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  1. Preface
  2. 1 Sampling and Data
    1. Introduction
    2. 1.1 Definitions of Statistics, Probability, and Key Terms
    3. 1.2 Data, Sampling, and Variation in Data and Sampling
    4. 1.3 Frequency, Frequency Tables, and Levels of Measurement
    5. 1.4 Experimental Design and Ethics
    6. 1.5 Data Collection Experiment
    7. 1.6 Sampling Experiment
    8. Key Terms
    9. Chapter Review
    10. Practice
    11. Homework
    12. Bringing It Together: Homework
    13. References
    14. Solutions
  3. 2 Descriptive Statistics
    1. Introduction
    2. 2.1 Stem-and-Leaf Graphs (Stemplots), Line Graphs, and Bar Graphs
    3. 2.2 Histograms, Frequency Polygons, and Time Series Graphs
    4. 2.3 Measures of the Location of the Data
    5. 2.4 Box Plots
    6. 2.5 Measures of the Center of the Data
    7. 2.6 Skewness and the Mean, Median, and Mode
    8. 2.7 Measures of the Spread of the Data
    9. 2.8 Descriptive Statistics
    10. Key Terms
    11. Chapter Review
    12. Formula Review
    13. Practice
    14. Homework
    15. Bringing It Together: Homework
    16. References
    17. Solutions
  4. 3 Probability Topics
    1. Introduction
    2. 3.1 Terminology
    3. 3.2 Independent and Mutually Exclusive Events
    4. 3.3 Two Basic Rules of Probability
    5. 3.4 Contingency Tables
    6. 3.5 Tree and Venn Diagrams
    7. 3.6 Probability Topics
    8. Key Terms
    9. Chapter Review
    10. Formula Review
    11. Practice
    12. Bringing It Together: Practice
    13. Homework
    14. Bringing It Together: Homework
    15. References
    16. Solutions
  5. 4 Discrete Random Variables
    1. Introduction
    2. 4.1 Probability Distribution Function (PDF) for a Discrete Random Variable
    3. 4.2 Mean or Expected Value and Standard Deviation
    4. 4.3 Binomial Distribution
    5. 4.4 Geometric Distribution
    6. 4.5 Hypergeometric Distribution
    7. 4.6 Poisson Distribution
    8. 4.7 Discrete Distribution (Playing Card Experiment)
    9. 4.8 Discrete Distribution (Lucky Dice Experiment)
    10. Key Terms
    11. Chapter Review
    12. Formula Review
    13. Practice
    14. Homework
    15. References
    16. Solutions
  6. 5 Continuous Random Variables
    1. Introduction
    2. 5.1 Continuous Probability Functions
    3. 5.2 The Uniform Distribution
    4. 5.3 The Exponential Distribution
    5. 5.4 Continuous Distribution
    6. Key Terms
    7. Chapter Review
    8. Formula Review
    9. Practice
    10. Homework
    11. References
    12. Solutions
  7. 6 The Normal Distribution
    1. Introduction
    2. 6.1 The Standard Normal Distribution
    3. 6.2 Using the Normal Distribution
    4. 6.3 Normal Distribution (Lap Times)
    5. 6.4 Normal Distribution (Pinkie Length)
    6. Key Terms
    7. Chapter Review
    8. Formula Review
    9. Practice
    10. Homework
    11. References
    12. Solutions
  8. 7 The Central Limit Theorem
    1. Introduction
    2. 7.1 The Central Limit Theorem for Sample Means (Averages)
    3. 7.2 The Central Limit Theorem for Sums
    4. 7.3 Using the Central Limit Theorem
    5. 7.4 Central Limit Theorem (Pocket Change)
    6. 7.5 Central Limit Theorem (Cookie Recipes)
    7. Key Terms
    8. Chapter Review
    9. Formula Review
    10. Practice
    11. Homework
    12. References
    13. Solutions
  9. 8 Confidence Intervals
    1. Introduction
    2. 8.1 A Single Population Mean using the Normal Distribution
    3. 8.2 A Single Population Mean using the Student t Distribution
    4. 8.3 A Population Proportion
    5. 8.4 Confidence Interval (Home Costs)
    6. 8.5 Confidence Interval (Place of Birth)
    7. 8.6 Confidence Interval (Women's Heights)
    8. Key Terms
    9. Chapter Review
    10. Formula Review
    11. Practice
    12. Homework
    13. References
    14. Solutions
  10. 9 Hypothesis Testing with One Sample
    1. Introduction
    2. 9.1 Null and Alternative Hypotheses
    3. 9.2 Outcomes and the Type I and Type II Errors
    4. 9.3 Distribution Needed for Hypothesis Testing
    5. 9.4 Rare Events, the Sample, Decision and Conclusion
    6. 9.5 Additional Information and Full Hypothesis Test Examples
    7. 9.6 Hypothesis Testing of a Single Mean and Single Proportion
    8. Key Terms
    9. Chapter Review
    10. Formula Review
    11. Practice
    12. Homework
    13. References
    14. Solutions
  11. 10 Hypothesis Testing with Two Samples
    1. Introduction
    2. 10.1 Two Population Means with Unknown Standard Deviations
    3. 10.2 Two Population Means with Known Standard Deviations
    4. 10.3 Comparing Two Independent Population Proportions
    5. 10.4 Matched or Paired Samples
    6. 10.5 Hypothesis Testing for Two Means and Two Proportions
    7. Key Terms
    8. Chapter Review
    9. Formula Review
    10. Practice
    11. Homework
    12. Bringing It Together: Homework
    13. References
    14. Solutions
  12. 11 The Chi-Square Distribution
    1. Introduction
    2. 11.1 Facts About the Chi-Square Distribution
    3. 11.2 Goodness-of-Fit Test
    4. 11.3 Test of Independence
    5. 11.4 Test for Homogeneity
    6. 11.5 Comparison of the Chi-Square Tests
    7. 11.6 Test of a Single Variance
    8. 11.7 Lab 1: Chi-Square Goodness-of-Fit
    9. 11.8 Lab 2: Chi-Square Test of Independence
    10. Key Terms
    11. Chapter Review
    12. Formula Review
    13. Practice
    14. Homework
    15. Bringing It Together: Homework
    16. References
    17. Solutions
  13. 12 Linear Regression and Correlation
    1. Introduction
    2. 12.1 Linear Equations
    3. 12.2 Scatter Plots
    4. 12.3 The Regression Equation
    5. 12.4 Testing the Significance of the Correlation Coefficient
    6. 12.5 Prediction
    7. 12.6 Outliers
    8. 12.7 Regression (Distance from School)
    9. 12.8 Regression (Textbook Cost)
    10. 12.9 Regression (Fuel Efficiency)
    11. Key Terms
    12. Chapter Review
    13. Formula Review
    14. Practice
    15. Homework
    16. Bringing It Together: Homework
    17. References
    18. Solutions
  14. 13 F Distribution and One-Way ANOVA
    1. Introduction
    2. 13.1 One-Way ANOVA
    3. 13.2 The F Distribution and the F-Ratio
    4. 13.3 Facts About the F Distribution
    5. 13.4 Test of Two Variances
    6. 13.5 Lab: One-Way ANOVA
    7. Key Terms
    8. Chapter Review
    9. Formula Review
    10. Practice
    11. Homework
    12. References
    13. Solutions
  15. A | Review Exercises (Ch 3-13)
  16. B | Practice Tests (1-4) and Final Exams
  17. C | Data Sets
  18. D | Group and Partner Projects
  19. E | Solution Sheets
  20. F | Mathematical Phrases, Symbols, and Formulas
  21. G | Notes for the TI-83, 83+, 84, 84+ Calculators
  22. H | Tables
  23. Index
Binomial Distribution
a discrete random variable (RV) which arises from Bernoulli trials; there are a fixed number, n, of independent trials. “Independent” means that the result of any trial (for example, trial 1) does not affect the results of the following trials, and all trials are conducted under the same conditions. Under these circumstances the binomial RV X is defined as the number of successes in n trials. The notation is: X~B(n,p). The mean is μ = np and the standard deviation is σ = npq npq . The probability of exactly x successes in n trials is P ( X = x ) = n x p x q n x P(X=x)= n x p x q n x .
Confidence Interval (CI)
an interval estimate for an unknown population parameter. This depends on:
  • the desired confidence level,
  • information that is known about the distribution (for example, known standard deviation),
  • the sample and its size.
Confidence Level (CL)
the percent expression for the probability that the confidence interval contains the true population parameter; for example, if the CL = 90%, then in 90 out of 100 samples the interval estimate will enclose the true population parameter.
Degrees of Freedom (df)
the number of objects in a sample that are free to vary
Error Bound for a Population Mean (EBM)
the margin of error; depends on the confidence level, sample size, and known or estimated population standard deviation.
Error Bound for a Population Proportion (EBP)
the margin of error; depends on the confidence level, the sample size, and the estimated (from the sample) proportion of successes.
Inferential Statistics
also called statistical inference or inductive statistics; this facet of statistics deals with estimating a population parameter based on a sample statistic. For example, if four out of the 100 calculators sampled are defective we might infer that four percent of the production is defective.
Normal Distribution
a continuous random variable (RV) with pdf f(x)= 1 σ 2π e (xμ) 2 /2 σ 2 f(x)= 1 σ 2π e (xμ) 2 /2 σ 2 , where μ is the mean of the distribution and σ is the standard deviation, notation: X ~ N(μ,σ). If μ = 0 and σ = 1, the RV is called the standard normal distribution.
Parameter
a numerical characteristic of a population
Point Estimate
a single number computed from a sample and used to estimate a population parameter
Standard Deviation
a number that is equal to the square root of the variance and measures how far data values are from their mean; notation: s for sample standard deviation and σ for population standard deviation
Student's t-Distribution
investigated and reported by William S. Gossett in 1908 and published under the pseudonym Student; the major characteristics of the random variable (RV) are:
  • It is continuous and assumes any real values.
  • The pdf is symmetrical about its mean of zero. However, it is more spread out and flatter at the apex than the normal distribution.
  • It approaches the standard normal distribution as n get larger.
  • There is a "family of t–distributions: each representative of the family is completely defined by the number of degrees of freedom, which is one less than the number of data.
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