Quantitative Techniques For Business On28sept2015
Quantitative Techniques For Business On28sept2015
NTIT
TATIIVETEC
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UN
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SchoolofDistanceEducation
UNIVERSITY OF CALICUT
STUDY MATERIAL
Preparedby Sri.Vineethan T,
AssistantProfessor,
DepartmentofCommerce,
Govt.College,Madappally.
Scrutinizedby Dr.K.Venugopalan,
AssociateProfessor,
DepartmentofCommerce,
Govt.College,Madappally.
Layout: ComputerSection,SDE
Reserved
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CONTENTS
CHAPTER PAGE NO.
TITLE
NO.
1 QUANTITATIVE TECHNIQUES 5
2 CORRELATION ANALYSIS 11
3 REGRESSION ANALYSIS 34
4 THEORY OF PROBABILITY 49
5 PROBABILITY DISTRIBUTION 72
6 BINOMIAL DISTRIBUTION 75
7 POISSON DISTRIBUTION 83
8 NORMAL DISTRIBUTION 87
9 TESTING OF HYPOTHESIS 94
10 NON-PARAMETRIC TESTS 117
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CHAPTER 1
QUANTITATIVE TECHNIQUES
Quantitative techniques may be defined as those techniques which provide the decision
makes a systematic and powerful means of analysis, based on quantitative data. It is a scientific
method employed for problem solving and decision making by the management. With the help of
quantitative techniques, the decision maker is able to explore policies for attaining the
predetermined objectives. In short, quantitative techniques are inevitable in decision-making
process.
There are different types of quantitative techniques. We can classify them into three
categories. They are:
A technique in which quantitative data are used along with the principles of mathematics
is known as mathematical quantitative techniques. Mathematical quantitative techniques involve:
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3. Matrix Algebra:
4. Determinants:
It is a powerful device developed over the matrix algebra. This device is used for finding
out values of different variables connected with a number of simultaneous equations.
5. Differentiation:
It is a mathematical process of finding out changes in the dependent variable with
reference to a small change in the independent variable.
6. Integration:
7. Differential Equation:
1. Collection of data:
One of the important statistical methods is collection of data. There are different methods
for collecting primary and secondary data.
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4. Index Numbers:
Index numbers measure the fluctuations in various Phenomena like price, production etc
over a period of time, They are described as economic barometres.
8. Ratio Analysis:
Ratio analysis is used for analyzing financial statements of any business or industrial
concerns which help to take appropriate decisions.
9. Probability Theory:
Theory of probability provides numerical values of the likely hood of the occurrence of
events.
10. Testing of Hypothesis
Testing of hypothesis is an important statistical tool to judge the reliability of inferences
drawn on the basis of sample studies.
Programming Techniques:
1. Linear Programming:
2. Queuing Theory:
Queuing theory deals with mathematical study of queues. It aims at minimizing cost of
both servicing and waiting.
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3. Game Theory:
Game theory is used to determine the optimum strategy in a competitive situation.
4. Decision Theory:
This is concerned with making sound decisions under conditions of certainty, risk and
uncertainty.
5. Inventory Theory:
Inventory theory helps for optimizing the inventory levels. It focuses on minimizing cost
associated with holding of inventories.
7. Simulation:
8. Replacement Theory:
10. Sequencing:
Sequencing tool is used to determine a sequence in which given jobs should be performed
by minimizing the total efforts.
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Quantitative techniques render valuable services in the field of business and industry.
Today, all decisions in business and industry are made with the help of quantitative techniques.
Some important uses of quantitative techniques in the field of business and industry are
given below:
2. Inventory control techniques are useful in dividing when and how much items are to
be purchase so as to maintain a balance between the cost of holding and cost of
ordering the inventory
3. Quantitative techniques of CPM, and PERT helps in determining the earliest and the
latest times for the events and activities of a project. This helps the management in
proper deployment of resources.
4. Decision tree analysis and simulation technique help the management in taking the
best possible course of action under the conditions of risks and uncertainty.
5. Queuing theory is used to minimize the cost of waiting and servicing of the
customers in queues.
Even though the quantitative techniques are inevitable in decision-making process, they
are not free from short comings. The following are the important limitations of quantitative
techniques:
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1. Quantitative techniques involves mathematical models, equations and other mathematical
expressions
2. Quantitative techniques are based on number of assumptions. Therefore, due care must be
ensured while using quantitative techniques, otherwise it will lead to wrong conclusions.
3. Quantitative techniques are very expensive.
4. Quantitative techniques do not take into consideration intangible facts like skill, attitude
etc.
5. Quantitative techniques are only tools for analysis and decision-making. They are not
decisions itself.
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CHAPTER - 2
CORRELEATION ANALYSIS
Introduction:
In practice, we may come across with lot of situations which need statistical analysis of
either one or more variables. The data concerned with one variable only is called univariate data.
For Example: Price, income, demand, production, weight, height marks etc are concerned with
one variable only. The analysis of such data is called univariate analysis.
The data concerned with two variables are called bivariate data. For example: rainfall and
agriculture; income and consumption; price and demand; height and weight etc. The analysis of
these two sets of data is called bivariate analysis.
The date concerned with three or more variables are called multivariate date. For
example: agricultural production is influenced by rainfall, quality of soil, fertilizer etc.
The statistical technique which can be used to study the relationship between two or more
variables is called correlation analysis.
Definition:
Two or more variables are said to be correlated if the change in one variable results in a
corresponding change in the other variable.
According to Simpson and Kafka, Correlation analysis deals with the association
between two or more variables.
Lun chou defines, Correlation analysis attempts to determine the degree of relationship between
variables.
Boddington states that Whenever some definite connection exists between two or more
groups or classes of series of data, there is said to be correlation.
In nut shell, correlation analysis is an analysis which helps to determine the degree of
relationship exists between two or more variables.
Correlation Coefficient:
Correlation analysis is actually an attempt to find a numerical value to express the extent
of relationship exists between two or more variables. The numerical measurement showing the
degree of correlation between two or more variables is called correlation coefficient. Correlation
coefficient ranges between -1 and +1.
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3. Correlation analysis enables the business executives to estimate cost, price and other
variables.
4. Correlation analysis can be used as a basis for the study of regression. Once we know
that two variables are closely related, we can estimate the value of one variable if the
value of other is known.
5. Correlation analysis helps to reduce the range of uncertainty associated with decision
making. The prediction based on correlation analysis is always near to reality.
6. It helps to know whether the correlation is significant or not. This is possible by
comparing the correlation co-efficient with 6PE. It r is more than 6 PE, the correlation
is significant.
Classification of Correlation
Correlation can be classified in different ways. The following are the most important
classifications
1. Positive and Negative correlation
2. Simple, partial and multiple correlation
3. Linear and Non-linear correlation
Eg: 1) A: 10 20 30 40 50
B: 80 100 150 170 200
2) X: 78 60 52 46 38
Y: 20 18 14 10 5
Negative Correlation:
When the variables are moving in opposite direction, it is called negative correlation. In
other words, if an increase in the value of one variable is accompanied by a decrease in the value
of other variable or if a decrease in the value of one variable is accompanied by an increase in the
value of other variable, it is called negative correlation.
Eg: 1) A: 5 10 15 20 25
B: 16 10 8 6 2
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2) X: 40 32 25 20 10
Y: 2 3 5 8 12
Linear Correlation
In a correlation analysis, if the ratio of change between the two sets of variables is same,
then it is called linear correlation.
For example when 10% increase in one variable is accompanied by 10% increase in the
other variable, it is the problem of linear correlation.
X: 10 15 30 60
Y: 50 75 150 300
Here the ratio of change between X and Y is the same. When we plot the data in graph
paper, all the plotted points would fall on a straight line.
Non-linear correlation
In a correlation analysis if the amount of change in one variable does not bring the same
ratio of change in the other variable, it is called non linear correlation.
X: 2 4 6 10 15
Y: 8 10 18 22 26
Here the change in the value of X does not being the same proportionate change in the value of Y.
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This is the problem of non-linear correlation, when we plot the data on a graph paper, the
plotted points would not fall on a straight line.
Degrees of correlation:
If an increase in the value of one variable is followed by the same proportion of increase in
other related variable or if a decrease in the value of one variable is followed by the same
proportion of decrease in other related variable, it is perfect positive correlation. eg: if 10% rise in
price of a commodity results in 10% rise in its supply, the correlation is perfectly positive.
Similarly, if 5% full in price results in 5% fall in supply, the correlation is perfectly positive.
If an increase in the value of one variable is followed by the same proportion of decrease
in other related variable or if a decrease in the value of one variable is followed by the same
proportion of increase in other related variably it is Perfect Negative Correlation. For example if
10% rise in price results in 10% fall in its demand the correlation is perfectly negative. Similarly
if 5% fall in price results in 5% increase in demand, the correlation is perfectly negative.
For example, if 10% rise in price of a commodity results in 5% rise in its supply, it is
limited degree of positive correlation. Similarly if 10% fall in price of a commodity results in 5%
fall in its supply, it is limited degree of positive correlation.
For example, if 10% rise in price results in 5% fall in its demand, it is limited degree of
negative correlation. Similarly, if 5% fall in price results in 10% increase in demand, it is limited
degree of negative correlation.
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Methods of measuring correlation
I Graphic Methods
1) Scatter Diagram
2) Correlation graph
Scatter Diagram
This is the simplest method for ascertaining the correlation between variables. Under this
method all the values of the two variable are plotted in a chart in the form of dots. Therefore, it is
also known as dot chart. By observing the scatter of the various dots, we can form an idea that
whether the variables are related or not.
A scatter diagram indicates the direction of correlation and tells us how closely the two
variables under study are related. The greater the scatter of the dots, the lower is the relationship
Y Y
X X
X X
X X
X X
X X
X X
X X
X X
0 X 0 X
Perfect Positive Correlation Perfect Negative Correlation
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Y X Y X
X X
X X
X X
X X
X X
X X
X X
X X
X X
X X
X X
X X
X X
X
X X
0 X
0 X
High Degree of Negative Correlation
High Degree of Positive Correlation
Y X Y X
X X X
X X X
X X X X
X X X X
X X X X
X X X X
X X X X
X X X X
X X X X
X X X X
X X X
X X X X
X X X X
X
X X X X
X
0 X
0 X
Low Degree of Negative Correlation
Low Degree of Positive Correlation
Y
X X X X X
X X X X X
X X X X X
X X X X X
X X X X X X
0 X
No Correlation (r = 0)
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Pearsons coefficient of correlation is defined as the ratio of the covariance between X and
Y to the product of their standard deviations. This is denoted by r or rxy
r = Covariance of X and Y
(SD of X) x (SD of Y)
Interpretation of Co-efficient of Correlation
Pearsons Co-efficient of correlation always lies between +1 and -1. The following
general rules will help to interpret the Co-efficient of correlation:
i.e r=
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r=
or
r=
whereas x-x- and y=y-
Calculate Pearsons co-efficient of correlation between age and playing habits of students:
Age: 20 21 22 23 24 25
No. of students 500 400 300 240 200 160
Regular players 400 300 180 96 60 24
Let X = Age and Y = Percentage of regular players
Percentage of regular players can be calculated as follows:-
400 x 100 = 80; 300 x 100 = 75; 180 x 100 = 60; 96 x 100 = 40 ,
500 400 300 240
Pearsons Coefficient of
.
Correlation (r) =
.
= = = 22.5
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= = = 50
r = = = = -0.9912
. , .
r=
Where dx = deviations of X from its assumed mean; dy= deviations of y from its assumed mean
Find out coefficient of correlation between size and defect in quality of shoes:
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r=
r=
= = = -0.9485
.
Direct Method:
Under direct method, coefficient of correlation is calculated without taking actual mean or
assumed mean
r=
Price : 10 12 14 15 19
Demand (Qty) 40 41 48 60 50
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r=
r=
, ,
r= = = +0.621
.
1 2
PE = 0.6745
If the value of coefficient of correlation ( r) is less than the PE, then there is no evidence of
correlation.
If the value of r is more than 6 times of PE, the correlation is certain and significant.
By adding and submitting PE from coefficient of correlation, we can find out the upper
and lower limits within which the population coefficient of correlation may be expected to lie.
Uses of PE:
1) PE is used to determine the limits within which the population coefficient of correlation
may be expected to lie.
2) It can be used to test whether the value of correlation coefficient of a sample is significant
with that of the population
If r = 0.6 and N = 64, find out the PE and SE of the correlation coefficient. Also determine
the limits of population correlation coefficient.
Sol: r = 0.6
N=64
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PE = 0.6745 SE
SE =
. . .
= = = 0.08
= 0.05396
= 0.6 0.05396
= 0.54604 to 0.6540
Qn. 2 r and PE have values 0.9 and 0.04 for two series. Find n.
Sol: PE = 0.04
0.6745 0.04
. .
=
.
.
= 0.0593
.
= 0.0593
0.0593 = 0.19
.
.
3.2
N = 10
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Coefficient of Determination
One very convenient and useful way of interpreting the value of coefficient of correlation is
the use of the square of coefficient of correlation. The square of coefficient of correlation is
called coefficient of determination.
Coefficient of determination = r2
Coefficient of determination is the ratio of the explained variance to the total variance.
For example, suppose the value of r = 0.9, then r2 = 0.81=81%
This means that 81% of the variation in the dependent variable has been explained by
(determined by) the independent variable. Here 19% of the variation in the dependent variable
has not been explained by the independent variable. Therefore, this 19% is called coefficient of
non-determination.
Coefficient of non-determination (K2) = 1 r2
K2 = 1- coefficient of determination
Qn: Calculate coefficient of determination and non-determination if coefficient of correlation
is 0.8
Sol:- r =0.8
Coefficient of determination =
= 0.82 = 0.64 = 64%
Co efficient of non-determination =1
= 1- 0.64
= 0.36
= 36%
1. This is the most widely used algebraic method to measure coefficient of correlation.
2. It gives a numerical value to express the relationship between variables
3. It gives both direction and degree of relationship between variables
4. It can be used for further algebraic treatment such as coefficient of determination
coefficient of non-determination etc.
5. It gives a single figure to explain the accurate degree of correlation between two variables
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3. It requires complicated mathematical calculations
4. It takes more time
5. It is unduly affected by extreme items
6. It assumes a linear relationship between the variables. But in real life situation, it may not
be so.
Spearmans Rank Correlation Method
The correlation coefficient obtained from ranks of the variables instead of their
quantitative measurement is called rank correlation. This was developed by Charles Edward
Spearman in 1904.
N = number of pairs
Qn: Find the rank correlation coefficient between poverty and overcrowding from the
information given below:
Town: A B C D E F G H I J
Poverty: 17 13 15 16 6 11 14 9 7 12
Over crowing: 36 46 35 24 12 18 27 22 2 8
Sol: Here ranks are not given. Hence we have to assign ranks
R = 1-
N = 10
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A 17 36 1 2 1 1
B 13 46 5 1 4 16
C 15 35 3 3 0 0
D 16 24 2 5 3 9
E 6 12 10 8 2 4
F 11 18 7 7 0 0
G 14 27 4 4 0 0
H 9 22 8 6 2 4
I 7 2 9 10 1 1
J 12 8 6 9 3 9
44
R=1-
= 1-
=
1 - 0.2667
+
= 0.7333
Qn:- Following were the ranks given by three judges in a beauty context. Determine which pair
of judges has the nearest approach to Common tastes in beauty.
Judge I: 1 6 5 10 3 2 4 9 7 8
Judge I: 3 5 8 4 7 10 2 1 6 9
Judge I: 6 4 9 8 1 2 3 10 5 7
R = 1=
N= 10
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R=1-
= 1-
= 1- 1.2121
= - 0.2121
= 1-
= - 0.297
=1
= 1- 0.364
= +0.636
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The rank correlation coefficient in case of I & III judges is greater than the other two pairs.
Therefore, judges I & III have highest similarity of thought and have the nearest approach to
common taste in beauty.
Qn: The Co-efficient of rank correlation of the marks obtained by 10 students in statistics &
English was 0.2. It was later discovered that the difference in ranks of one of the students
was wrongly takes as 7 instead of 9 Find the correct result.
R = 0.2
6 2
R = 1- = 0.2
.
=
103 10
.
=
6 = 90 0.8= 792
Correct = = 132 - 7 + 9
= 164
Correct R 1=
= 1-
= 1-
= 1 - 0.9939
= 0.0061
Qn: The coefficient of rank correlation between marks in English and maths obtained by a
group students is 0.8. If the sum of the squares of the difference in ranks is given to be
33, find the number of students in the group.
ie, 1- = 0.8
1-08 =
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N3 - N = 990
.
N = 10
Suppose 4 observations got 6th rank, here we have to assign the rank, 7.5 (ie.
to each of the 4 observations.
When there is equal ranks, we have to apply the following formula to compute rank
correlation coefficient:-
..
R= 1-
X: 68 64 75 50 64 80 75 40 55 64
Y: 62 58 68 45 81 60 68 48 50 70
Here, ranks are not given we have to assign ranks Further, this is the case of equal ranks.
1
6 2 12 3 ..
R= 1- 3
..
R= 1-
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R=1-
= 1-
=1-
=1-
= 1- = 1 - 0.4545
= 0.5455
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2. It is very simple to understand the method.
3. It can be applied to any type of data, ie quantitative and qualitative
4. It is the only way of studying correlation between qualitative data such as honesty, beauty
etc.
5. As the sum of rank differences of the two qualitative data is always equal to zero, this
method facilitates a cross check on the calculation.
r=
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4. Take the total number of + signs in dxdy column. + signs in dxdy column
denotes the concurrent deviations, and it is indicated by C.
5. Apply the formula:
r=
If 2c , 2 , .
Qn:- Calculate coefficient if correlation by concurrent deviation method:-
Year : 2003 2004 2005 2006 2007 2008 2009 2010 2011
Supply : 160 164 172 182 166 170 178 192 186
Price : 292 280 260 234 266 254 230 190 200
r=
= == = -1
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Merits of concurrent deviation method:
1. It is very easy to calculate coefficient of correlation
2. It is very simple understand the method
3. When the number of items is very large, this method may be used to form quick idea about
the degree of relationship
4. This method is more suitable, when we want to know the type of correlation (ie, whether
positive or negative).
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CHAPTER - 3
REGRESSION ANALYSIS
Introduction:-
Correlation analysis analyses whether two variables are correlated or not. After having
established the fact that two variables are closely related, we may be interested in estimating the
value of one variable, given the value of another. Hence, regression analysis means to analyse the
average relationship between two variables and thereby provides a mechanism for estimation or
predication or forecasting.
The term Regression was firstly used by Sir Francis Galton in 1877. The dictionary
meaning of the term regression is stepping back to the average.
Definition:
Regression is the measure of the average relationship between two or more variables in
terms of the original units of the date.
Regression analysis is an attempt to establish the nature of the relationship between
variables-that is to study the functional relationship between the variables and thereby provides a
mechanism for prediction or forecasting.
It is clear from the above definitions that Regression Analysis is a statistical device with
the help of which we are able to estimate the unknown values of one variable from known values
of another variable. The variable which is used to predict the another variable is called
independent variable (explanatory variable) and, the variable we are trying to predict is called
dependent variable (explained variable).
The dependent variable is denoted by X and the independent variable is denoted by Y.
The analysis used in regression is called simple linear regression analysis. It is called
simple because three is only one predictor (independent variable). It is called linear because, it is
assumed that there is linear relationship between independent variable and dependent variable.
Types of Regression:-
There are two types of regression. They are linear regression and multiple regression.
Linear Regression:
It is a type of regression which uses one independent variable to explain and/or predict the
dependent variable.
Multiple Regression:
It is a type of regression which uses two or more independent variable to explain and/or
predict the dependent variable.
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Regression Lines:
Regression line is a graphic technique to show the functional relationship between the two
variables X and Y. It is a line which shows the average relationship between two variables X and Y.
If there is perfect positive correlation between 2 variables, then the two regression lines
are winding each other and to give one line. There would be two regression lines when there is no
perfect correlation between two variables. The nearer the two regression lines to each other, the
higher is the degree of correlation and the farther the regression lines from each other, the lesser is
the degree of correlation.
Properties of Regression lines:-
1. The two regression lines cut each other at the point of average of X and average of Y ( i.e
X and Y )
2. When r = 1, the two regression lines coincide each other and give one line.
3. When r = 0, the two regression lines are mutually perpendicular.
Regression Equations (Estimating Equations)
Regression equations are algebraic expressions of the regression lines. Since there are two
regression lines, therefore two regression equations. They are :-
1. Regression Equation of X on Y:- This is used to describe the variations in the values
of X for given changes in Y.
2. Regression Equation of Y on X :- This is used to describe the variations in the value of
Y for given changes in X.
Least Square Method of computing Regression Equation:
The method of least square is an objective method of determining the best relationship
between the two variables constituting a bivariate data. To find out best relationship means to
determine the values of the constants involved in the functional relationship between the two
variables. This can be done by the principle of least squares:
The principle of least squares says that the sum of the squares of the deviations between
the observed values and estimated values should be the least. In other words, will be
the minimum.
With a little algebra and differential calculators we can develop some equations (2
equations in case of a linear relationship) called normal equations. By solving these normal
equations, we can find out the best values of the constants.
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Regression Equation of X on Y:-
X = a + by
The normal equations to compute a and b are:-
y
Qn:- Find regression equations x and y and y on x from the following:-
X: 25 30 35 40 45 50 55
Y: 18 24 30 36 42 48 54
Sol: Regression equation x on y is:
x = a + by
Normal equations are:
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1008 b = 840
b = = 0.83
252 = 7a + 280 b ------- (1)
10920 = 280 a+ 11900 b ------- (2)
700 b = 840
b= = 1.2
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7a = 252 336 = -84
a= = -12
4 14 16 196 56
12 4 144 16 48
8 2 64 4 16
6 2 36 4 12
4 4 16 16 16
4 6 16 36 24
16 4 256 16 64
8 12 64 144 96
Regression equation y on x
y = a + bx
Normal equations are:
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48 = 8a + 62 b (1)
b=
Substitute b = -0.304 in eq (1)
48 = 8a + (62 x -0.304)
48 = 8a + -18.86
48 + 18.86 = 8a
a = 66.86
.
a = = 8.36
If x = 20, then,
y=8.36 (0.3042x20)
= 8.36 6.084
= 2.276
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62 = 8a + 48 b .(1)
332 = 48 a + 432 b .(2)
eq 1 6 372 48 288 . . 3
332 = 48 a + 432 b (2)
eq 2 3 40 0 144
144 b = -40
b= = - 0.2778
Substitute b = -0.2778 in equation (1)
62 = 8a + (48 0. 2778
62 = 8a + -13.3344
62+13.3344 = 8 a
8a = 75.3344
.
a= = 9.4168
Substitute a = 9.4168 and b = -0.2778 in regression equation:
x = 9.4168 + -0.2778 y
x = 9.4168 + -0.2778 y
If y=10, then
x=9.4168 (0.2778x10)
x= 9.4168 2.778
x = 6.6388
x - x= bxy (y - )
i.e x - x = .
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Regression Equation y on x:
y - y= byx (x - )
i.e y - y = .
4. If x and are the same, then the regression coefficient and correlation coefficient will be
the same.
Regression coefficient y on x (b yx ) =
Where x = x
y = y-
.
Regression coefficient y on x (byx)
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Direct method:-
.
Regression Coefficient x on y
(bxy )
Regression Coefficient y on x .
(byx)
Qn:- Following information is obtained from the records of a business organization:-
Sales ( in 000): 91 53 45 76 89 95 80 65
Advertisement Expense
( in 000) 15 8 7 12 17 25 20 13
You are required to:-
1. Compute regression coefficients under 3 methods
2. Obtain the two regression equations and
3. Estimate the advertisement expenditure for a sale of Rs. 1,20,000
Let x = sales
y = Advertisement expenditure
x y x- y- xy x2 y2
91 15 16.75 0.375 6.28 280.56 0.14
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X= = = 74.25
Y= = = 14.625
Regression coefficient x on y
= .
= 2.61
.
Regression coefficient Y on X
(
= .
= 0.28
.
.
Regression Coefficient x on y
(bxy)
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= 8 649 34 3
8 255 3
= 5192 102
2040 9
=
=
= 2.61
.
Regression coefficient y on x
(byx)
= 8 649 34 3
8 2502 34
5192 102
= 20016 1156
= 5294
18860
= 0.28
x y xy x2 y2
53 8 424 2809 64
45 7 315 2025 49
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.
Regression coefficient x on y
(bxy)
= 2.61
Regression coefficient y on x
.
(byx) =
74792 69498
371696 352836
= 0.28
3) a) Regression equation X on Y:
b) Regression equation y pm x:
y = -6.165+0.28
y =0.28 6.165
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Mean
x- = bxy (y- )
x- = .
2.5
x - 65 = 0.8 (y-67)
3.5
x - 65 = 0.5714 (y-67)
x - 65 = 0.5714y-38.2838
x = 65 38.2838+0.5714y
x = 26.72 + 0.5714y
Regression equation y on x is:
y- = byx (x- )
y- = .
.
y - 67 = 0.8 (x-65)
.
y - 67 = 1.12 (x-65)
y = 67 (1.12 x65) = 1.12 x
y = 67.72.8 + 1.12x
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y = -5.8 +1.12x
y = 1.12x - 5.8
Qn: Two variables gave the following data
x = 20, = 4, r = 0.7
y = 15, =3
Obtain regression lines and find the most likely value of y when x=24
Sol: Regression Equation x on y is
(x - ) = bxy (y - )
(x - ) = .
(x - 20) = 0.93(y-15)
x = 20 + 0.93y 13.95
x = 20 - 13.95 + 0.93y
x = 6.05 + 0.93y
Regression Equation y on x is
(y - ) = byx (x - )
(y - ) = .
(y - ) = 0.7 (x - 20)
y 15 = 0.525 x -10.5
y = 15-10.5+ 0.525x
y =4.5+0.525x
If X = 24, then
y = 4.5 + (0.52524)
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y = 4.5 + 12.6
y = 17.1
Qn: For a given set of bivariate data, the following results were obtained:
(y - ) = (x- )
y = 79.8+27.9 1.5
y = 107.7 1.5
If x = 60, then
Correlation Regression
2 It is not used for prediction purposes It is basically used for prediction purposes
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CHAPTER - 4
THEORY OF PROBABILITY
INTRODUCTION
Probability refers to the chance of happening or not happening of an event. In our day
today conversations, we may make statements like probably he may get the selection, possibly
the Chief Minister may attend the function, etc. Both the statements contain an element of
uncertainly about the happening of the even. Any problem which contains uncertainty about the
happening of the event is the problem of probability.
Definition of Probability
The probability of given event may be defined as the numerical value given to the likely
hood of the occurrence of that event. It is a number lying between 0 and 1 0 denotes the
even which cannot occur, and 1 denotes the event which is certain to occur. For example, when
we toss on a coin, we can enumerate all the possible outcomes (head and tail), but we cannot say
which one will happen. Hence, the probability of getting a head is neither 0 nor 1 but between 0
and 1. It is 50% or
Terms use in Probability.
Random Experiment
A random experiment is an experiment that has two or more outcomes which vary in an
unpredictable manner from trial to trail when conducted under uniform conditions.
In a random experiment, all the possible outcomes are known in advance but none of the
outcomes can be predicted with certainty. For example, tossing of a coin is a random experiment
because it has two outcomes (head and tail), but we cannot predict any of them which certainty.
Sample Point
Every indecomposable outcome of a random experiment is called a sample point. It is
also called simple event or elementary outcome.
Eg. When a die is thrown, getting 3 is a sample point.
Sample space
Sample space of a random experiment is the set containing all the sample points of that
random experiment.
Eg:- When a coin is tossed, the sample space is (Head, Tail)
Event
An event is the result of a random experiment. It is a subset of the sample space of a
random experiment.
Sure Event (Certain Event)
An event whose occurrence is inevitable is called sure even.
Eg:- Getting a white ball from a box containing all while balls.
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Impossible Events
An event whose occurrence is impossible, is called impossible event. Eg:- Getting a white ball
from a box containing all red balls.
Uncertain Events
An event whose occurrence is neither sure nor impossible is called uncertain event.
Eg:- Getting a white ball from a box containing white balls and black balls.
Equally likely Events
Two events are said to be equally likely if anyone of them cannot be expected to occur in
preference to other. For example, getting herd and getting tail when a coin is tossed are equally
likely events.
Mutually exclusive events
A set of events are said to be mutually exclusive of the occurrence of one of them excludes the
possibiligy of the occurrence of the others.
Exhaustive Events:
A group of events is said to be exhaustive when it includes all possible outcomes of the random
experiment under consideration.
Dependent Events:
Two or more events are said to be dependent if the happening of one of them affects the
happening of the other.
PERMUTATIONS
Permutation means arrangement of objects in a definite order. The number of arrangements
(permutations) depends upon the total number of objects and the number of objects taken at a time
for arrangement.
The number of permutations is calculated by using the following formula:
!
!
! Factorial
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=
! ! !
! !
! 1
=n!
Question:-
A factory manager purchased 3 new machines, A, B and C. How many number of times he can
arrange the 3 machines?
Solution :
!
!
3
r= 3
Here n and r are same
!
= 3! = 3 2 1 = 6.
Question :
In how many ways 3 people be seated on a bench if only two seats are available.
Solution
!
!
3
r= 2
! !
3 = = = 6 ways
! !
!
,! ! !. !
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Question:
Find the number of permutations of letters in the word COMMUNICATION
Solution
!
,! ! !.
C = 2, 0 = 2; M = 2 ; U = 1; N = 2;
1 = 2; A =1; T=1
!
! ! ! ! ! ! ! !
=
= 194594400 times
COMBINATIONS
Combination means selection or grouping of objects without considering their order. The number
of combinations is calculated by using the following formula:
!
=
! !
Question
A basket contains 10 mangoes. In how many ways 4 mangoes from the basket can be selected?
Solution
!
! !
n = 10
r=4
! !
= = =
! ! ! !
= 210 ways
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Questions
How many different sets of 5 students can be chosen out of 20 qualified students to represent a
school in an essay context ?
Solution
!
! !
n = 20
r=5
! !
= = =
! ! ! !
= 15504 Sets
P(A) =
Question
What is the chance of getting a head when a coin is tossed?
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Solution
Total number of cases = 2
No. of favorable cases = 1
Probability of getting head =
Question
A die is thrown. Find the probability of getting.
(1) A 4
(2) an even number
(3) 3 or 5
(4) less than 3
Solution
Sample space is (1,2, 3, 4, 5, 6)
(1) Probability (getting 4) =
Question
A ball is drawn from a bag containing 4 white, 6 black and 5 yellow balls. Find the
probability that a ball drawn is :-
(1) White (2) Yellow (3) Black (4) Not yellow (5) Yellow or white
Solution
Question
There are 19 cards numbered 1 to 19 in a box. If a person drawn one at random, what is
the probability that the number printed on the card be an even number greater than 10?
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Solution
The even numbers greater than 10 are 12, 14, 16 and 18.
=
P (drawing a card with an even number greater than 10)
Question
Two unbiased dice are thrown. Find the probability that :-
(a) Both the dice show the same number
(b) One die shows 6
(c) First die shows 3
(d) Total of the numbers on the dice is 9
(e) Total of the numbers on the dice is greater than 8
(f) A sum of 11
Solution
When 2 dice are thrown the sample space consists of the following outcomes :-
(1,1) (1,2) (1,3) (1,4) (1,5) (1,6)
(2,1) (2,2) (2,3) (2,3) (2,5) (2,6)
(3,1) (3,2) (3,3) (3,4) (3,5) (3,6)
(4,1) (4,2) (4,3) (4,4) (4,5) (4,6)
(5,1) (5,2) (5,3) (5,4) (5,5) (5,6)
(6,1) (6,2) (6,3) (6,4) (6,5) (6,6)
(a) P(that both the dice shows the same number) = =
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Solution
P(drawing a green ball) =
!
! !
= !
! !
!
! !
= !
! !
= =
Question
What is the probability of getting 3 red balls in a draw of 36 balls from a bag containg 5
red balls and 46 black balls?
Solution
P(getting 3 white balls)=
! !
! ! ! !
= ! = !
! ! ! !
= = =
Question
A committee is to be constituted by selecting three people at random from a group
consisting of 5 Economists and 4 Statisticians. Find the probability that the committee will
consist of :
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(a)3 Economists
(b) 3 Statisticians
(c)3 Economists and 1 Statistician
(d) 1 Economist and 2 Statistician
(a) P (Selecting 3 Economists) =
! !
! !
= ! = ! !
!
! ! ! !
= =
(b) P(Selecting 3 Statisticians) =
! !
! ! ! !
! = !
! ! ! !
! !
! ! ! !
= !
! !
! !
! ! ! !
= !
! !
= =
= =
(d) P(Selecting 1 Economist
and 2 Statistician =
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! !
! ! ! !
= !
! !
= = =
Questions
A committee of 5 is to be formed from a group of 8 boys and 7 girls. Find the probability that the
committee consists of at least one girl.
Solution
P(one girl & 4 boys) or P(2 girls & 3 boys)
P (that committee consists of
at least one girl) = or P(3 girls & 2 boys) or P(4girls & 1 boy)
or P(5 girls)
=
! ! ! ! ! ! ! ! !
! ! ! ! ! ! ! ! ! ! ! ! ! ! ! ! ! !
= !
! !
!
=
= =
=1( )
!
! !
=1 ! = 1-
! !
=1-
= =
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Limitations of Classical Definition:
1. Classical definition has only limited application in coin-tossing die throwing etc. It fails to
answer question like What is the probability that a female will die before the age of 64?
2. Classical definition cannot be applied when the possible outcomes are not equally likely.
How can we apply classical definition to find the probability of rains? Here, two
possibilities are rain or no rain. But at any given time these two possibilities are not
equally likely.
3. Classical definition does not consider the outcomes of actual experimentations.
Relative Frequency Definition or Empirical Approach
According to Relative Frequency definition, the probability of an event can be defined as
the relative frequency with which it occurs in an indefinitely large number of trials.
If an even A occurs f number of trials when a random experiment is repeated for n number of
times, then P(A) =
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Subjective (Personalistie) Approach to Probability
The exponents of personalistie approach defines probability as a measure of personal
confidence or belief based on whatever evidence is available. For example, if a teacher wants to
find out the probability that Mr. X topping in M.Com examination, he may assign a value between
zero and one according to his degree of belief for possible occurrence. He may take into account
such factors as the past academic performance in terminal examinations etc. and arrive at a
probability figure. The probability figure arrived under this method may vary from person to
person. Hence it is called subjective method of probability.
Axiomatic Approach (Modern Approach) to Probability
Let S be the sample space of a random experiment, and A be an event of the random
experiment, so that A is the subset of S. Then we can associate a real number to the event A.
This number will be called probability of A if it satisfies the following three axioms or
postulates :-
(1) The probability of an event ranges from 0 and 1.
If the event is certain, its probability shall be 1.
If the event cannot take place, its probability shall be zero.
(2) The sum of probabilities of all sample points of the sample spece is equal to 1.
i.e, P(S) = 1
(3) If A and B are mutually exclusive (disjoint) events, then the probability of occurrence of
either A or B shall be :
THEOREMS OF PROBABILITY
There are two important theorems of probability. They are :
1. Addition Theorem
2. Multiplication Theorem
Addition Theorem
Here, there are 2 situations.
(a) Events are mutually exclusive
(b) Events are not mutually exclusive
(a) Addition theorem (Mutually Exclusive Events)
If two events, A and B, are mutually exclusive the probability of the occurrence of either A
or B is the sum of the individual probability of A and B.
P(A or B) = P(A) + P(B)
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(b)Addition theorem (Not mutually exclusive events)
If two events, A and B are not mutually exclusive the probability of the occurrence of
either A or B is the sum of their individual probability minus probability for both to happen.
P(A or B) = P(A) + P(B) P(A and B)
Question
The probability that a contractor will get a plumping contract is and the probability that
he will not get an electric contract is . If the probability of getting at least one contract is , what
is the probability that he will get both the contracts?
Solution
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Question
If P(A) = 0.5, P(B) = 0.6, P(AB) = 0.2, find:-
(a) P(A B)
(b) P(A)
(c) P(A B)
(d) P(A B)
Solution
Here the events are not mutually exclusive:-
(c) P(A B)
= P(A) P(A B)
= 0.5 0.2
= 0.3
MULTIPLICATION THEOREM
Here there are two situations:
(a) Events are independent
(b) Events are dependent
(a)Multiplication theorem (independent events)
If two events are independent, then the probability of occurring both will be the product of
the individual probability
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P(A and B) = P(A).P(B)
Question
Single coin is tossed for three tones. What is the probability of getting head in all the 3 times?
Solution
P(getting head in all the 3 times) = P(getting H in 1st toss) P(getting Head in 2nd toss)
P(getting H in 3rd toss)
P(A B) = P(A).P(B/A)
Question
A bag contains 5 white balls and 8 black balls. One ball is drawn at random from the bag.
Again, another one is drawn without replacing the first ball. Find the probability that both the
balls drawn are white.
Solution
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Question
The probability that A solves a problem in Maths is and the probability that B solves it is .
If they try independently find the probability that :-
(i) Both solve the problem.
(ii) at least one solve the problem.
(iii) none solve the problem.
Solution
(i) P(that both solve the problem) = P(that A solves the problem)
P(that B solves the problem)
= = =
= + -( )
= + -
= =
(iii) P(that none solve the problem) =1-P(at least one solve the problem)
= 1 P(A or B solve the problem)
=1- [P(A solve the problem +
P(B solve the problem) -
P(A & B solve the problem)]
= 1-
= 1-( )
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= 1- ( )
=1- = =
Question
A university has to select an examiner from a list of 50 persons. 20 of them are women
and 30 men. 10 of them know Hindi and 40 do not. 15 of them are teachers and remaining are
not. What is the probability that the university selecting a Hindi knowing woman teacher?
Solution
Here the events are independent.
P(selecting Hindi knowing = P(selecting Hindi knowing person,
Woman teacher) woman and teacher
P(selecting Hindi Knowing persons =
P(selecting woman) =
P (selecting teacher) =
= =
Question
A speaks truth in 70%cases and B in 85% cases. In what percentage of cases they likely to
contradict each other in stating the same fact?
Let P(A) = Probability that A speaks truth.
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P (A and B contradict each other) = P(A speaks truth and B does not
OR, A does not speak truth & B
speaks
=P(A & B) (A &B)
=(0.7 0.15) + (0.3 0.85)
=0.105 + 0.255
= 0.360
Percentage of cases in in
which A and B contradict = 0.360 100
each other = 36 %
Question
20% of students in a university are graduates and 80% are undergraduates. The
probability that graduate student is married is 0.50 and the probability that an undergraduate
student is married is 0.10. If one student is selected at random, what is the probability that the
student selected is married?
P(selecting a married student) = P(selecting a graduate married
student or selecting an undergraduate
married student)
= P(Selecting a graduate & married OR
selecting un undergraduate & married)
= (20% 0.50) + (80% 0.10)
= ( 0.50) + ( 0.10)
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Solution
P(that new product will P(that new product is introduced by first set OR the
be introduced) = new product is introduced by second set)
= P (Ist set wins & Ist introduced the new produced OR
IInd set wins the new product)
= (0.6 0.8) + (0.4 0.3)
= 0.48 + 0.12
= 0.60
Question
A certain player say Mr. X is known to win with possibility 0.3 if the truck is fast and 0.4 if the
track is slow. For Monday there is a 0.7 probability of a fast track and 0.3 probability of a slow
track. What is the probability that Mr. X will win on Monday?
Solution
P(X will won on Monday) = P(to win in fast track OR to win in slow track)
= P (to get fast track & to win
OR
to get slow track & to win)
= (0.7 0.3) + (0. 3 0. 4)
= 0.21 + 0.12
= 0.33
CONDITIONAL PROBABILITY
Multiplication theorem states that if two events, A and B, are dependent events then, the
probability of happening both will be the product of P(A) and P(B/A).
i.e., P(A and B) or
= P(A).P(B/A)
P(A B )
Here, P (B/A) is called Conditional probability
P(A B) = P(A).P( )
P( ) = P A B
P A
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Similarly, P( )) = P A B
P B
If 3 event, A, B and C and dependent events, then the probability of happening A, B and C is :-
P( ) = P A B
P A .P
Question
(a) P(A/B)
(b) P(B/A)
Solution
Here we know the events are dependent
(a)P(A/B) = = = = =
(b) P(B/A) =
= = = =
Inverse Probability
If an event has happened as a result of several causes, then we may be interested to find out the
probability of a particular cause of happening that events. This type of problem is called inverse
probability.
Bayes theorem is based upon inverse probability.
BAYES THEOREM:
Bayes theorem is based on the proposition that probabilities should revised on the basis of
all the available information. The revision of probabilities based on available information will
help to reduce the risk involved in decision-making. The probabilities before revision is called
priori probabilities and the probabilities after revision is called posterior probabilities.
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According to Bayes theorem, the posterior probability of event (A) for a particular result
of an investigation (B) may be found from the following formula:-
.
P(A/B) =
. .
Steps in computation
1. Find the prior probability
2. Find the conditional probability.
3. Find the joint probability by multiplying step 1 and step 2.
4. Find posterior probability as percentage of total joint probability.
Question
A manufacturing firm produces units of products in 4 plants, A, B, C and D. From the past
records of the proportions of defectives produced at each plant, the following conditional
probabilities are set:-
A: 0.5; B: 0.10; C:0.15 and D:0.02
The first plant produces 30% of the units of the output, the second plant produces 25%, third 40%
and the forth 5%
A unit of the products made at one of these plants is tested and is found to be defective. What is
the probability that the unit was produced in Plant C.
Solution
.
D 0.05 0.02 0.001 =0.0099
.
0.101 1.0000
==== =====
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Question
In a bolt manufacturing company machine I, II and III manufacture respectively 25%, 35% and
40%. Of the total of their output, 5%, 4% and 2% are defective bolts. A bolt is drawn at random
from the products and is found to be defective. What are the probability that it was manufactured
by :-
(a)Machine I
(b) Machine II
(c)Machine III
Solution
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Probability that the disease was not correctly diagnosed = 0.538
Question
There are two Urns, one containing 5 white balls and 4 black balls; and the other
containing 6 white balls and 5 black balls. One Urn is chosen and one ball is drawn. If it is white,
what is the probability that the Urn selected is the first?
Solution
Probability of
drawing white
No. of ball Conditional Joint Posterior
Urn Probabilities Probability Probability
(Priori
Probability)
Ind 5 1 = 0.2778
.
= 0.5046
.
9 2
.
6 1 = 0.2727 = 0.4954
nd .
II 11 2
0.5505 1.00
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CHAPTER - 5
PROBABILITY DISTRIBUTION
(THEORETICAL DISTRIBUTION)
DEFINITION
Probability distribution (Theoretical Distribution) can be defined as a distribution obtained
for a random variable on the basis of a mathematical model. It is obtained not on the basis of
actual observation or experiments, but on the basis of probability law.
Random variable
Random variable is a variable who value is determined by the outcome of a random
experiment. Random variable is also called chance variable or stochastic variable.
For example, suppose we toss a coin. Obtaining of head in this random experiment is a random
variable. Here the random variable of obtaining heads can take the numerical values.
Now, we can prepare a table showing the values of the random variable and corresponding
probabilities. This is called probability distributions or theoretical distribution.
In the above, example probability distribution is :-
0 1
2
1 1
2
P(X) = 1
1. Every value of probability of random variable will be greater than or equal to zero.
i.e., P(X) 0
i.e., P(X) Negative value
X: 0 1 2 3 4
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Solution
Here all values of P(X) are more that zero; and sum of all P(X) value is equal to 1
Since two conditions, namely P(X) 0 and P(X) = 1, are satisfied, the given distribution is a
probability distribution.
MATHEMATICAL EXPECTATION
(EXPECTED VALUE)
If X is a random variable assuming values , , ,, with corresponding
probabilities , , ,, , then the operation of X is defined as + +
++ .
E(X) = .
Question
A petrol pump proprietor sells on an average Rs. 80,000/- worth of petrol on rainy days
and an average of Rs. 95.000 on clear days. Statistics from the meteorological department show
that the probability is 0.76 for clear weather and 0.24 for rainy weather on coming Wednesday.
Find the expected value of petrol sale on coming Wednesday.
Expected Value
= .
E(X)
= (80.000 0.24)+(95000 0.76)
= 19.200 + 72.200
= Rs. 91,400
Question
There are three alternative proposals before a business man to start a new project:-
Proposal I: Profit of Rs. 5 lakhs with a probability of 0.6 or a loss of Rs. 80,000 with
a probability of 0.4.
Proposal II: Profit of Rs. 10 laksh with a probability of 0.4 or a loss of Rs. 2 lakhs
with a probability of 0.6
Proposal III: Profit of Rs. 4.5 lakhs with a probability of 0.8 or a loss of Rs. 50,000
with a probability of 0.2
If he wants to maximize profit and minimize the loss, which proposal he should prefer?
Solution
Here, we should calculate the mathematical expectation of each proposal.
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Expected value of
= (5,00.000 0.6) +(80.000 0.4)
Proposal I
= 3,00.000 32,000
= Rs. 2,68,000
======
Expected value of
= (10,00.000 0.4) +(-2,00.000 0.6)
Proposal II
= 4,00.000 1,20.000
= 2,80,000.
======
Expected value of
= (4,50,000 0.8) +(-50,000 0.2)
Proposal III
= 3,60,000 10,000
= 3,50,000
======
Since expected value is highest in case of proposal III, the businessman should prefer the proposal
III.
Probability Distribution
Normal
Binomial Poisson
Distribution
Distribution distribution
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CHAPTER - 6
BIONOMIAL DISTRIBUTION
Meaning & Definition:
Binomial Distribution is associated with James Bernoulli, a Swiss Mathematician.
Therefore, it is also called Bernoulli distribution. Binomial distribution is the probability
distribution expressing the probability of one set of dichotomous alternatives, i.e., success or
failure. In other words, it is used to determine the probability of success in experiments on which
there are only two mutually exclusive outcomes. Binomial distribution is discrete probability
distribution.
Binomial Distribution can be defined as follows: A random variable r is said to follow
Binomial Distribution with parameters n and p if its probability function is:
P(r) = nC r prqn-r
Where, P = probability of success in a single trial
q=1p
n = number of trials
r = number of success in n trials.
Assumption of Binomial Didstribution OR
(Situations where Binomial Distribution can be applied)
Binomial distribution can be applied when:-
1. The random experiment has two outcomes i.e., success and failure.
2. The probability of success in a single trial remains constant from trial to trial of the
experiment.
3. The experiment is repeated for finite number of times.
4. The trials are independent.
Properties (features) of Binomial Distribution:
1. It is a discrete probability distribution.
2. The shape and location of Binomial distribution changes as p changes for a given n.
3. The mode of the Binomial distribution is equal to the value of r which has the largest
probability.
4. Mean of the Binomial distribution increases as n increases with p remaining
constant.
5. The mean of Binomial distribution is np.
6. The Standard deviation of Binomial distribution is
7. If n is large and if neither p nor q is too close zero, Binomial distribution may be
approximated to Normal Distribution.
8. If two independent random variables follow Binomial distribution, their sum also
follows Binomial distribution.
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Qn: Six coins are tossed simultaneously. What is the probability of obtaining 4 heads?
Sol: P(r) = nC r prqn-r
r=4
n=6
p=
q=1p=1=
4 6-4
p( r = 4) = 6C4 ( ) ( )
!
= x ()4+2
! !
!
= x ()6
! !
= x
=
= 0.234
Qn: The probability that Sachin Tendulkar scores a century in a cricket match is . What is
the probability that out of 5 matches, he may score century in : -
(1) Exactly 2 matches
(2) No match
Sol: Here p =
q=1- =
P(r) = nC r prqn-r
Probability that Sachin scores centuary in exactly 2 matches is:
2 3
p (r = 2) = 5 C2
!
= x x
! !
= x x
= = 0.329
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! 5
= x1 x
! !
!
= x1x
! !
=
= 0.132
Qn: Consider families with 4 children each. What percentage of families would you expect to
have :-
(a) Two boys and two girls
(b) At least one boy
(c) No girls
(d) At the most two girls
Sol: p (having a boy) =
p (having a girl) =
n=4
a) P (getting 2 boys & 2 girls) = p (getting 2 boys) = p (r = 2)
P(r) = nC r prqn-r
2 4-2
p (r = 2) = 4 C2
! 2 2
= x X
! !
! 2+2
= x
! !
4
= X
= X
= =
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r n-r
P(r) = nC r p q
1 4-1
p (r = 1) = 4 C1
4
=4X =4 X =
2 4-2
p (r = 2) = 4 C2
= 6 X =
3 4-3
p (r = 3) = 4 C3
4
=4X =4 X =
4 4-4
p (r = 4) = 4 C4
4 0
= 4 C4
4+0 4
=1X =1X
=1 X =
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3 4-3
p (r = 3) = 4 C3
=
4 4-4
p (r = 4) = 4 C4
4 0
= 4 C4
4
= 1X
i.e. =q
q = =
= x = =
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q =
p =1q
=1- =
np =4
nx =4
n =4
n =4x =6
Qn: For a Binomial Distribution, mean is 6 and Standard Deviation is 2 . Find the parameters.
Standard Deviation ( ) = 2
npq = 2
q =
p=1q
=1- =
np = 6
nx =6
n= =6x =9
Value of parameters:
p= q= n=9
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p (r = 1) = 0.4096
p (r = 2) = 0.2048
r n-r
p (r = 1) = nC r p q = 5 C1 p1q5-1 = 5pq4 = 0.4096
r n-r
p (r = 2) = nC r p q = 5 C2 p2q5-2 = 10p2q3 = 0.2048
.
=
.
i.e., =
4p = q
4p = 1 p
4p + p = 1
5p = 1
p=
Steps:
1. Find the value of n, p and q
2. Substitute the values of n, p and q in the Binomial Distribution function of nC r prqn-r
3. Put r = 0, 1, 2, .. in the function nC r prqn-r
4. Multiply each such terms by total frequency (N) to obtain the expected frequency.
Qn: Eight coins were tossed together for 256 times. Fit a Binomial Distribution of getting
heads. Also find mean and standard deviation.
q=1- =
n=8
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Standard Deviation =
= 8 = 2 = 1.4142
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CHAPTER - 7
POISSON DISTRIBUTION
Meaning and Definition:
.
p (r) =
!
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Qn: A fruit seller, from his past experience, knows that 3% of apples in each basket will be
defectives. What is the probability that exactly 4 apples will be defective in a given
basket?
.
Sol: p (r) =
!
m=3
.
.
p (r = 4) = =
!
.
=
= 0.16804
Qn: It is known from the past experience that in a certain plant, there are on an average four
industrial accidents per year. Find the probability that in a given year there will be less
than four accidents. Assume poisson distribution.
Sol: p (r<4) = p(r = 0 or 1 or 2 or 3)
= p (r = 0) + p (r =1) + p (r = 2) + p (r = 3)
.
P (r) =
!
m=4
.
.
p (r = 0) = = = 0.01832
!
.
.
p (r = 1) = = = 0.07328
!
.
.
p (r = 2) = = = 0.14656
!
.
.
p (r = 3) = = = 0.19541
!
p (r < 4) = 0.01832 + 0.07328 + 0.14656 + 0.19541
= 0.43357
Qn: Out of 500 items selected for inspection, 0.2% are found to be defective. Find how many
lots will contain exactly no defective if there are 1000 lots.
Sol: p = 0.2% = 0.002
n = 500
m = np = 500 x 0.002 = 1
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.
p (r) =
!
. .
p (r = 0) = = = 0.36788
!
Number of lots containing no defectives if there are 1000 lots = 0.36788 x 1000
= 367.88
= 368
Qn: In a factory manufacturing optical lenses, there is a small chance of for any one lense
to be defective. The lenses are supplied in packets of 10. Use Poisson Distribution to
calculate the approximate number of packets containing (1) one defective (2) no defective
in a consignment of 20,000 packets. You are given that e-0.02 = 0.9802.
Sol: n = 10
p = probability of manufacturing defective lense = = 0.002
m = np = 10 x 0.002 = 0.02
.
p (r) =
!
. . .
.
p (r = 1) = = = 0.019604
!
No. of packets containing one defective lense = 0.019604 x 20,000
= 392
. .
.
p (r = 0) = = = 0.9802
!
No. of packets containing no defective lense = 0.9892 x 20,000
= 19604
Qn: A Systematic sample of 100 pages was taken from a dictionary and the observed frequency
distribution of foreign words per page was found to be as follows:
No. of foreign words per page (x) : 0 1 2 3 4 5 6
Frequency (f) : 48 27 12 7 4 1 1
Calculate the expected frequencies using Poisson Distribution.
.
Sol: p (r) =
!
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m = 0.99
.
.
Poisson Distribution =
!
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CHAPTER - 8
NORMAL DISTRIBUTION
The normal distribution is a continuous probability distribution. It was first developed by
De-Moivre in 1733 as limiting form of binomial distribution. Fundamental importance of normal
distribution is that many populations seem to follow approximately a pattern of distribution as
described by normal distribution. Numerous phenomena such as the age distribution of any
species, height of adult persons, intelligent test scores of students, etc. are considered to be
normally distributed.
= 3.146
e = 2.71828
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Sch
15. The
T area undder normal curve
c is disttributed as follows:
f
1 coverrs 68.27% area
a
2 coverrs 95.45% area
a
3 coverrs 98.73% area.
a
1. T
The discretee probabiliity distribuutions such h as Binoomial Distrribution an nd Poissonn
D
Distribution tend to normmal distribuution as n becomes laarge.
2. Almost
A all sampling
s distributions conform to o the normaal distributioon for largee values off
nn.
3. Many
M tests of
o significaance are bassed on the assumptionn that the parent popullation from m
w
which samplles are draw wn follows normal
n distrribution.
4. The
T normal distribution
d n has numerrous mathem matical propperties whicch make it popular
p andd
coomparativelly easy to manipulate.
m
5. Normal
N distrribution findds applicatioons in Statisstical Qualitty Control.
6. Many
M distribbutions in soocial and ecconomic daata are apprroximately nnormal. Fo or example,
biirth, death, etc. are norrmally distriibuted.
Area und
der Standaard Normall Curve
Z=
Sol: z > 1.8 meanss the area abbove 1.8; i.ee., the area to
t the right of 1.8
T
Total area onn the right side = 0.5
= 0.03599
p (z
( > 1.8) = 0.0359
0
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Qn: Find p(z < -11.5)
T
Total area onn the left sidde = 0.5
= 0.0668
Sol: z < 1.96 meaans the entirre area to thhe left of +1.96
T
Table value of
o 1.96 (Areea between 0 and 1.96)) = 0.4750
T
Total area onn the left sidde of normaal curve = 0..5
= 0.97500
Sol: -11.78 < z < 1.778 means the entire area beetween -1.78 and +1.78
T
Table value off 1.78 (Area between
b 0 andd 1.78) = 0.46
625
= 0.9250
Sol: 1..52 < z < 2.011 means areaa between 1.52 and 2.01
T
Table value off 1.52 (Area between
b 0 andd 1.52) = 0.43
357
T
Table value off 2.01 (Area between
b 0 andd 2.01) = 0.47
778
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Sch
T
Table value of
o 0.75 (Areea between 0 and -0.75
5) = 0.2734
T
Table value of
o 1.52 (Areea between 0 and -1.52
2) = 0.4357
= 0.1623
G
Given = 688.22 inches
V
Varriance = 10.8 inchess
X = 72
7 inches
Z=
= = = 1.15023
T
Table value of
o 1.15 = 0.3749
A above 1.15
Area 1 (abovee 6 feet) = 0.5 0.3749
= 0.125
0
Number of
o soldiers who
w have ovver 6 feet talll out of 10000 = 0.125 x 1000 = 12
25
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Sol: (aa) Given N = 10000
= 42
= 24
X = 58
Z=
= = = 0.667
0
Area
A above 0.667 = 0.55 0.2486
= 0.2514
0
Number of
o students whose
w scoree exceed 58 = 0.2514 x 1000
= 251.4
= 251 studdents
Z=
Z1 = = = = - 0.5
Z2 = = = =1
T
Table value of
o 0.5 (Areaa between 0 and -0.5) = 0.1915
T
Table value of
o 1 (Area between
b 0 and
a +1) = 0.3413
Area betw
ween -0.5 annd +1 = 0.19915 + 0.341
13
= 0.55328
Number of
o students whose
w scoree lie between 30 and 666 = 0.5328 x 1000
= 532.8
= 533 stuudents
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Fitting of a Normal Distribution
Procedure :
1. Find the mean and standard deviation of the given distribution. (i.e., and )
2. Take the lower limit of each class.
3. Find Z value for each of the lower limit.
Z=
4. Find the area for z values from the table. The first and the last values are taken as 0.5.
5. Find the area for each class. Take difference between 2 adjacent values if same signs
and take total of adjacent values if opposite signs.
6. Find the expected frequency by multiplying area for each class by N.
No. of students : 4 22 48 66 40 16 4
Sol:
= Assumed mean + +C
= 35 + x 100
= 35 + 9
= 44
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2xC
=
2 x 10
=
= 2.36 0.9 x 10
= 2.36 0.81 x 10
= 1.55 x 10
= 1.245 x 10 = 12.45
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CHAPTER - 9
TESTING OF HYPOTHESIS
Statistical Inference:
Statistical inference refers to the process of selecting and using a sample statistic to draw
conclusions about the population parameter. Statistical inference deals with two types of
problems.
They are:-
1. Testing of Hypothesis
2. Estimation
Hypothesis:
Hypothesis is a statement subject to verification. More precisely, it is a quantitative
statement about a population, the validity of which remains to be tested. In other words,
hypothesis is an assumption made about a population parameter.
Testing of Hypothesis:
Testing of hypothesis is a process of examining whether the hypothesis formulated by the
researcher is valid or not. The main objective of hypothesis testing is whether to accept or reject
the hypothesis.
Procedure for Testing of Hypothesis:
The various steps in testing of hypothesis involves the following :-
1. Set Up a Hypothesis:
The first step in testing of hypothesis is to set p a hypothesis about population parameter.
Normally, the researcher has to fix two types of hypothesis. They are null hypothesis and
alternative hypothesis.
Null Hypothesis:-
Null hypothesis is the original hypothesis. It states that there is no significant
difference between the sample and population regarding a particular matter under
consideration. The word null means invalid of void or amounting to nothing. Null
hypothesis is denoted by Ho. For example, suppose we want to test whether a medicine is
effective in curing cancer. Hence, the null hypothesis will be stated as follows:-
H0: The medicine is not effective in curing cancer (i.e., there is no significant
difference between the given medicine and other medicines in curing cancer
disease.)
Alternative Hypothesis:-
Any hypothesis other than null hypothesis is called alternative hypothesis. When a null
hypothesis is rejected, we accept the other hypothesis, known as alternative
hypothesis. Alternative hypothesis is denoted by H1. In the above example, the
alternative hypothesis may be stated as follows:-
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H1: The medicine is effective in curing cancer. (i.e., there is significant difference
between the given medicine and other medicines in curing cancer disease.)
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2. S.E. gives an idea about the reliability of a sample, because the reciprocal of S.E. is a
measure of reliability of the sample.
3. S.E. can be used to determine the confidence limits within which the population
parameters are expected to lie.
Test Statistic
The decision to accept or to reject a null hypothesis is made on the basis of a
statistic computed from the sample. Such a statistic is called the test statistic. There are different
types of test statistics. All these test statistics can be classified into two groups. They are
a. Parametric Tests
b. Non-Parametric Tests
PARAMETRIC TESTS
The statistical tests based on the assumption that population or population parameter is
normally distributed are called parametric tests. The important parametric tests are:-
1. z-test
2. t-test
3. f-test
Z-test:
Z-test is applied when the test statistic follows normal distribution. It was
developed by Prof.R.A.Fisher. The following are the important uses of z-test:-
1. To test the population mean when the sample is large or when the population
standard deviation is known.
2. To test the equality of two sample means when the samples are large or when the
population standard deviation is known.
3. To test the population proportion.
4. To test the equality of two sample proportions.
5. To test the population standard deviation when the sample is large.
6. To test the equality of two sample standard deviations when the samples are large or when
population standard deviations are known.
7. To test the equality of correlation coefficients.
Z-test is used in testing of hypothesis on the basis of some assumptions. The important
assumptions in z-test are:-
1. Sampling distribution of test statistic is normal.
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2. Sample statistics are dose the population parameter and therefore, for finding standard
error, sample statistics are used in place where population parameters are to be used.
T-test:
t-distribution was originated by W.S.Gosset in the early 1900.
t-test is applied when the test statistic follows t-distribution.
Uses of t-test are:-
1. To test the population mean when the sample is small and the population s.D.is unknown.
2. To test the equality of two sample means when the samples are small and population S.D.
is unknown.
3. To test the difference in values of two dependent samples.
4. To test the significance of correlation coefficients.
The following are the important assumptions in t-test:-
1. The population from which the sample drawn is normal.
2. The sample observations are independent.
3. The population S.D.is known.
4. When the equality of two population means is tested, the samples are assumed to be
independent and the population variance are assumed to be equal and unknown.
F-test:
F-test is used to determined whether two independent estimates of population
variance significantly differ or to establish both have come from the same population. For
carrying out the test of significance, we calculate a ration, called F-ratio. F-test is named in
honour of the great statistician R.A.Fisher. It is also called Variance Ration Test.
F-ratio is defined as follows:-
F=
where S =
S =
While calculating F-ratio, the numerator is the greater variance and denominator is the smaller
variance. So,
F = Greater Variance
Smaller Variance
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Uses of F-distribution:-
1. To test the equality of variances of two populations.
2. To test the equality of means of three or more populations.
3. To test the linearity of regression
Assumptions of F-distribution:-
1. The values in each group are normally distributed.
2. The variance within each group should be equal for all groups. ( )
3. The error (Variation of each value around its own group mean) should be
independent for each value.
Type I Error
The error committed by rejecting a null hypothesis when it is true, is called Type I error.
The probability of committing Type I error is denoted by (alpha).
Type II Error
The error committed by accepting a null hypothesis when it is false is called Type II error.
The probability of committing Type II error is denoted by (beta).
= Prob. (Type II error)
= Prob. (Accepting H0 when it is false)
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When the size of sample exceeds 30, the sample is called large sample.
Degree of freedom
Degree of freedom is defined as the number of independent observations which is obtained
by subtracting the number of constraints from the total number of observations.
Degree of freedom = Total number of observations Number of constraints.
= 1- .
If the calculated value of the test statistic falls in the acceptance region, we accept the null
hypothesis.
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Inn one tailedd test, the reejection region will be located in only one taail of the no ormal curve
which maay be eitherr left or righht, dependinng on the allternative hyypothesis. S Suppose if the
t level off
significannce is 5% %, then in case of one tailed testt the size of the rejectionn
region is 0.05 either falling in thhe left side only or in th
he right sidde only or inn the right siide only.
NG OF GIIVEN POP
TESTIN PULATIO
ON MEAN
T test is used
This u to test whether thee given pop
pulation mean is true oor not. In otther words,
this tesst is used to cheeck whethher the difference d between sample mean m andd
populatioon mean iss significannt or it is only due to sampling fluctuattions. Herre we cann
apply z-test of t-test.
Procedurre:
1. Set the null hypothesis that there is no significant difference betw
ween samplee mean andd
poopulation mean.
m
H 0 : = 0
H1 : 0
2. Decide
D the teest criterionn.
If sam
mple is largee, apply Z-ttest
If sam
mple is smaall, but popuulation stand
dard deviatiion is knownn, apply z teest
If sam
mple is smaall and popuulation stand
dard deviatioon is unknoown, apply t-test.
t
3. Apply
A the formula
Z or t= Differeence
SE
= wherre Sam
mple mean
= Population meean
SE = Stanndard Errorr
SE is com
mputed as follows:-
fo
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SE = = = = 0.5
.
z=
.
.
= = 3.6
.
The value of z at 5% level of significance for infinity d.f. is 1.96. As the calculated value
is more than the table value , we reject the H0. There is significant difference sample mean and
population mean.
We conclude that the sample has not come from the population with mean 26.8.
Qn. The mean life of 100 bulbs produced by a company is computed to be 1570 hours with
S.D. of 120 hours. The company claims that the average life of bulbs produced by the
company is 1600 hours. Using 5% level of significance, is the claim
acceptable?
Sol: H0 : = 1600
H1 : 1600
Since sample is large apply z-test.
Z =
SE = = = = 12
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z =
= = 2.5
Table value at 5% level of significance and infinity d.f. is 1.96. As the
calculated value is greater than the table value, we reject the H0. There is significant difference
between mean life of sample and mean life of population.
Companys claim is not acceptable
Qn. The price of shares of a company on the different days in a month were found to be
66,65,69,70,69,71,70,63,64 and 68. Discuss whether mean price of shares in the month is
65.
Sol. H0 : = 65
H1 : 65
Since small sample, apply t-test.
t =
X= =
= = 67.5
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2
Standard deviation (S) =
.
= = 7.05
= 2.655
S.E =
. . .
= = =
= 0.885
. .
t = =
. .
= 2.8249
Table value at 5% level of significance and 9 d.f. = 2.262. Calculated value is
more than table value.
We reject the null hypothesis.
We conclude that the mean price of share in the month is not 65/-.
Qn. The mean height obtained from a random sample of 36 children is 30 inches. The
standard deviation of the distribution of height of the population is known to be 1.5 inches.
Test the statement that the mean height of the population is 33 inches at 5% level of
significance. Also set up 99% confidence limits of the mean height of the population.
Sol. H0 : = 33
H1 : 33
Since small sample is large, apply z-test.
z =
X = 30
= 33
. .
SE = = = = 0.25
z = = = 12
. .
Table value at 5% level of significance & infinity d.f. = 1.95.
Calculated value is greater than table value.
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We reject the H0
We conclude that this mean height of population is not 33 inches.
b 99% confidence level = 1% significance level.
Table value of Z at 1% level of = 2.576 ]]
S.E. = = = = 1.875
Confidence Limits of = 48 1.96 x 1.875
= 48 3.675
= 44.325 and 51.675
Average time spent by all BBA students before competing their examinations is between
44.325 months and 51.675 months.
Qn. A typist claims that he can take dictations at the rate of more than 120 words per minute.
Of the 12 tests given to him, he could perform an average of 135 words with a S.D. of 40.
Is his claim valid. (use 1% level of significance).
H0 : = 120
H1 : 120
Since small sample is large, apply z-test.
t = =
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SE = = = = = 12.06
.
t = = = 1.24
. .
Table value of t at 1% level of = 2.718
significance and 11 d.f.
SE = = = 60.
t = = = 3.33
Table value of t at 5% significance level and 24 d.f. = 1.711
Calculated value is greater than the table value.
We reject the null hypothesis and accept alternative hypothesis. So we conclude that
the new manufacturing process has increased the life of bulbs, i.e, = 200.
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H0 : 1 = 2
H1 : 1 2
2. Decide the test criterion:
If sample is large, apply z test
If sample is small, but population S.D. is known, apply z-test.
If sample is small and population S.D. is unknown, apply t-test.
3. Apply the formula:
Z or t = =
SE is computed as follows:
It population S.D. are unknown and samples are large, then assuming
population S.D. are different,
S.E. =
It population S.D. are unknown and samples are small, then assuming
population S.D. are equal,
S.E. =
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Since samples are large, apply z- test.
. .
Z = =
SE =
= = =
= 0.16 = 0.4
. . .
Z = 3.75
. .
SE =
= = = 0.45 0.424
= 0.874 = 0.9349.
Z = 4.2785.
. .
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So, we conclude that the samples are not drawn from the population having the S.D. of 6
Kg.
Qn. Elective bulbs manufactured by X Ltd. and Y Ltd. gave the following results.
X Ltd. Y Ltd.
No. of bulbs used 100 100
Mean life in hours 1300 1248
Standard deviation 82 93
Using S.E. of the difference between mean, state whether there is any significant
difference in the life of the two makes.
H0 : 1 = 2
H1 : 1 2
Z =
SE =
= = = 67.24 86.49
= 153.73 = 12.399.
Z = 4.194.
. .
We reject the H0
So we conclude that there is significant difference in the average life of bulbs of 2 makes.
Qn. The average number of articles manufactured by two machines per day and 200 and 250
with S.D. 20 and 25 respectively on the basis of 25 days production. Can you regard both
the machines are equally efficient at 1% level of significance?.
Sol. H0 : 1 = 2
H1 : 1 2
Z =
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Here population S.D. are not known and samples are small.
S.E. =
,
x0.08
42.7083
6.5352.
t = 7.651
. .
Degree of freedom = n1 + n2 2
= 25 + 25 2 = 48
Table value of t at 1% level of significance and infinity d.f. = 2.576.
Calculated value is greater than the table value.
We reject the null hypothesis.
i.e, 1 2
So we conclude that the machines are not equally efficient.
Qn: Given below are the gains in weights of dogs on two diets, X and Y
Diet X: 15 22 20 22 18 14 22
Diet Y : 14 24 12 20 32 21 30 20 22 25
Test at 5% level, whether the two diets differ significantly with regard to increase in
weight.
Sol: H :
H :
Since samples are small, apply t - teat
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t=
As mean and S.D. are not given, first we have to find out the same of the 2 groups.
X d (X-20)
15 -5 25
22 2 4
20 0 0
22 2 4
18 -2 4
14 -6 36
22 2 4
d = -7 d = 77
X =A+
= 20 + = 20 + -7 = 19
S =
= = 11 1
= 10 = 3.1623
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X d (X-20)
14 -6 36
24 4 8
12 -8 64
20 0 0
32 12 144
21 1 1
30 10 100
20 0 0
22 2 4
25 5 25
d = 20 d = 390
X =A+
= 20 + = 20 + 2 = 22
S =
= = 39 4
= 35 = 5.9161
S.E. =
. .
=
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= 0.1429 0.1
= 0.2429 = 28 0.2429
= 6.8012 = 2.6079
t
.
1.1504
Tablevalueoftat5%levelof
significanceand15d.f. 7 102 2.731
Calculatedvalueislessthantablevalue.
Weacceptthenullhypothesisi.e,
So,wecanconcludethatthereisnosignificantdifferencebetweentwodiets.
1. Set the null hypothesis that there is no significant difference between two standard
deviations.
H :
H :
2. Decide the test criterion:
If sample is large, apply Z test
If sample is sample, apply F test
3. Apply the formula:
If Z test:
.
Z= =
. .
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If F test:
For F test: n 1, n 1
Sol: H :
H :
Since samples are large, apply Z - test.
.
Z=
.
SE =
. .
= =
= 0.5787
. .
Z = = = 0.8640
. .
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Table value of Z at 5% level of significance
and infinity degree of freedom
=1.96
Calculated value is less than the table value.
Sol: H :
H :
Since samples are small, apply F-test.
F=
. . .
= = = = 13.61
= = = = 9.69
.
F = = 1,405
.
Degree of freedom is (n 1, n 1) = (10-1, 14-1)
= (9, 13)
Table value of F at 5% level of significance and (9, 13) d.f. = 2.72
Calculated value of F is smaller than the table value.
We accept the H i.e.,
So we conclude that the S.D. of the populations are equal.
Qn: Two random sample were drawn from two normal populations and their
values are :-
A: 66 67 75 76 82 84 88 90 92
B: 64 66 74 78 82 85 87 92 93 95 97
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Examine whether the standard deviations of the population are equal.
Sol: Here, first we find out the standard deviations
66 -9 81 64 -18 324
67 -8 84 66 -16 256
75 0 0 74 -8 64
76 1 1 78 -4 16
82 7 49 82 0 0
84 9 81 85 3 9
88 13 169 87 5 25
90 15 225 92 10 100
92 17 289 93 11 121
d = 45 d = 959 95 13 169
97 15 225
d=11 d = 1309
S.D =
SD of sample A = = 106.56 25
= 81.56 = 9.03
SD of sample B = = 119 1
= 118 = 10.86
H :
H :
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Since sample are small, apply F-test
F=
. . .
= = = = 91.7325
. . .
= = = = 129.734
.
F = = 1.414
.
Table value of F at 5% level of significance of (10, 8) d.f = 3.34
Table value is greater than the calculated value.
We accept the H
So, we conclude that the S.D. of the populations are equal.
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CHAPTER 10
NON-PARAMETRIC TESTS
A non-parametric test is a test which is not concerned with testing of parameters. Non-
parametric tests do not make any assumption regarding the form of the population. Therefore,
non-parametric tests are also called distribution free tests.
Following are the important non-parametric tests:-
1. Chi-square test
2. Sign test
3. Signed rank test (Wilcoxon matched pairs test)
4. Rank sum test (Mann-whitney U-test and Kruskal-Wallis H test)
5. Run test
6. Kolmogrov-Smirnor Test (K-S-test)
CHI-SQUARE TEST
The value of chi-square describes the magnitude of difference between observed
frequencies and expected frequencies under certain assumptions. value ( quantity) ranges
from zero to infinity. It is zero when the expected frequencies and observed frequencies
completely coincide. So greater the value of , greater is the discrepancy between observed and
expected frequencies.
-test is a statistical test which tests the significance of difference between observed
frequencies and corresponding theoretical frequencies of a distribution without any assumption
about the distribution of the population. This is one of the simplest and most widely used non-
parametric test in statistical work. This test was developed by Prof. Karl Pearson in 1990.
Uses of - test
The uses of chi-square test are:-
1. Useful for the test of goodness of fit:- - test can be used to test whether there is
goodness of fit between the observed frequencies and expected frequencies.
2. Useful for the test of independence of attributes:- test can be used to test whether two
attributes are associated or not.
3. Useful for the test of homogeneity:- -test is very useful t5o test whether two attributes
are homogeneous or not.
4. Useful for testing given population variance:- -test can be used for testing whether the
given population variance is acceptable on the basis of samples drawn from that
population.
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-test as a test of goodness of fit:
As a non-parametric test, -test is mainly used to test the goodness of fit between the
observed frequencies and expected frequencies.
Procedure:-
1. Set up mull hypothesis that there is goodness of fit between observed and expected
frequencies.
=
Where O = Observed frequencies
E = Expected frequencies
4. Obtain the table value corresponding to the lord of significance and degrees of freedom.
5. Decide whether to accept or reject the null hypothesis. If the calculated value is less than
the table value, we accept the null hypothesis and conclude that there is goodness of fit. If
the calculated value is more than the table value we reject the null hypothesis and
conclude that there is no goodness of fit.
Qn:- A sample analysis of examination result of 200 students were made. It was found that 46
students had failed, 68 secured IIIrd class, 62 IInd class and the rest were placed in the Ist
class. Are these figures commensurate with the general examination results which is in
the ratio of 2 : 3: 3: 2 for various categories respectively?
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Computation of value:
O E
O E O-E O E
E
46 200 = 40 6 36 0.9000
68 200 = 40 8 64 1.0667
62 200 = 40 2 4 0.0667
= 8.4334
= 8. 4334
The table value at 5% level of significance
and degree of freedom at 3. = 7. 815
(df = n r- 1 =4 0 1 = 3)
we reject the H
we conclude that the analytical figures do not commensurate with the general
examination result. In other words, there is no goodness of fit between the observed and expected
frequencies.
Qn: Test whether the accidents occur uniformity over week days on the basis of the
following information:-
Days of the week: Sun Mon Tue Wed Thu Fri Sat
No. of accidents: 11 13 14 13 15 14 18
Sol: H : There is goodness of fit between observed and expected frequencies, i.e.,
accidents occur uniformly over week days.
H : There is no goodness of fit between observed and expected frequencies; i.e.,
accidents do not accrue uniformly over week days
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Computation of value:
O E
O E O-E O E
E
11 14 -3 9 0.6429
13 14 -1 1 0.0714
14 14 0 0 0.0000
13 14 1 0.0714
-1
15 14 1 0.0714
1
14 14 0 0.0000
0
18 14 16 1.1429
4
= 2.0000
test is used to find out whether one or more attributes are associated or not.
Procedure:-
1. Set up null and alternative hypothesis.
H : Two attributes are independent (i.e., there is no association between the
attributes)
H : Two attributes are dependent (i.e., there is an association between the
attributes)
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2. Find the value.
=
3. Find the degree of freedom
d.f. = (r-1)(c-1)
Where r = Number of rows
c = Number of columns
4. Obtain table value corresponding to the level of significance and degree of freedom.
5. Describe whether to accept or reject the H . If the calculated value is less than the table
value, we accept the H and conclude that the attributes are independent. If the H and
conclude that the attributes are dependent.
Qn: The following table gives data regarding election to an office:-
Economic Status
Attitude towards election
Rich Poor Total
Favourable 50 155 205
Non favourable 90 110 200
Total 140 265 405
Is attitude towards election influenced by economic status of workers?
Sol: H : The two attributes, election and economic status are independent.
H : The attributes, election and economic status are dependent.
=
Observed frequencies are 50, 90, 155 and 110
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Computation of value:
O E
O E O-E O E
E
50 71 -21 441 6.21
90 69 21 441 6.39
= 19.26
Qn: In a sample study about the tea habit in two towns, following date are observed in a
sample of size 100 each:-
Town A:-
51 persons were male, 31 were tea drinkers and 19 were male tea drinks.
Town B :-
46 persons were male, 17 were male tea drinkers and 26 were tea drinkers.
Is there any association between sex and tea habits ?
If so, in which town it is greater?
Sol:- H : The two attributes, sex and tea habits are independent.
H : The two attributes sex and tea habits are dependent.
Town A:-
2 2 Contingency table of observed frequency
Sex
Male Female Total
Tea habits
Tea Drinkers 19 12 31
Total 51 49 100
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Total 51 49 100
Computation of value:
O E
O E O-E O E
E
19 16 3 9 0.5625
32 35 -3 9 0.2571
12 15 -3 9 0.6000
37 34 3 9 0.2647
= 1.6843
Sex
Male Female Total
Tea habits
Tea Drinkers 17 9 26
Total 46 54 100
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Total 46 54 100
Computation of value:
O E
O E O-E O E
E
17 12 5 25 2.083
29 34 -5 25 0.735
9 14 -5 25 1.786
45 40 5 25 0.625
5.229
The table value of at 5% level of significance for 1 degree of freedom is 3.84. As the
calculated value is more than the table value, we reject the H . In other words, attributes sex and
tea habits are not independent (i.e., associated) in Town B.
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2. Find the value.
=
3. Find the degree of freedom
d.f. = (r-1)(c-1)
Qn: From the adult population of four large cities, random samples were selected and the number
of married and unmarried men were recorded:
Cities
A B C D Total
Married
137 164 152 147 600
Single 32 57 56 35 180
Is there significant variation among the cities in the tendency of men to marry.
Sol:- H : The 4 cities are homogeneous.
H : The 4 cities are heterogeneous.
Single
= 39 = 51 = 48 =42 180
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Computation of value:
O E
O E O-E O E
E
137 130 7 49 0.3769
32 39 -7 49 1.2564
57 51 6 36 0.7059
56 48 8 64 1.3333
35 42 -7 49 1.1667
5.8010
test can be used for testing the given population when the sample is small.
Steps:-
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2. Find the value.
=
Where = Sample variance
= Population variance
= = = = 8.8999
. .
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Here there are two cases:-
a) When the number of matched pairs are less than or equal to 25.
Case:1
Procedure:-
1. Set up null hypothesis:
H : There is no significant difference.
H : There is significant difference.
2. Find the difference between each pair of values.
3. Assign ranks to the differences from the smallest to the largest without any regard to sign.
4. Then actual signs of each difference are put to the corresponding ranks.
5. Find the total of positive ranks and negative ranks.
6. Smaller value, as per steps 5 is taken as the calculated value.
7. Obtain the table value of Wilcoxons T-Table.
8. Decide whether to accept or reject the null hypothesis.
Qn: Given below is 16 pairs of values showing the performance of two machines A
and B. Test whether there is difference between the performances. Table value of
T at 5% significanterd is 25.
A: 73, 43, 47, 53, 58, 47, 52, 58, 38, 61, 56, 56, 34, 55, 65, 75
B: 51, 41, 43, 41, 47, 32, 24, 58, 43, 53, 52, 57, 44, 57, 40, 68
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1 2 3 4 5
Machine Machine Difference Rank of Difference Rank with signs
A B (3) = (1) (2) (without signs) + Sign - Sign
73 51 22 13 13
43 41 2 2.5 2.5
47 43 4 2.5 4.5
53 41 12 11 11
58 47 11 10 10
47 32 15 12 12
52 24 28 15 15
58 58 0 - -
38 43 -5 6 - -6
61 53 8 8 8
56 52 4 4.5 4.5
56 57 -1 1 - -1
34 44 -10 9 - -9
55 57 -2 2.5 - -2.5
65 40 25 14 14
75 68 7 7 7
Total 101.5 -18.5
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5. Find the total of positive ranks and negative ranks.
6. Apply Z test and compute the value of Z
Z=
U=
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CHAPTER 11
ANALYSIS OF VARIANCE
SSC = . .
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5. Compute MSC
MSC = =
..
6. Compute MSE
MSE = =
..
7. Compute F ratio:
F=
8. Incorporate all these in an ANOVA TABLE as flows:
ANOVA TABLE
Source of Sum of Degree of Means square
F - Ratio
Variation Squares freedom
Between SSC C-1
MSC = F=
Samples
Treatment
Plot name 1 2 3 4
A 42 48 68 80
B 50 66 52 94
C 62 68 76 78
D 34 78 64 82
E 52 70 70 66
Carry out an analysis of variance and state whether there is any significant difference in
treatments.
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Sol: H : There is no significant difference in treatments.
X X X X X X X X
= (11,968+22,268+22,100+32,400) -
= 88,736 -
, ,
= 88,736 -
SSC =
= 11,520+21,780+21,780+32,000 84,500
= 87, 080 84, 500 = 2, 580
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Qn: The following data relate to the yield of 4 varieties of rice each shown on 5
plots. Find whether there is significant difference between the mean yield
of these varieties.
Treatment
Plot name 1 2 3 4
P 99 103 109 104
S 99 105 97 107
T 98 95 99 106
Sol: Apply coding method. Subtract 100 from all the observations.
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X X X X X X X X
(A) (B) (C) (D)
-1 3 9 4 1 9 81 16
1 2 3 0 1 4 9 0
3 0 7 3 9 0 49 9
-1 5 -3 7 1 25 9 49
-2 -5 -1 6 4 25 1 36
X = 0 X = 5 X = 15 X = 20 16 63 149 110
= (16+63+149+110) -
= 338 -
= 338 -
= 338 80 = 258
SSC =
= 0+5+45+80 80
= 50
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As the calculated value is less than the table value, we accept the null hypothesis.
2. Compute SST
SST = Sum of squares of all observations -
3. Compute SSC
SSC = . .
4. Compute SSR
SSR = . .
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5. Compute SSE
6. Compute MSC
MSC = =
..
7. Compute MSR
MSR = =
..
8. Compute MSE
MSE = =
..
Fc =
Fr =
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Qn: Apply the technique of analysis of variance to the following date relating
to yields of 4 varieties of wheat in 3 blocks:
Blocks
Varieties X Y Z
A 10 9 8
B 7 7 6
C 8 5 4
D 5 4 4
Carry two-way analysis of variance.
Sol:
X Y Z X
Varieties Total X X Total
X X X
A(X 10 9 8 27 100 81 64 245
B (X ) 7 7 6 20 49 49 36 134
C(X ) 8 5 4 17 64 25 16 105
D(X ) 5 4 4 13 25 16 16 57
= 541 -
= 541 -
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= 225+156.25+121 494.083
= 502.25 494.083 = 8.167
SSR =
= 243+133.333+96.333+56.333 494.083
= 34.916
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Table value = 4.7571
As the calculated value is greater than the table value, we reject the null hypothesis. This
means that there is significant difference in mean productivity of the varieties.
Qn: The following date presents the number of units of production per day turned
out by 5 different workers using 4 different types of machines:
Machine Type
Workers A B C D
1 44 38 47 36
2 46 40 52 43
3 34 36 44 32
4 43 38 46 33
5 38 42 49 39
(a) Test whether the mean productivity is the same for the different machine types.
(b) Test whether the 5 workers differ with respect to mean productivity.
Let us apply coding method. Let us subtract 40 from all the observations.
A B C D
Workers Total X X X X Total
X X X X
1(X 4 -2 7 -4 5 16 4 49 16 85
2 (X ) 6 0 12 3 21 36 0 144 9 189
4(X ) 3 -2 6 -7 0 9 4 36 49 98
5(X ) -2 2 9 -1 8 4 4 81 1 90
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There is significant difference between in the mean productivity of
workers.
SST = Sum of squares of all items -
= 594 -
SSC =
=
1794
= - 20 = 358.8-20 = 338.8
5
X1 2 X2 2 X3 2 X4 2 X5 2 T2
SSR =
N1 N2 N3 N4 N5 N
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