- The two independent samples are simple random samples from two distinct populations.
- For the two distinct populations:
- if the sample sizes are small, the distributions are important (should be normal)
- if the sample sizes are large, the distributions are not important (need not be normal)

## NOTE

The test comparing two independent population means with unknown and possibly unequal population standard deviations is called the Aspin-Welch t-test. The degrees of freedom formula was developed by Aspin-Welch.

The comparison of two population means is very common. A difference between the two samples depends on both the means and the standard deviations. Very different means can occur by chance if there is great variation among the individual samples. In order to account for the variation, we take the difference of the sample means, ${\overline{X}}_{1}$ – ${\overline{X}}_{2}$, and divide by the standard error in order to standardize the difference. The result is a t-score test statistic.

Because we do not know the population standard deviations, we estimate them using the two sample standard deviations from our independent samples. For the hypothesis test, we calculate the estimated standard deviation, or standard error, of **the difference in sample means**, ${\overline{X}}_{1}$ – ${\overline{X}}_{2}$.

The test statistic (*t*-score) is calculated as follows:

*s*_{1}and*s*_{2}, the sample standard deviations, are estimates of*σ*_{1}and*σ*_{2}, respectively.*σ*_{1}and*σ*_{2}are the unknown population standard deviations.- ${\overline{x}}_{1}$
and
${\overline{x}}_{2}$
are the sample means.
*μ*_{1}and*μ*_{2}are the population means.

The number of degrees of freedom (*df*) requires a somewhat complicated calculation. However, a computer or calculator calculates it easily. The *df* are not always a whole number. The test statistic calculated previously is approximated by the Student's *t*-distribution with *df* as follows:

When both sample sizes *n*_{1} and *n*_{2} are five or larger, the Student's *t* approximation is very good. Notice that the sample variances (*s*_{1})^{2} and (*s*_{2})^{2} are not pooled. (If the question comes up, do not pool the variances.)

## NOTE

It is not necessary to compute this by hand. A calculator or computer easily computes it.

## Example 10.1

### Independent groups

The average amount of time boys and girls aged seven to 11 spend playing sports each day is believed to be the same. A study is done and data are collected, resulting in the data in Table 10.1. Each populations has a normal distribution.

Sample Size | Average Number of Hours Playing Sports Per Day | Sample Standard Deviation | |
---|---|---|---|

Girls | 9 | 2 | $0.866$ |

Boys | 16 | 3.2 | 1.00 |

### Problem

Is there a difference in the mean amount of time boys and girls aged seven to 11 play sports each day? Test at the 5% level of significance.

### Solution

**The population standard deviations are not known.** Let *g* be the subscript for girls and *b* be the subscript for boys. Then, *μ _{g}* is the population mean for girls and

*μ*is the population mean for boys. This is a test of two

_{b}**independent groups**, two population

**means**.

Random variable:
${\overline{X}}_{g}-{\overline{X}}_{b}$
= difference in the sample mean amount of time girls and boys play sports each day.
*H*_{0}: *μ _{g}* =

*μ*

_{b}*H*:

_{0}*μ*–

_{g}*μ*= 0

_{b}*H*:

_{a}*μ*≠

_{g}*μ*

_{b}*H*:

_{a}*μ*–

_{g}*μ*≠ 0

_{b}The words

**"the same"**tell you

*H*has an "=". Since there are no other words to indicate

_{0}*H*, assume it says

_{a}**"is different."**This is a two-tailed test.

**Distribution for the test:**
Use *t _{df}* where

*df*is calculated using the

*df*formula for independent groups, two population means. Using a calculator,

*df*is approximately 18.8462.

**Do not pool the variances.**

**Calculate the p-value using a Student's t-distribution:**

*p*-value = 0.0054

**Graph:**

${s}_{g}=0.866$

${s}_{b}=1$

So, ${\overline{x}}_{g}\u2013{\overline{x}}_{b}$ = 2 – 3.2 = –1.2

Half the *p*-value is below –1.2 and half is above 1.2.

**Make a decision:** Since *α* > *p*-value, reject *H _{0}*. This means you reject

*μ*=

_{g}*μ*. The means are different.

_{b}## Using the TI-83, 83+, 84, 84+ Calculator

Press `STAT`

. Arrow over to `TESTS`

and press `4:2-SampTTest`

. Arrow over to Stats and press `ENTER`

. Arrow down and enter `2`

for the first sample mean, ```
$0.866$
```

for Sx1, `9`

for n1, `3.2`

for the
second sample mean, `1`

for Sx2, and `16`

for n2. Arrow down to μ1: and arrow to `does not equal`

μ2. Press `ENTER`

. Arrow down to Pooled: and `No`

. Press `ENTER`

. Arrow down to `Calculate`

and press `ENTER`

. The *p*-value is *p* = 0.0054, the dfs are approximately 18.8462, and the test statistic is -3.14. Do the procedure again but instead of Calculate do Draw.

**Conclusion:** At the 5% level of significance, the sample data show there is sufficient evidence to conclude that the mean number of hours that girls and boys aged seven to 11 play sports per day is different (mean number of hours boys aged seven to 11 play sports per day is greater than the mean number of hours played by girls OR the mean number of hours girls aged seven to 11 play sports per day is greater than the mean number of hours played by boys).

## Try It 10.1

Two samples are shown in Table 10.2. Both have normal distributions. The means for the two populations are thought to be the same. Is there a difference in the means? Test at the 5% level of significance.

Sample Size | Sample Mean | Sample Standard Deviation | |
---|---|---|---|

Population A | 25 | 5 | 1 |

Population B | 16 | 4.7 | 1.2 |

## NOTE

When the sum of the sample sizes is larger than 30 (*n*_{1} + *n*_{2} > 30) you can use the normal distribution to approximate the Student's *t*.

## Example 10.2

A study is done by a community group in two neighboring colleges to determine which one graduates students with more math classes. College A samples 11 graduates. Their average is four math classes with a standard deviation of 1.5 math classes. College B samples nine graduates. Their average is 3.5 math classes with a standard deviation of one math class. The community group believes that a student who graduates from college A **has taken more math classes,** on the average. Both populations have a normal distribution. Test at a 1% significance level. Answer the following questions.

### Problem

a. Is this a test of two means or two proportions?

### Solution

a. two means

### Problem

b. Are the populations standard deviations known or unknown?

### Solution

b. unknown

### Problem

c. Which distribution do you use to perform the test?

### Solution

c. Student's *t*

### Problem

d. What is the random variable?

### Solution

d. ${\overline{X}}_{A}-{\overline{X}}_{B}$

### Problem

e. What are the null and alternate hypotheses? Write the null and alternate hypotheses in words and in symbols.

### Solution

e.

- ${H}_{o}:{\mu}_{A}\le {\mu}_{B}$
- ${H}_{a}:{\mu}_{A}>{\mu}_{B}$

### Problem

f. Is this test right-, left-, or two-tailed?

### Solution

f.

right

### Problem

g. What is the *p*-value?

### Solution

g. 0.1928

### Problem

h. Do you reject or not reject the null hypothesis?

### Solution

h. Do not reject.

### Problem

i. **Conclusion:**

### Solution

i. At the 1% level of significance, from the sample data, there is not sufficient evidence to conclude that a student who graduates from college A has taken more math classes, on the average, than a student who graduates from college B.

## Try It 10.2

A study is done to determine if Company A retains its workers longer than Company B. Company A samples 15 workers, and their average time with the company is five years with a standard deviation of 1.2. Company B samples 20 workers, and their average time with the company is 4.5 years with a standard deviation of 0.8. The populations are normally distributed.

- Are the population standard deviations known?
- Conduct an appropriate hypothesis test. At the 5% significance level, what is your conclusion?

## Example 10.3

A professor at a large community college wanted to determine whether there is a difference in the means of final exam scores between students who took his statistics course online and the students who took his face-to-face statistics class. He believed that the mean of the final exam scores for the online class would be lower than that of the face-to-face class. Was the professor correct? The randomly selected 30 final exam scores from each group are listed in Table 10.3 and Table 10.4.

67.6 | 41.2 | 85.3 | 55.9 | 82.4 | 91.2 | 73.5 | 94.1 | 64.7 | 64.7 |

70.6 | 38.2 | 61.8 | 88.2 | 70.6 | 58.8 | 91.2 | 73.5 | 82.4 | 35.5 |

94.1 | 88.2 | 64.7 | 55.9 | 88.2 | 97.1 | 85.3 | 61.8 | 79.4 | 79.4 |

77.9 | 95.3 | 81.2 | 74.1 | 98.8 | 88.2 | 85.9 | 92.9 | 87.1 | 88.2 |

69.4 | 57.6 | 69.4 | 67.1 | 97.6 | 85.9 | 88.2 | 91.8 | 78.8 | 71.8 |

98.8 | 61.2 | 92.9 | 90.6 | 97.6 | 100 | 95.3 | 83.5 | 92.9 | 89.4 |

### Problem

Is the mean of the Final Exam scores of the online class lower than the mean of the Final Exam scores of the face-to-face class? Test at a 5% significance level. Answer the following questions:

- Is this a test of two means or two proportions?
- Are the population standard deviations known or unknown?
- Which distribution do you use to perform the test?
- What is the random variable?
- What are the null and alternative hypotheses? Write the null and alternative hypotheses in words and in symbols.
- Is this test right, left, or two tailed?
- What is the
*p*-value? - Do you reject or not reject the null hypothesis?
- At the ___ level of significance, from the sample data, there ______ (is/is not) sufficient evidence to conclude that ______.

(See the conclusion in Example 10.2, and write yours in a similar fashion)

### Solution

- two means
- unknown
- Student's
*t* - ${\overline{X}}_{1}\u2013{\overline{X}}_{2}$
*H*:_{0}*μ*=_{1}*μ*Null hypothesis: the means of the final exam scores are equal for the online and face-to-face statistics classes._{2}*H*:_{a}*μ*<_{1}*μ*Alternative hypothesis: the mean of the final exam scores of the online class is less than the mean of the final exam scores of the face-to-face class._{2}

- left-tailed
*p*-value = 0.0011- Reject the null hypothesis
- The professor was correct. The evidence shows that the mean of the final exam scores for the online class is lower than that of the face-to-face class.

At the__5%__level of significance, from the sample data, there is (is/is not) sufficient evidence to conclude that the mean of the final exam scores for the online class is less than__the mean of final exam scores of the face-to-face class.__

## Using the TI-83, 83+, 84, 84+ Calculator

First put the data for each group into two lists (such as L1 and L2). Press `STAT`

. Arrow over to `TESTS`

and press `4:2SampTTest`

. Make sure Data is highlighted and press `ENTER`

. Arrow down and enter `L1`

for the first list and `L2`

for the second list. Arrow down to *μ*_{1}: and arrow to `<`

*μ*_{2} (less than). Press `ENTER`

. Arrow down to Pooled: No. Press `ENTER`

. Arrow down to `Calculate`

and press `ENTER`

.

## NOTE

Be careful not to mix up the information for Group 1 and Group 2!

## Try It 10.3

Two professors, A and B, teach classes on the same subjects. Scores of 10 students from each class are selected randomly. The final exam scores of the students are as follows:

Professor A:

97 | 62 | 73 | 58 | 84 |

74 | 66 | 93 | 73 | 85 |

Professor B:

85 | 64 | 74 | 55 | 76 |

67 | 72 | 84 | 71 | 98 |

Professor A says that the mean score of their class is more than the mean of professor B’s class. Is professor A correct? Test at a 5% significance level. Answer the following questions:

- Is this a test of two means or two proportions?
- Are the population standard deviations known or unknown?
- Which distribution do you use to perform the test?
- What is the random variable?
- What are the null and alternative hypotheses? Write the null and alternative hypotheses in words and in symbols.
- Is this test right-, left-, or two-tailed?
- What is the
*p*-value? - Do you reject or not reject the null hypothesis?
- At the ___ level of significance, from the sample data, there ___ (is/is not) sufficient evidence to conclude that ___.

Cohen's Standards for Small, Medium, and Large Effect SizesCohen's *d* is a measure of effect size based on the differences between two means. Cohen’s *d*, named for United States statistician Jacob Cohen, measures the relative strength of the differences between the means of two populations based on sample data. The calculated value of effect size is then compared to Cohen’s standards of small, medium, and large effect sizes.

Size of effect | d |
---|---|

Small | 0.2 |

medium | 0.5 |

Large | 0.8 |

Cohen's *d* is the measure of the difference between two means divided by the pooled standard deviation: $d=\frac{{\overline{x}}_{1}\u2013{\overline{x}}_{2}}{{s}_{pooled}}$ where ${s}_{pooled}=\sqrt{\frac{({n}_{1}\u20131){s}_{1}^{2}+({n}_{2}\u20131){s}_{2}^{2}}{{n}_{1}+{n}_{2}\u20132}}$

## Example 10.4

### Problem

Calculate Cohen’s *d* for Example 10.2. Is the size of the effect small, medium, or large? Explain what the size of the effect means for this problem.

### Solution

*μ*_{1} = 4 *s*_{1} = 1.5 *n*_{1} = 11
*μ*_{2} = 3.5 *s*_{2} = 1 *n*_{2} = 9
*d* = 0.384

The effect is small because 0.384 is between Cohen’s value of 0.2 for small effect size and 0.5 for medium effect size. The size of the differences of the means for the two colleges is small indicating that there is not a significant difference between them.

## Try It 10.4

Calculate Cohen’s *d* for Try It 10.4. Is the size of the effect small, medium, or large? Explain what the size of the effect means for this problem.

## Example 10.5

### Problem

Calculate Cohen’s *d* for Example 10.3. Is the size of the effect small, medium or large? Explain what the size of the effect means for this problem.

### Solution

*d* = 0.834; Large, because 0.834 is greater than Cohen’s 0.8 for a large effect size. The size of the differences between the means of the Final Exam scores of online students and students in a face-to-face class is large indicating a significant difference.

## Try It 10.5

Weighted alpha is a measure of risk-adjusted performance of stocks over a period of a year. A high positive weighted alpha signifies a stock whose price has risen while a small positive weighted alpha indicates an unchanged stock price during the time period. Weighted alpha is used to identify companies with strong upward or downward trends. The weighted alpha for the top 30 stocks of banks in the northeast and in the west as identified by Nasdaq on May 24, 2013 are listed in Table 10.8 and Table 10.9, respectively.

94.2 | 75.2 | 69.6 | 52.0 | 48.0 | 41.9 | 36.4 | 33.4 | 31.5 | 27.6 |

77.3 | 71.9 | 67.5 | 50.6 | 46.2 | 38.4 | 35.2 | 33.0 | 28.7 | 26.5 |

76.3 | 71.7 | 56.3 | 48.7 | 43.2 | 37.6 | 33.7 | 31.8 | 28.5 | 26.0 |

126.0 | 70.6 | 65.2 | 51.4 | 45.5 | 37.0 | 33.0 | 29.6 | 23.7 | 22.6 |

116.1 | 70.6 | 58.2 | 51.2 | 43.2 | 36.0 | 31.4 | 28.7 | 23.5 | 21.6 |

78.2 | 68.2 | 55.6 | 50.3 | 39.0 | 34.1 | 31.0 | 25.3 | 23.4 | 21.5 |

Is there a difference in the weighted alpha of the top 30 stocks of banks in the northeast and in the west? Test at a 5% significance level. Answer the following questions:

- Is this a test of two means or two proportions?
- Are the population standard deviations known or unknown?
- Which distribution do you use to perform the test?
- What is the random variable?
- What are the null and alternative hypotheses? Write the null and alternative hypotheses in words and in symbols.
- Is this test right, left, or two tailed?
- What is the
*p*-value? - Do you reject or not reject the null hypothesis?
- At the ___ level of significance, from the sample data, there ______ (is/is not) sufficient evidence to conclude that ______.
- Calculate Cohen’s
*d*and interpret it.