Documente Academic
Documente Profesional
Documente Cultură
A B
4.3 5.3
3.9 4.2
3.5 3.3
3.2 5.9
2.7 4.3
3.9 3.9
3.8 3.7
Mean
Variance
Observations
df
F
P(F<=f) one-tail
F Critical one-tail
P=0.10>0.05 deci cele doua dispersii(variance) nu difera semnificativ. Pentru testul t vom alege optiune EQUAL VARIANCES
Facem acum testul t: TOOLS->NUMERIC TOOLS->ANALISYS TOOLS-> t-Test
Mean
Variance
Observations
Pooled Variance
Hypothesized Mean Difference
df
t
P(T<=t) one-tail
t Critical one-tail
P(T<=t) two-tail
t Critical two-tail
X
4.28 4.32
4.21
4.3
4.36
4.26
4.33
Pentru ca testul F sa functioneze, trebuie sa avem cel putin doua valori de 4.32. Adaugam "artificial" numarul 4.32, ventual pa
X
4.28 4.32 F-Test: Two-Sample for Variances
4.21 4.32
4.3 4.32 Mean
4.36 4.32 Variance
4.26 4.32 Observations
4.33 4.32 df
F
P(F<=f) one-tail
F Critical one-tail
Observatie. Este firesc sa avem P=0 pentru ca a doua coloana este constanta, deci nu exista variatie.
Mean
Variance
Observations
Pearson Correlation
Pooled Variance
df
t
P(T<=t) one-tail
t Critical one-tail
P(T<=t) two-tail
t Critical two-tail
II. ANOVA (one way) compara mediile cand avem cel putin trei coloane. Pentru doua coloane se obtine acelasi rezultat ca la t
ANOVA =ANALISYS OF VARIANCE
A B C
4.3 5.3 1
3.9 4.2 2
3.5 3.3 3
3.2 5.9 4
2.7 4.3 5
3.9 3.9 6
3.8 3.7 7
e facut testul F, care compara dispersiile (teoretice) ale celor doua coloane. Testel F si t se pot aplica si pentru coloane cu numar diferit de
0,05 (daca P>0,05, atunci nu difera semnificativ, daca P<0,05 atunci difera semnificativ)
Variable 1 Variable 2
3.614285714 4.37142857142857
0.281428571 0.842380952380953
7 7
6 6
2.99323181
0.103963031
3.054550682
Variable 1 Variable 2
3.614285714 4.37142857142857
0.281428571 0.842380952380953
7 7
0.561904762
0
12
-1.889646187
0.0416002
1.782287554
0.0832004
2.178812829
gam "artificial" numarul 4.32, ventual pana obtinem acelasi numar de elemente in cele doua coloane.
Variable 1 Variable 2
4.29 4.32
0.0028 0
6 6
5 5
#DIV/0!
#DIV/0! P=0<0.05 deci, dispersiile(variance) difera semnificativ si la testul t alegem ale
5.050329058
u exista variatie.
Variable 1 Variable 2
4.29 4.32
0.0028 0
6 6
#DIV/0!
0.0014
5
-1.38873015
0.111798877
2.015048373
0.223597753 P=0.22>0.05 deci media(mean) de pe coloana X nu difera semnificativ de num
2.570581835
Summary
Analysis of Variance
Source of Variation
SS df MS F P-value F-crit
Between Grou 2.00666666666671 2 1.003333 0.519819 0.603288 3.554557
Within Groups 34.7428571428572 18 1.930159
Total 36.7495238095239 20