otherwise.
Find P(X ≥ 1/2)
Find EX
Find V arX
An Introduction to Basic Statistics and Probability – p. 26/4
Normal Distribution
Most widely used continuous distribution
Also known as the Gaussian distribution
Symmetric
An Introduction to Basic Statistics and Probability – p. 27/4
Normal Distribution
Probability density function
f(x) =
1
σ
√
2π
exp

−
(x − µ)2
2σ2

EX = µ
V arX = σ2
Notation: X ∼ N(µ, σ2)
means that X is normally distributed with mean µ and
variance σ2.
An Introduction to Basic Statistics and Probability – p. 28/4
Standard Normal Distribution
A normal distribution with mean 0 and variance 1 is
called a standard normal distribution.
Standard normal probability density function
f(x) =
1
√
2π
exp

−x2
2

Standard normal cumulative probability function
Let Z ∼ N(0, 1)
Φ(z) = P(Z ≤ z)
Symmetry property
Φ(−z) = 1 − Φ(z)
An Introduction to Basic Statistics and Probability – p. 29/4
Standardization
Standardization of a Normal Random Variable
Suppose X ∼ N(µ, σ2) and let Z = X−µ
σ . Then
Z ∼ N(0, 1).
If X ∼ N(µ, σ2), what is P(a  X  b)?
Form equivalent probability in terms of Z :
P(a  X  b) = P

a − µ
σ
 Z 
b − µ
σ

Use standard normal tables to compute latter
probability.
An Introduction to Basic Statistics and Probability – p. 30/4
Standardization
Example. (Moore pp.65-67) Heights of Women
Suppose the distribution of heights of young women are
normally distributed with µ = 64 and σ2 = 2.72 What is
the probability that a randomly selected young woman
will have a height between 60 and 70 inches?
Pr(60  X  70) = Pr

60 − 64
2.7
 Z 
70 − 64
2.7

= Pr(−1.48  Z  2.22)
= Φ(2.22) − Φ(−1.48)
= .9868 − .0694
= .9174
An Introduction to Basic Statistics and Probability – p. 31/4
Sampling Distribution of X
A natural estimator for the population mean µ is the
sample mean
X =
n
X
i=1
Xi
n
.
Consider x to be a single realization of a random
variable X over all possible samples of size n.
The sampling distribution of X is the distribution of
values of x over all possible samples of size n that could
be selected from the population.
An Introduction to Basic Statistics and Probability – p. 32/4
Expected Value of X
The average of the sample means (x’s) when taken
over a large number of random samples of size n will
approximate µ.
Let X1, · · · , Xn be a random sample from some
population with mean µ. Then for the sample mean X,
E(X) = µ.
X is an unbiased estimator of µ.
An Introduction to Basic Statistics and Probability – p. 33/4
Standard Error of X
Let X1, · · · , Xn be a random sample from some
population with mean µ. and variance σ2.
The variance of the sample mean X is given by
V ar(X) = σ2
/n.
The standard deviation of the sample mean is given by
σ/
√
n. This quantity is called the standard error (of the
mean).
An Introduction to Basic Statistics and Probability – p. 34/4
Standard Error of X
The standard error σ/
√
n is estimated by s/
√
n.
The standard error measures the variability of sample
means from repeated samples of size n drawn from the
same population.
A larger sample provides a more precise estimate X of
µ
An Introduction to Basic Statistics and Probability – p. 35/4
Sampling Distribution of X
Let X1, · · · , Xn be a random sample from a population
that is normally distributed with mean µ and variance σ2.
Then the sample mean X is normally distributed with
mean µ and variance σ2/n.
That is
X ∼ N(µ, σ2
/n).
An Introduction to Basic Statistics and Probability – p. 36/4
Central Limit Theorem
Let X1, · · · , Xn be a random sample from any
population with mean µ and variance σ2.
Then the sample mean X is approximately normally
distributed with mean µ and variance σ2/n.
An Introduction to Basic Statistics and Probability – p. 37/4
Data Sampled from Uniform Distribution
The following is a distribution of X when we take samples
of size 1.
An Introduction to Basic Statistics and Probability – p. 38/4
Example
The following is a distribution of X when we take samples
of size 10.
An Introduction to Basic Statistics and Probability – p. 39/4
References
Moore, David S., The Basic Practice of Statistics.
Third edition. W.H. Freeman and Company. New York.
2003
Weems, Kimberly. SIBS Presentation, 2005.
An Introduction to Basic Statistics and Probability – p. 40/4

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An Introduction To Basic Statistics And Probability

  • 1. An Introduction to Basic Statistics and Probability Shenek Heyward NCSU An Introduction to Basic Statistics and Probability – p. 1/4
  • 2. Outline Basic probability concepts Conditional probability Discrete Random Variables and Probability Distributions Continuous Random Variables and Probability Distributions Sampling Distribution of the Sample Mean Central Limit Theorem An Introduction to Basic Statistics and Probability – p. 2/4
  • 3. Idea of Probability Chance behavior is unpredictable in the short run, but has a regular and predictable pattern in the long run. The probability of any outcome of a random phenomenom is the proportion of times the outcome would occur in a very long series of repetitions. An Introduction to Basic Statistics and Probability – p. 3/4
  • 4. Terminology Sample Space - the set of all possible outcomes of a random phenomenon Event - any set of outcomes of interest Probability of an event - the relative frequency of this set of outcomes over an infinite number of trials Pr(A) is the probability of event A An Introduction to Basic Statistics and Probability – p. 4/4
  • 5. Example Suppose we roll two die and take their sum S = {2, 3, 4, 5, .., 11, 12} Pr(sum = 5) = 4 36 Because we get the sum of two die to be 5 if we roll a (1,4),(2,3),(3,2) or (4,1). An Introduction to Basic Statistics and Probability – p. 5/4
  • 6. Notation Let A and B denote two events. A ∪ B is the event that either A or B or both occur. A ∩ B is the event that both A and B occur simultaneously. The complement of A is denoted by A. A is the event that A does not occur. Note that Pr(A) = 1 − Pr(A). An Introduction to Basic Statistics and Probability – p. 6/4
  • 7. Definitions A and B are mutually exclusive if both cannot occur at the same time. A and B are independent events if and only if Pr(A ∩ B) = Pr(A) Pr(B). An Introduction to Basic Statistics and Probability – p. 7/4
  • 8. Laws of Probability Multiplication Law: If A1, · · · , Ak are independent events, then Pr(A1 ∩ A2 ∩ · · · ∩ Ak) = Pr(A1) Pr(A2) · · · Pr(Ak). Addition Law: If A and B are any events, then Pr(A ∪ B) = Pr(A) + Pr(B) − Pr(A ∩ B) Note: This law can be extended to more than 2 events. An Introduction to Basic Statistics and Probability – p. 8/4
  • 9. Conditional Probability The conditional probability of B given A Pr(B|A) = Pr(A ∩ B) Pr(A) A and B are independent events if and only if Pr(B|A) = Pr(B) = Pr(B|A) An Introduction to Basic Statistics and Probability – p. 9/4
  • 10. Random Variable A random variable is a variable whose value is a numerical outcome of a random phenomenon Usually denoted by X, Y or Z. Can be Discrete - a random variable that has finite or countable infinite possible values Example: the number of days that it rains yearly Continuous - a random variable that has an (continuous) interval for its set of possible values Example: amount of preparation time for the SAT An Introduction to Basic Statistics and Probability – p. 10/4
  • 11. Probability Distributions The probability distribution for a random variable X gives the possible values for X, and the probabilities associated with each possible value (i.e., the likelihood that the values will occur) The methods used to specify discrete prob. distributions are similar to (but slightly different from) those used to specify continuous prob. distributions. An Introduction to Basic Statistics and Probability – p. 11/4
  • 12. Probability Mass Function f(x) - Probability mass function for a discrete random variable X having possible values x1, x2, · · · f(xi) = Pr(X = xi) is the probability that X has the value xi Properties 0 ≤ f(xi) ≤ 1 P i f(xi) = f(x1) + f(x2) + · · · = 1 f(xi) can be displayed as a table or as a mathematical function An Introduction to Basic Statistics and Probability – p. 12/4
  • 13. Probability Mass Function Example: (Moore p. 244)Suppose the random variable X is the number of rooms in a randomly chosen owner-occupied housing unit in Anaheim, California. The distribution of X is: Rooms X 1 2 3 4 5 6 7 Probability .083 .071 .076 .139 .210 .224 .197 An Introduction to Basic Statistics and Probability – p. 13/4
  • 14. Parameters vs. Statistics A parameter is a number that describes the population. Usually its value is unknown. A statistic is a number that can be computed from the sample data without making use of any unknown parameters. In practice, we often use a statistic to estimate an unknown parameter. An Introduction to Basic Statistics and Probability – p. 14/4
  • 15. Parameter vs. Statistic Example For example, we denote the population mean by µ, and we can use the sample mean x̄ to estimate µ. Suppose we wanted to know the average income of households in NC. To estimate this population mean income µ, we may randomly take a sample of 1000 households and compute their average income x̄ and use this as an estimate for µ. An Introduction to Basic Statistics and Probability – p. 15/4
  • 16. Expected Value Expected Value of X or (population) mean µ = E(X) = R X i=1 xi Pr(X = xi) = R X i=1 xif(xi), where the sum is over R possible values. R may be finite or infinite. Analogous to the sample mean x̄ Represents the "average" value of X An Introduction to Basic Statistics and Probability – p. 16/4
  • 17. Variance (Population) variance σ2 = V ar(X) = R X i=1 (xi − µ)2 Pr(X = xi) = R X i=1 x2 i Pr(X = xi) − µ2 Represents the spread, relative to the expected value, of all values with positive probability The standard deviation of X, denoted by σ, is the square root of its variance. An Introduction to Basic Statistics and Probability – p. 17/4
  • 18. Room Example For the Room example, find the following E(X) V ar(X) Pr [a unit has at least 5 rooms] An Introduction to Basic Statistics and Probability – p. 18/4
  • 19. Binomial Distribution Structure Two possible outcomes: Success (S) and Failure (F). Repeat the situation n times (i.e., there are n trials). The "probability of success," p, is constant on each trial. The trials are independent. An Introduction to Basic Statistics and Probability – p. 19/4
  • 20. Binomial Distribution Let X = the number of S’s in n independent trials. (X has values x = 0, 1, 2, · · · , n) Then X has a binomial distribution with parameters n and p. The binomial probability mass function is Pr(X = x) = n x px (1 − p)n−x , x = 0, 1, 2, · · · , n Expected Value: µ = E(X) = np Variance: σ2 = V ar(X) = np(1 − p) An Introduction to Basic Statistics and Probability – p. 20/4
  • 21. Example Example: (Moore p.306) Each child born to a particular set of parents has probability 0.25 of having blood type O. If these parents have 5 children, what is the probability that exactly 2 of them have type O blood? Let X= the number of boys Pr(X = 2) = f(2) = 5 2 (.25)2 (.75)3 = .2637 An Introduction to Basic Statistics and Probability – p. 21/4
  • 22. Example What is the expected number of children with type O blood? µ = 5(.25) = 1.25 What is the probability of at least 2 children with type O blood? Pr(X ≥ 2) = 5 X k=2 5 k (.25)k (.75)5−k = 1 − 1 X k=0 5 k (.25)k (.75)5−k = .3671875 An Introduction to Basic Statistics and Probability – p. 22/4
  • 23. Continuous Random Variable f(x) - Probability density function for a continuous random variable X Properties f(x) ≥ 0 R ∞ −∞ f(x)dx = 1 P[a ≤ X ≤ b] = R b a f(x)dx Important Notes P[a ≤ X ≤ a] = R a a f(x)dx = 0 This implies that P[X = a] = 0 P[a ≤ X ≤ b] = P[a X b] An Introduction to Basic Statistics and Probability – p. 23/4
  • 24. Summarizations Summarizations for continuous prob. distributions Mean or Expected Value of X µ = EX = Z ∞ −∞ xf(x)dx Variance σ2 = V arX = Z ∞ −∞ (x − EX)2 f(x)dx = Z ∞ −∞ x2 f(x)dx − (EX)2 An Introduction to Basic Statistics and Probability – p. 24/4
  • 25. Example Let X represent the fraction of the population in a certain city who obtain the flu vaccine. f(x) = ( 2x when 0 ≤ x ≤ 1, 0 otherwise. Find P(1/4 ≤ X ≤ 1/2) P(1/4 ≤ X ≤ 1/2) = Z 1/2 1/4 f(x)dx = Z 1/2 1/4 2xdx = 3/16 An Introduction to Basic Statistics and Probability – p. 25/4
  • 26. Example f(x) = ( 2x when 0 ≤ x ≤ 1, 0 otherwise. Find P(X ≥ 1/2) Find EX Find V arX An Introduction to Basic Statistics and Probability – p. 26/4
  • 27. Normal Distribution Most widely used continuous distribution Also known as the Gaussian distribution Symmetric An Introduction to Basic Statistics and Probability – p. 27/4
  • 28. Normal Distribution Probability density function f(x) = 1 σ √ 2π exp − (x − µ)2 2σ2 EX = µ V arX = σ2 Notation: X ∼ N(µ, σ2) means that X is normally distributed with mean µ and variance σ2. An Introduction to Basic Statistics and Probability – p. 28/4
  • 29. Standard Normal Distribution A normal distribution with mean 0 and variance 1 is called a standard normal distribution. Standard normal probability density function f(x) = 1 √ 2π exp −x2 2 Standard normal cumulative probability function Let Z ∼ N(0, 1) Φ(z) = P(Z ≤ z) Symmetry property Φ(−z) = 1 − Φ(z) An Introduction to Basic Statistics and Probability – p. 29/4
  • 30. Standardization Standardization of a Normal Random Variable Suppose X ∼ N(µ, σ2) and let Z = X−µ σ . Then Z ∼ N(0, 1). If X ∼ N(µ, σ2), what is P(a X b)? Form equivalent probability in terms of Z : P(a X b) = P a − µ σ Z b − µ σ Use standard normal tables to compute latter probability. An Introduction to Basic Statistics and Probability – p. 30/4
  • 31. Standardization Example. (Moore pp.65-67) Heights of Women Suppose the distribution of heights of young women are normally distributed with µ = 64 and σ2 = 2.72 What is the probability that a randomly selected young woman will have a height between 60 and 70 inches? Pr(60 X 70) = Pr 60 − 64 2.7 Z 70 − 64 2.7 = Pr(−1.48 Z 2.22) = Φ(2.22) − Φ(−1.48) = .9868 − .0694 = .9174 An Introduction to Basic Statistics and Probability – p. 31/4
  • 32. Sampling Distribution of X A natural estimator for the population mean µ is the sample mean X = n X i=1 Xi n . Consider x to be a single realization of a random variable X over all possible samples of size n. The sampling distribution of X is the distribution of values of x over all possible samples of size n that could be selected from the population. An Introduction to Basic Statistics and Probability – p. 32/4
  • 33. Expected Value of X The average of the sample means (x’s) when taken over a large number of random samples of size n will approximate µ. Let X1, · · · , Xn be a random sample from some population with mean µ. Then for the sample mean X, E(X) = µ. X is an unbiased estimator of µ. An Introduction to Basic Statistics and Probability – p. 33/4
  • 34. Standard Error of X Let X1, · · · , Xn be a random sample from some population with mean µ. and variance σ2. The variance of the sample mean X is given by V ar(X) = σ2 /n. The standard deviation of the sample mean is given by σ/ √ n. This quantity is called the standard error (of the mean). An Introduction to Basic Statistics and Probability – p. 34/4
  • 35. Standard Error of X The standard error σ/ √ n is estimated by s/ √ n. The standard error measures the variability of sample means from repeated samples of size n drawn from the same population. A larger sample provides a more precise estimate X of µ An Introduction to Basic Statistics and Probability – p. 35/4
  • 36. Sampling Distribution of X Let X1, · · · , Xn be a random sample from a population that is normally distributed with mean µ and variance σ2. Then the sample mean X is normally distributed with mean µ and variance σ2/n. That is X ∼ N(µ, σ2 /n). An Introduction to Basic Statistics and Probability – p. 36/4
  • 37. Central Limit Theorem Let X1, · · · , Xn be a random sample from any population with mean µ and variance σ2. Then the sample mean X is approximately normally distributed with mean µ and variance σ2/n. An Introduction to Basic Statistics and Probability – p. 37/4
  • 38. Data Sampled from Uniform Distribution The following is a distribution of X when we take samples of size 1. An Introduction to Basic Statistics and Probability – p. 38/4
  • 39. Example The following is a distribution of X when we take samples of size 10. An Introduction to Basic Statistics and Probability – p. 39/4
  • 40. References Moore, David S., The Basic Practice of Statistics. Third edition. W.H. Freeman and Company. New York. 2003 Weems, Kimberly. SIBS Presentation, 2005. An Introduction to Basic Statistics and Probability – p. 40/4