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Inferential Statistics
Psych 231: Research Methods in Psychology
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Inferential Statistics
Purpose: To make claims about populations based on data collected from samples What’s the big deal? Example Experiment: Group A - gets treatment to improve memory Group B - gets no treatment (control) After treatment period test both groups for memory Results: Group A’s average memory score is 80% Group B’s is 76% Is the 4% difference a “real” difference (statistically significant) or is it just sampling error? Inferential Statistics
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Testing Hypotheses Step 1: State your hypotheses
Null hypothesis Alternative hypothesis This is the hypothesis that you are testing Step 2: Set your decision criteria Alpha level (prob of Type I error) Real world (‘truth’) H0 is correct H0 is wrong Experimenter’s conclusions Reject H0 Fail to Reject H0 Type I error Type II error Step 3: Collect your data from your sample(s) Step 4: Compute your test statistics Step 5: Make a decision about your null hypothesis Reject H0 “statistically significant differences” Fail to reject H0 “not statistically significant differences” Testing Hypotheses
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Testing Hypotheses XA XB About populations Example Experiment:
Group A - gets treatment to improve memory Group B - gets no treatment (control) After treatment period test both groups for memory Results: Group A’s average memory score is 80% Group B’s average memory score is 76% H0: μA = μB H0: there is no difference between Grp A and Grp B Real world (‘truth’) H0 is correct H0 is wrong Experimenter’s conclusions Reject H0 Fail to Reject H0 Type I error Type II error Is the 4% difference a “real” difference (statistically significant) or is it just sampling error? Two sample distributions XA XB 76% 80% Testing Hypotheses
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“Generic” statistical test
Tests the question: Are there differences between groups due to a treatment? H0 is true (no treatment effect) Real world (‘truth’) H0 is correct H0 is wrong Experimenter’s conclusions Reject H0 Fail to Reject H0 Type I error Type II error Two possibilities in the “real world” One population Two sample distributions XA XB 76% 80% “Generic” statistical test
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“Generic” statistical test
Tests the question: Are there differences between groups due to a treatment? Real world (‘truth’) H0 is correct H0 is wrong Experimenter’s conclusions Reject H0 Fail to Reject H0 Type I error Type II error Two possibilities in the “real world” H0 is true (no treatment effect) H0 is false (is a treatment effect) Two populations XA XB XB XA 76% 80% 76% 80% People who get the treatment change, they form a new population (the “treatment population) “Generic” statistical test
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“Generic” statistical test
XA XB ER: Random sampling error ID: Individual differences (if between subjects factor) TR: The effect of a treatment Why might the samples be different? (What is the source of the variability between groups)? “Generic” statistical test
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“Generic” statistical test
XA XB ER: Random sampling error ID: Individual differences (if between subjects factor) TR: The effect of a treatment The generic test statistic - is a ratio of sources of variability Observed difference TR + ID + ER ID + ER Computed test statistic = = Difference from chance “Generic” statistical test
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Estimating Sampling Error
Observed difference Difference from chance “Statistically significant differences” When you “reject your null hypothesis” Essentially this means that the observed difference is above what you’d expect by chance “Chance” is determined by estimating how much sampling error there is Factors affecting “chance” (sampling error) Sample size Population variability Estimating Sampling Error
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Estimating Sampling Error: Sample size
Population mean Population Distribution x Sampling error (Pop mean - sample mean) n = 1 Estimating Sampling Error: Sample size
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Estimating Sampling Error: Sample size
Population mean Population Distribution Sample mean x x Sampling error (Pop mean - sample mean) n = 2 Estimating Sampling Error: Sample size
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Estimating Sampling Error: Sample size
Generally, as the sample size increases, the sampling error decreases Population mean Population Distribution Sample mean x Sampling error (Pop mean - sample mean) n = 10 Estimating Sampling Error: Sample size
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Estimating Sampling Error: Pop. Variance
Typically the narrower the population distribution, the narrower the range of possible samples, and the smaller the “chance” Large population variability Small population variability Estimating Sampling Error: Pop. Variance
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Estimating Sampling Error: Standard Error
These two factors combine to impact the distribution of sample means. The distribution of sample means is a distribution of all possible sample means of a particular sample size that can be drawn from the population Population Distribution of sample means XC Samples of size = n XA XD Avg. Sampling error XB “chance” Estimating Sampling Error: Standard Error
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“Generic” statistical test
The generic test statistic distribution A transformation of the distribution of sample means into a standardized distribution (e.g., z-distribution, t-distribution, F-distribution) Observed difference Difference from chance Distribution of the test statistic Test statistic Distribution of sample means “Generic” statistical test
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Testing Hypotheses Step 1: State your hypotheses
Null hypothesis Alternative hypothesis Step 2: Set your decision criteria Alpha level (prob of Type I error) Step 3: Collect your data from your sample(s) Step 4: Compute your test statistics Step 5: Make a decision about your null hypothesis Reject H0 “statistically significant differences” Fail to reject H0 “not statistically significant differences” Testing Hypotheses
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“Generic” statistical test
The generic test statistic distribution To reject the H0, you want a computed test statistics that is large reflecting a large Treatment Effect (TR) What’s large enough to reject H0? The alpha level gives us the decision criterion TR + ID + ER ID + ER Distribution of the test statistic Test statistic Distribution of sample means α-level determines where these boundaries go “Generic” statistical test
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“Generic” statistical test
The generic test statistic distribution To reject the H0, you want a computed test statistics that is large reflecting a large Treatment Effect (TR) What’s large enough to reject H0? The alpha level gives us the decision criterion Distribution of the test statistic Reject H0 Fail to reject H0 “Generic” statistical test
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“Generic” statistical test
The generic test statistic distribution To reject the H0, you want a computed test statistics that is large reflecting a large Treatment Effect (TR) What’s large enough to reject H0? The alpha level gives us the decision criterion Distribution of the test statistic Reject H0 “One tailed test”: sometimes you know to expect a particular difference (e.g., “improve memory performance”) Fail to reject H0 “Generic” statistical test
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“Generic” statistical test
NR exp Observed difference TR + ID + ER ID + ER Computed test statistic = = Difference from chance Things that affect the computed test statistic Difference expected by chance (sample error) Sample size Variability in the population Size of the treatment effect The bigger the effect, the bigger the computed test statistic “Generic” statistical test
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Significance “A statistically significant difference” means:
the researcher is concluding that there is a difference above and beyond chance with the probability of making a type I error at 5% (assuming an alpha level = 0.05) Note “statistical significance” is not the same thing as theoretical significance. Only means that there is a statistical difference Doesn’t mean that it is an important difference Significance
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Non-Significance Failing to reject the null hypothesis
Generally, not interested in “accepting the null hypothesis” (remember we can’t prove things only disprove them) Usually check to see if you made a Type II error (failed to detect a difference that is really there) Check the statistical power of your test Sample size is too small Effects that you’re looking for are really small Check your controls, maybe too much variability Non-Significance
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Some inferential statistical tests
1 factor with two groups T-tests Between groups: 2-independent samples Within groups: Repeated measures samples (matched, related) 1 factor with more than two groups Analysis of Variance (ANOVA) (either between groups or repeated measures) Multi-factorial Factorial ANOVA Some inferential statistical tests
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T-test Design Formula: Observed difference X1 - X2 T =
2 separate experimental conditions Degrees of freedom Based on the size of the sample and the kind of t-test Formula: Observed difference T = X X2 Diff by chance Based on sample error Computation differs for between and within t-tests T-test
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T-test Reporting your results
The observed difference between conditions Kind of t-test Computed T-statistic Degrees of freedom for the test The “p-value” of the test “The mean of the treatment group was 12 points higher than the control group. An independent samples t-test yielded a significant difference, t(24) = 5.67, p < 0.05.” “The mean score of the post-test was 12 points higher than the pre-test. A repeated measures t-test demonstrated that this difference was significant significant, t(12) = 5.67, p < 0.05.” T-test
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Analysis of Variance XB XA XC Designs Test statistic is an F-ratio
More than two groups 1 Factor ANOVA, Factorial ANOVA Both Within and Between Groups Factors Test statistic is an F-ratio Degrees of freedom Several to keep track of The number of them depends on the design Analysis of Variance
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Analysis of Variance More than two groups F-ratio = XB XA XC
Now we can’t just compute a simple difference score since there are more than one difference So we use variance instead of simply the difference Variance is essentially an average difference Observed variance Variance from chance F-ratio = Analysis of Variance
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1 factor ANOVA 1 Factor, with more than two levels XB XA XC
Now we can’t just compute a simple difference score since there are more than one difference A - B, B - C, & A - C 1 factor ANOVA
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1 factor ANOVA The ANOVA tests this one!! XA = XB = XC XA ≠ XB ≠ XC
Null hypothesis: H0: all the groups are equal The ANOVA tests this one!! XA = XB = XC Do further tests to pick between these Alternative hypotheses HA: not all the groups are equal XA ≠ XB ≠ XC XA ≠ XB = XC XA = XB ≠ XC XA = XC ≠ XB 1 factor ANOVA
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1 factor ANOVA Planned contrasts and post-hoc tests:
- Further tests used to rule out the different Alternative hypotheses XA ≠ XB ≠ XC Test 1: A ≠ B XA = XB ≠ XC Test 2: A ≠ C XA ≠ XB = XC Test 3: B = C XA = XC ≠ XB 1 factor ANOVA
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1 factor ANOVA Reporting your results The observed differences
Kind of test Computed F-ratio Degrees of freedom for the test The “p-value” of the test Any post-hoc or planned comparison results “The mean score of Group A was 12, Group B was 25, and Group C was 27. A 1-way ANOVA was conducted and the results yielded a significant difference, F(2,25) = 5.67, p < Post hoc tests revealed that the differences between groups A and B and A and C were statistically reliable (respectively t(1) = 5.67, p < 0.05 & t(1) = 6.02, p <0.05). Groups B and C did not differ significantly from one another” 1 factor ANOVA
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We covered much of this in our experimental design lecture
More than one factor Factors may be within or between Overall design may be entirely within, entirely between, or mixed Many F-ratios may be computed An F-ratio is computed to test the main effect of each factor An F-ratio is computed to test each of the potential interactions between the factors Factorial ANOVAs
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Factorial ANOVAs Reporting your results The observed differences
Because there may be a lot of these, may present them in a table instead of directly in the text Kind of design e.g. “2 x 2 completely between factorial design” Computed F-ratios May see separate paragraphs for each factor, and for interactions Degrees of freedom for the test Each F-ratio will have its own set of df’s The “p-value” of the test May want to just say “all tests were tested with an alpha level of 0.05” Any post-hoc or planned comparison results Typically only the theoretically interesting comparisons are presented Factorial ANOVAs
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Relationships between variables
Example: Suppose that you notice that the more you study for an exam, the better your score typically is. This suggests that there is a relationship between study time and test performance. We call this relationship a correlation. Relationships between variables
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Relationships between variables
Properties of a correlation Form (linear or non-linear) Direction (positive or negative) Strength (none, weak, strong, perfect) To examine this relationship you should: Make a scatterplot Compute the Correlation Coefficient Relationships between variables
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Scatterplot Plots one variable against the other
Useful for “seeing” the relationship Form, Direction, and Strength Each point corresponds to a different individual Imagine a line through the data points Scatterplot
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Y X 1 2 3 4 5 6 Hours study X Exam perf. Y 6 1 2 5 3 4 Scatterplot
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Correlation Coefficient
A numerical description of the relationship between two variables For relationship between two continuous variables we use Pearson’s r It basically tells us how much our two variables vary together As X goes up, what does Y typically do X, Y X, Y X, Y Correlation Coefficient
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Linear Non-linear Form
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Direction Positive Negative Y X Y X As X goes up, Y goes up
X & Y vary in the same direction Positive Pearson’s r As X goes up, Y goes down X & Y vary in opposite directions Negative Pearson’s r Direction
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Strength Zero means “no relationship”.
The farther the r is from zero, the stronger the relationship The strength of the relationship Spread around the line (note the axis scales) Strength
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r = 0.0 “no relationship” r = 1.0 “perfect positive corr.” r = -1.0 “perfect negative corr.” -1.0 0.0 +1.0 The farther from zero, the stronger the relationship Strength
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Rel A Rel B r = -0.8 r = 0.5 -.8 .5 -1.0 0.0 +1.0 Which relationship is stronger? Rel A, -0.8 is stronger than +0.5 Strength
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Compute the equation for the line that best fits the data points
Y X 1 2 3 4 5 6 Y = (X)(slope) + (intercept) 0.5 2.0 Change in Y Change in X = slope Regression
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Regression Can make specific predictions about Y based on X X = 5
Y = (X)(.5) + (2.0) Y X 1 2 3 4 5 6 Y = (5)(.5) + (2.0) Y = = 4.5 4.5 Regression
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Regression Also need a measure of error Y = X(.5) + (2.0) + error
Same line, but different relationships (strength difference) Y X 1 2 3 4 5 6 Y X 1 2 3 4 5 6 Regression
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Cautions with correlation & regression
Don’t make causal claims Don’t extrapolate Extreme scores (outliers) can strongly influence the calculated relationship Cautions with correlation & regression
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