Chapter 5 Estimation PDF
Chapter 5 Estimation PDF
Chapter 5 Estimation PDF
Chapter 5
Estimation
One aspect of inferential statistics is estimation, which is the process of estimating the
values of an unknown population parameter from a sample. These values are only estimates the
true parameters and are derived from data that collected from samples.
Estimator
An estimator is a sample statistic from sample data that used to estimate
the unknown population parameter.
Estimate
An estimate is a specific value of a sample statistic that assigned to the
unknown population parameter.
There are two types of estimation, which are (a) point estimate, and (b) confidence interval. As
shown in Figure 5.1 below:
Estimation
Point estimate
Confidence Interval
5.1
A point estimator, generally designated by the symbol , is the rule or formula that tells
us how to use the observations in a sample to compute a single number (a point) which serves as
a point estimate of the value of
Point Estimate
A point estimate is a specific numerical value that used to
estimate an unknown population parameter
Example 5.1
a) State that how to get the point estimate of the population parameter .
b) Find the point estimate of the sample data below to estimate the population mean, .
3.55
3.61
3.47
3.48
3.80
Solution:
a) We would like to estimate the value of
and obtained the statistic . The value of
is
That is, the expected value or the mean of the estimates obtained from samples of
a given size is equal to the parameter
Example 5.2:
If X has the binomial distribution with the parameters n and p, show that the sample proportion,
is an unbiased estimator of p.
Solution:
Since
Hence
it follows that
is an unbiased estimator of p.
5.2
For the purpose of knowing how close the point estimate to the population means or
variance, statisticians prefer to other types of estimate that is called an interval estimate.
Interval estimate
An interval estimate of a parameter is an interval or range of
value that is used to estimate the true parameter.
Example 5.3
If the average age of all students in a college is 22.3 years and the error would be 0.4 year, then
write an interval estimate for the average age.
Solution:
The interval estimate for the average age of all the students in the college might be
years or
years.
Confidence Interval
A confidence interval is a specific interval estimate of a parameter that determined by
using collected data from a sample with the specific confidence level of estimate.
Example 5.4
With 95% confidence, state the interval for (a) population mean, and (b) sample mean, where
standard deviation is
Solution:
Since we are 95% confident, then with
a) The interval for population mean,
is
b) The interval for a specific selected sample mean, , that falls within the range of
is
Refer to Example 5.4, the value used for the 95% confidence interval, 1.96 is obtained
from statistical table. It is based on the standard normal distribution. Since other confidence
intervals would be used in estimation, thus the symbol
tails.
Figure 5.2:
For
is
sample, is called a
. The interval
confidence interval.
Confidence Coefficient
The values
confidence.
Confidence Limit
The endpoints of interval
and
According to the central limit theorem, we can expect the sampling distribution of
approximately normally distributed with mean
to be
From
Figure 5.2,
where
As a result, it give
confidence interval of
with
known,
In the interval estimation, the error would be existed in the interval estimate. That error is
called the maximum error of estimate or standard error. It takes into account during the
estimation. If the error is large, it means that the estimation is far from the true parameter. Thus
the estimation is inaccurate. In practice, we want to make the error as small as we could when
may estimate
by
Standard error
Assume that the life of time of the car battery population has a true mean
years and it is
known for others. A quality engineer has make a sampling of the life time of the battery
population and obtained the sample mean
which is
[In case
and
b) Sample size, n =
is
From the formula above, we may conclude that there exists an inverse relationship
between standard error and sample size. The standard error would be decrease when the sample
size increasing and conversely.
1.
an interval containing
2.
(alpha)
4. Interval
5. Endpoint
6. Endpoint
7. Standard error
confidence level
5.3
Case 1: Variance,
Case 2: Variance,
(If is
Case 3: Variance,
with s)
Example 5.4
A study was carried out to estimate the average life of a large shipment of light bulbs. Previous
studies indicated that the standard deviation is known to be 100 hours. A random sample of 50
light bulbs was selected and indicated that the sample average life was 350 hours. Construct a
95% confidence interval estimate of the true average life for light bulbs in this shipment.
Solution:
Write down the information:
Confidence interval 0.95 for
From table,
The conclusion is, we have 95% confident that the average life of light bulbs is between 322.28
and 377.72 hours.
Example 5.5
The brightness of a television picture can be evaluated by measuring the amount of current
required to achieved a particular brightness level. A random sample of 10 tubes indicated a
sample mean of
microamps.
Find (in microamps) a 99% confidence interval estimate for mean current required to achieve a
particular brightness level.
Solution:
Example 5.6:
Talking a random sample of 35 individuals waiting to be serviced by the teller, we find that the
mean waiting time was 22.0 min and the standard deviation was 0.8 min. Construct a 90%
confidence interval estimate the mean waiting time for all individuals waiting in the service line.
5.4
Case 1: Variance,
and
Case 2: Variance,
and
In Case 2 (b) :
Where
Case 3: Variance,
and
With
In Case 2 (b) :
Where
Example 5.7
The breaking strength of yarn supplied by two manufactures is being investigated. From the
previous studies, we noted that
and
a 90% confidence interval for the difference in the mean breaking strength.
, respectively. Find
Example 5.8:
A study was conducting to compare the starting salaries for university graduates majoring in
education and engineering. A random sample of 50 recent university graduates in each major
was selected and the following information was obtained.
Major
Mean
SD
Education
RM 2000
RM 100
Engineering
RM 2900
RM 150
Construct a 99% confidence interval for the difference in the mean starting salaries for two
majors.
5.5
and
In previous section, confidence intervals were constructed for single mean and difference
mean between two means. In this section, we will construct the confidence interval for
population variances.
There are two types of the confidence intervals for the population variance as shown in
Figure 5.4:
Confidence Interval
Of Population Variances
Single Variance
Use F-distribution
Where
degree of freedom
Where
and
degree of freedom
Example 5.9:
A sample of 20 cigarettes has a standard deviation
for the variance and standard deviation of the nicotine content of cigarettes manufactured.
Solution:
Example 5.10:
The data below was obtained from two normal populations. Find the 98% confidence interval for
.
Solution: