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STATISTICAL METHOD_TM30703

MIDTERM
1.

a)
Statistics

Number of driving citations


N Valid 12
Missing 0
Mean 7.33
Median 7.50
Mode 4(a)
a Multiple modes exist. The smallest value is shown

b)
Statistics

Number of driving citations


N Valid 12
Missing 0
Std. Deviation 4.141
Variance 17.152
Range 14
STATISTICAL METHOD_TM30703

2.
a)

100

90
Test

80

70

60

2.0 4.0 6.0 8.0


Stress

b)

Correlations

Stress Test
Stress Pearson
1 -.861(*)
score Correlation
Sig. (2-tailed) .013
N 7 7
Test Pearson
-.861(*) 1
score Correlation
Sig. (2-tailed) .013
STATISTICAL METHOD_TM30703

N 7 7
* Correlation is significant at the 0.05 level (2-tailed).
TUTORIAL 1

1.

Statistics

Number of car thefts


N Valid 12
Missing 0
Mean 6.67
Median 6.50
Mode 3(a)

2.
Statistics

Total area of farmland


N Valid 10
Missing 2
Mean 46.80
Median 37.00

Recalculated data
Statistics

Total area of farmland


N Valid 9
Missing 3
Mean 37.67
Median 34.00

3.
a)
Statistics

Apartment Rent
N Valid 12
Missing 0
Mean 598.83
Median 608.50
STATISTICAL METHOD_TM30703

b)
Statistics

Prices of House
N Valid 12
Missing 0
Mean 139937.3
3
Median 137975.0
0

c)
Statistics

Phone Bill
N Valid 12
Missing 0
Mean 21.3825
Median 20.3000

d)
Statistics

Cost of a Hospital Room


N Valid 12
Missing 0
Mean 411.2683
Median 373.0000

e)
Statistics

Price of Wine
N Valid 12
Missing 0
Mean 4.9025
Median 4.7300
STATISTICAL METHOD_TM30703

4.
Statistics

Number of car thefts


N Valid 12
Missing 0
Std. Deviation 3.284
Variance 10.788
Range 11

5.
Statistics

1995 revenues (in billions of U.S. dollars)


N Valid 10
Missing 2
Std. Deviation 30.252
Variance 915.211
Range 74
STATISTICAL METHOD_TM30703

TUTORIAL 2
18.
a)

120

100

80
Price

60

40

20

2 4 6 8
Age

c)
Correlations

Age Price
Age Pearson
1 -.916(**)
Correlation
Sig. (2-tailed) .001
N 8 8
Price Pearson -.916(**
1
Correlation )
Sig. (2-tailed) .001
N 8 8
** Correlation is significant at the 0.01 level (2-tailed).
STATISTICAL METHOD_TM30703

19.
a)

35

30
Salary

25

20

15

0 5 10 15 20
Experience

c)
Correlations

Experienc
e Salary
Experienc Pearson
1 .963(**)
e Correlation
Sig. (2-tailed) .000
N 9 9
Salary Pearson
.963(**) 1
Correlation
Sig. (2-tailed) .000
N 9 9
** Correlation is significant at the 0.01 level (2-tailed).
STATISTICAL METHOD_TM30703

20.
a)

100

90
Final

80

70

60

50 60 70 80 90 100
Midterm

c)
Correlations

Midterm Final
Midter Pearson
1 .856(*)
m Correlation
Sig. (2-tailed) .014
N 7 7
Final Pearson
.856(*) 1
Correlation
Sig. (2-tailed) .014
N 7 7
* Correlation is significant at the 0.05 level (2-tailed).
STATISTICAL METHOD_TM30703

TUTORIAL 5
1.
Paired Samples Statistics

Std.
Std. Error
Mean N Deviation Mean
Pair BEFORE
15.67 6 5.538 2.261
1
AFTER 19.83 6 3.817 1.558

Paired Samples Correlations

Correlatio
N n Sig.
Pair 1 BEFORE & AFTER 6 .905 .013

Paired Samples Test

Sig. (2-
Paired Differences df
tailed)
95% Confidence
Interval of the
Std. Difference Std. Deviation
Std. Error
Mean Deviation Mean Upper Lower t Lower
Pair BEFORE –
-4.167 2.639 1.078 -6.937 -1.397 -3.867 5 .012
1 AFTER

2.
Paired Samples Statistics

Std.
Std. Error
Mean N Deviation Mean
Pair BEFORE
208.43 7 18.100 6.841
1
AFTER 203.43 7 21.078 7.967
STATISTICAL METHOD_TM30703

Paired Samples Correlations

Correlatio
N n Sig.
Pair 1 BEFORE & AFTER 7 .859 .013

Paired Samples Test

Sig. (2-
Paired Differences df
tailed)
95% Confidence
Interval of the
Std. Difference Std. Deviation
Std. Error
Mean Deviation Mean Upper Lower t Lower
Pair BEFORE -
5.000 10.786 4.077 -4.975 14.975 1.226 6 .266
1 AFTER
STATISTICAL METHOD_TM30703

TUTORIAL 6

1.
Descriptives

WHEAT
95% Confidence Interval
for Mean
Std. Std. Lower Upper Maximu
N Mean Deviation Error Bound Bound Minimum m
1 8 68.13 5.718 2.022 63.34 72.91 57 75
2 8 50.13 5.768 2.039 45.30 54.95 42 58
3 8 61.50 4.840 1.711 57.45 65.55 55 70
Total 24 59.92 9.212 1.880 56.03 63.81 42 75

Test of Homogeneity of Variances

WHEAT
Levene
Statistic df1 df2 Sig.
.295 2 21 .748

ANOVA

WHEAT
Sum of Mean
Squares df Square F Sig.
Between
1326.083 2 663.042 22.251 .000
Groups
Within Groups 625.750 21 29.798
Total 1951.833 23

Multiple Comparisons

Dependent Variable: WHEAT


Tukey HSD

Mean 95% Confidence Interval


(I) (J) Difference Std. Upper Lower
FERTILIZER FERTILIZER (I-J) Error Sig. Bound Bound
1 2 18.000(*) 2.729 .000 11.12 24.88
3 6.625 2.729 .060 -.25 13.50
2 1 -18.000(*) 2.729 .000 -24.88 -11.12
3 -11.375(*) 2.729 .001 -18.25 -4.50
3 1 -6.625 2.729 .060 -13.50 .25
2 11.375(*) 2.729 .001 4.50 18.25
STATISTICAL METHOD_TM30703

* The mean difference is significant at the .05 level.


WHEAT

Tukey HSD
Subset for alpha = .
FERTILIZE 05
R N 2 1
2 8 50.13
3 8 61.50
1 8 68.13
Sig. 1.000 .060
Means for groups in homogeneous subsets are displayed.
a Uses Harmonic Mean Sample Size = 8.000.

2.
Descriptives

HOURS
95% Confidence Interval
for Mean
Std. Std. Lower Upper Maximu
N Mean Deviation Error Bound Bound Minimum m
1 7 23.14 2.268 .857 21.05 25.24 19 26
2 7 20.71 2.289 .865 18.60 22.83 18 24
3 7 24.57 2.299 .869 22.45 26.70 21 27
4 7 25.71 2.870 1.085 23.06 28.37 21 29
Total 28 23.54 2.987 .565 22.38 24.69 18 29

Test of Homogeneity of Variances

HOURS
Levene
Statistic df1 df2 Sig.
.432 3 24 .732

ANOVA

HOURS
Sum of Mean
Squares df Square F Sig.
Between
97.536 3 32.512 5.440 .005
Groups
Within Groups 143.429 24 5.976
Total 240.964 27
STATISTICAL METHOD_TM30703

Multiple Comparisons

Dependent Variable: HOURS


Tukey HSD

Mean 95% Confidence Interval


(I) (J) Difference Std. Upper Lower
BRAND BRAND (I-J) Error Sig. Bound Bound
1 2 2.429 1.307 .272 -1.18 6.03
3 -1.429 1.307 .697 -5.03 2.18
4 -2.571 1.307 .228 -6.18 1.03
2 1 -2.429 1.307 .272 -6.03 1.18
3 -3.857(*) 1.307 .033 -7.46 -.25
4 -5.000(*) 1.307 .004 -8.60 -1.40
3 1 1.429 1.307 .697 -2.18 5.03
2 3.857(*) 1.307 .033 .25 7.46
4 -1.143 1.307 .818 -4.75 2.46
4 1 2.571 1.307 .228 -1.03 6.18
2 5.000(*) 1.307 .004 1.40 8.60
3 1.143 1.307 .818 -2.46 4.75
* The mean difference is significant at the .05 level.

HOURS

Tukey HSD
Subset for alpha = .
05
BRAND N 2 1
2 7 20.71
1 7 23.14 23.14
3 7 24.57
4 7 25.71
Sig. .272 .228
Means for groups in homogeneous subsets are displayed.
a Uses Harmonic Mean Sample Size = 7.000.
STATISTICAL METHOD_TM30703

TUTORIAL 7

1.
Variables Entered/Removed(b)

Variables Variables
Model Entered Removed Method
1 EXPERIEN
. Enter
CE(a)
a All requested variables entered.
b Dependent Variable: INSURANCE

Model Summary(b)

Std. Error
Adjusted of the
Model R R Square R Square Estimate
1 .768(a) .590 .521 10.320
a Predictors: (Constant), EXPERIENCE
b Dependent Variable: INSURANCE

ANOVA(b)

Sum of Mean
Model Squares df Square F Sig.
1 Regression 918.493 1 918.493 8.624 .026(a)
Residual 639.007 6 106.501
Total 1557.500 7
a Predictors: (Constant), EXPERIENCE
b Dependent Variable: INSURANCE

Coefficients(a)

Unstandardized Standardized
Coefficients Coefficients
Std.
Model B Error Beta t Sig.
1 (Constant) 76.660 6.961 11.012 .000
EXPERIENC
-1.548 .527 -.768 -2.937 .026
E
a Dependent Variable: INSURANCE
STATISTICAL METHOD_TM30703

Residuals Statistics(a)

Maximu Std.
Minimum m Mean Deviation N
Predicted Value 37.97 73.57 59.25 11.455 8
Std. Predicted Value -1.858 1.250 .000 1.000 8
Standard Error of
3.670 8.113 4.972 1.475 8
Predicted Value
Adjusted Predicted
31.45 70.37 58.05 12.870 8
Value
Residual -11.375 13.435 .000 9.554 8
Std. Residual -1.102 1.302 .000 .926 8
Stud. Residual -1.230 1.612 .046 1.068 8
Deleted Residual -14.163 20.609 1.202 12.922 8
Stud. Deleted
-1.298 1.955 .078 1.144 8
Residual
Mahal. Distance .010 3.451 .875 1.148 8
Cook's Distance .043 .694 .192 .223 8
Centered Leverage
.001 .493 .125 .164 8
Value
a Dependent Variable: INSURANCE
STATISTICAL METHOD_TM30703

Normal P-P Plot of Regression Standardized Residual

Dependent Variable: INSURANCE

1.0

0.8
Expected Cum Prob

0.6

0.4

0.2

0.0
0.0 0.2 0.4 0.6 0.8 1.0
Observed Cum Prob
STATISTICAL METHOD_TM30703

Scatterplot

Dependent Variable: INSURANCE

1.5
Regression Standardized Residual

1.0

0.5

0.0

-0.5

-1.0

-1.5

-2 -1 0 1 2
Regression Standardized Predicted Value
STATISTICAL METHOD_TM30703

2.
Variables Entered/Removed(b)

Variables Variables
Model Entered Removed Method
1 EXPERIEN
. Enter
CE(a)
a All requested variables entered.
b Dependent Variable: SALARY

Model Summary(b)

Std. Error
Adjusted of the
Model R R Square R Square Estimate
1 .963(a) .927 .917 1.725
a Predictors: (Constant), EXPERIENCE
b Dependent Variable: SALARY

ANOVA(b)

Sum of Mean
Model Squares df Square F Sig.
1 Regression 264.726 1 264.726 88.962 .000(a)
Residual 20.830 7 2.976
Total 285.556 8
a Predictors: (Constant), EXPERIENCE
b Dependent Variable: SALARY

Coefficients(a)

Unstandardized Standardized
Coefficients Coefficients
Std.
Model B Error Beta t Sig.
1 (Constant) 12.754 1.116 11.427 .000
EXPERIENC
1.015 .108 .963 9.432 .000
E
a Dependent Variable: SALARY
STATISTICAL METHOD_TM30703

Residuals Statistics(a)

Maximu Std.
Minimum m Mean Deviation N
Predicted Value 15.80 31.03 21.78 5.752 9
Std. Predicted Value -1.039 1.608 .000 1.000 9
Standard Error of
.575 1.137 .797 .169 9
Predicted Value
Adjusted Predicted
16.06 32.58 21.84 5.914 9
Value
Residual -2.027 3.003 .000 1.614 9
Std. Residual -1.175 1.741 .000 .935 9
Stud. Residual -1.562 2.093 -.014 1.118 9
Deleted Residual -3.583 4.340 -.063 2.324 9
Stud. Deleted
-1.792 3.168 .075 1.428 9
Residual
Mahal. Distance .000 2.585 .889 .786 9
Cook's Distance .000 .975 .252 .401 9
Centered Leverage
.000 .323 .111 .098 9
Value
a Dependent Variable: SALARY
STATISTICAL METHOD_TM30703

Normal P-P Plot of Regression Standardized Residual

Dependent Variable: SALARY

1.0

0.8
Expected Cum Prob

0.6

0.4

0.2

0.0
0.0 0.2 0.4 0.6 0.8 1.0
Observed Cum Prob
STATISTICAL METHOD_TM30703

Scatterplot

Dependent Variable: SALARY

2
Regression Standardized Residual

-1

-2

-1 0 1 2
Regression Standardized Predicted Value
STATISTICAL METHOD_TM30703

TUTORIAL 8
2.
Case Processing Summary

Cases
Valid Missing Total
N Percent N Percent N Percent
GENDER *
4 100.0% 0 .0% 4 100.0%
SEATBELT

GENDER * SEATBELT Crosstabulation

SEATBELT
1.00 2.00 Total
GENDER 1.00 Count 1 1 2
Expected Count 1.0 1.0 2.0
% within
50.0% 50.0% 100.0%
GENDER
% within
50.0% 50.0% 50.0%
SEATBELT
% of Total 25.0% 25.0% 50.0%
2.00 Count 1 1 2
Expected Count 1.0 1.0 2.0
% within
50.0% 50.0% 100.0%
GENDER
% within
50.0% 50.0% 50.0%
SEATBELT
% of Total 25.0% 25.0% 50.0%
Total Count 2 2 4
Expected Count 2.0 2.0 4.0
% within
50.0% 50.0% 100.0%
GENDER
% within
100.0% 100.0% 100.0%
SEATBELT
% of Total 50.0% 50.0% 100.0%
STATISTICAL METHOD_TM30703

Chi-Square Tests

Asymp. Exact
Sig. (2- Sig. (2- Exact Sig.
Value df sided) sided) (1-sided)
Pearson Chi-
.000(b) 1 1.000
Square
Continuity
.000 1 1.000
Correction(a)
Likelihood Ratio .000 1 1.000
Fisher's Exact
1.000 .833
Test
Linear-by-Linear
.000 1 1.000
Association
N of Valid Cases 4
a Computed only for a 2x2 table
b 4 cells (100.0%) have expected count less than 5. The minimum expected count is 1.00.

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