In: Math
When σ is unknown and the sample is of size n ≥ 30, there are two methods for computing confidence intervals for μ.
Method 1: Use the Student's t distribution with
d.f. = n − 1.
This is the method used in the text. It is widely employed in
statistical studies. Also, most statistical software packages use
this method.
Method 2: When n ≥ 30, use the sample standard
deviation s as an estimate for σ, and then use
the standard normal distribution.
This method is based on the fact that for large samples, s
is a fairly good approximation for σ. Also, for large
n, the critical values for the Student's t
distribution approach those of the standard normal
distribution.
Consider a random sample of size n = 41, with sample mean x = 46.0 and sample standard deviation s = 4.6.
(a) Compute 90%, 95%, and 99% confidence intervals for μ using Method 1 with a Student's t distribution. Round endpoints to two digits after the decimal.
90% | 95% | 99% | |
lower limit | |||
upper limit |
(b) Compute 90%, 95%, and 99% confidence intervals for μ
using Method 2 with the standard normal distribution. Use
s as an estimate for σ. Round endpoints to two
digits after the decimal.
90% | 95% | 99% | |
lower limit | |||
upper limit |
(c) Compare intervals for the two methods. Would you say that
confidence intervals using a Student's t distribution are
more conservative in the sense that they tend to be longer than
intervals based on the standard normal distribution?
Yes. The respective intervals based on the t distribution are shorter.
Yes. The respective intervals based on the t distribution are longer.
No. The respective intervals based on the t distribution are shorter.
No. The respective intervals based on the t distribution are longer.
(d) Now consider a sample size of 81. Compute 90%, 95%, and 99%
confidence intervals for μ using Method 1 with a Student's
t distribution. Round endpoints to two digits after the
decimal.
90% | 95% | 99% | |
lower limit | |||
upper limit |
(e) Compute 90%, 95%, and 99% confidence intervals for μ
using Method 2 with the standard normal distribution. Use
s as an estimate for σ. Round endpoints to two
digits after the decimal.
90% | 95% | 99% | |
lower limit | |||
upper limit |
(f) Compare intervals for the two methods. Would you say that
confidence intervals using a Student's t distribution are
more conservative in the sense that they tend to be longer than
intervals based on the standard normal distribution?
No. The respective intervals based on the t distribution are longer.
Yes. The respective intervals based on the t distribution are shorter.
No. The respective intervals based on the t distribution are shorter.
Yes. The respective intervals based on the t distribution are longer.
With increased sample size, do the two methods give respective
confidence intervals that are more similar?
As the sample size increases, the difference between the two methods remains constant.
As the sample size increases, the difference between the two methods becomes greater.
As the sample size increases, the difference between the two methods is less pronounced.