Essentials of Business Statistics: Communicating
with Numbers
By Sanjiv Jaggia and Alison Kelly
Copyright © 2014 by McGraw-Hill Higher Education. All rights reserved.
Chapter 8 Learning Objectives
LO 8.1 Explain an interval estimator.
LO 8.2 Calculate a confidence interval for the population mean when the population standard deviation is known.
LO 8.3 Describe the factors that influence the width of a confidence interval.
LO 8.4 Discuss features of the t distribution.
LO 8.5 Calculate a confidence interval for the population mean when the population standard deviation is not
known.
LO 8.6 Calculate a confidence interval for the population proportion.
LO 8.7 Select a sample size to estimate the population mean and the population proportion.
Estimation 8-2
8.1 Interval Estimators
LO 8.1 Explain an interval estimator.
Confidence Interval—provides a range of values that,
with a certain level of confidence, contains the
population parameter of interest.
Also referred to as an interval estimate.
Construct a confidence interval as:
Point estimate ± Margin of error.
Margin of error accounts for the variability of the estimator
and the desired confidence level of the interval.
Estimation 8-3
8.1 Interval Estimators
LO 8.2 Calculate a confidence interval for the population mean
when the population standard deviation is known.
Constructing a Confidence Interval for When
is Known
Consider a standard normal random variable Z.
P 1.96 Z 1.96 0.95
as illustrated here.
Estimation 8-4
LO 8.2 8.1 Interval Estimators
Constructing a Confidence Interval for When is
Known
X
Since Z
n
X
We get P 1.96 1.96 0.95
n
Which, after algebraically manipulating, is
equal to P 1.96 n X 1.96 n 0.95
Estimation 8-5
LO 8.2 8.1 Interval Estimators
Constructing a Confidence Interval for When
is Known
Note that
P 1.96
n X 1.96 n 0.95
implies there is a 95% probability that the sample
mean X will fall within the interval 1.96 n
Thus, if samples of size n are drawn repeatedly
from a given population, 95% of the computed
sample means, x 's , will fall within the interval
and the remaining 5% will fall outside the
interval.
Estimation 8-6
LO 8.2 8.1 Interval Estimators
Constructing a Confidence Interval for When
is Known
Since we do not know , we cannot determine if a
particular x falls within the interval or not.
However, we do know that x will fall within the
interval 1.96 n if and only if falls within the
interval x 1.96 .n
This will happen 95% of the time given the interval
construction. Thus, this is a 95% confidence interval for the
population mean.
Estimation 8-7
LO 8.2 8.1 Interval Estimators
Constructing a Confidence Interval for When
is Known
Level of significance (i.e., probability of error) = .
Confidence coefficient = (1 )
Confidence level = 100(1 )%
A 100(1-)% confidence interval of the population
mean when the standard deviation is known
is computed as x z 2 n
or equivalently, x z 2 n , x z 2 . n
Estimation 8-8
LO 8.2 8.1 Interval Estimators
Constructing a Confidence Interval for When
is Known
z/2 is the z value associated
with the probability of /2
in the upper-tail.
x z 2 n , x z 2 n
Confidence Intervals:
90%, = 0.10, /2 = 0.05, z/2 = z = 1.645.
95%, = 0.05, /2 = 0.025, z/2 = z = 1.96.
99%, = 0.01, /2 = 0.005, z/2 = z = 2.575.
Estimation 8-9
LO 8.2 8.1 Interval Estimators
Interpreting a Confidence Interval
Interpreting a confidence interval requires care.
Incorrect: The probability that falls in the interval is
0.95.
Correct: If numerous samples of size n are drawn from
a given population, then 95% of the intervals formed
by the formula x z 2 n will contain .
Since there are many possible samples, we will be
right 95% of the time, thus giving us 95%
confidence.
Estimation 8-10
8.1 Interval Estimators
LO 8.3 Describe the factors that influence the width of a confidence
interval.
The Width of a Confidence Interval
Margin of Error Confidence Interval Width
z 2 n
2 z 2 n
The width of the confidence interval is
influenced by the:
Sample size n.
Standard deviation .
Confidence level 100(1 )%.
Estimation 8-11
LO 8.3 8.1 Interval Estimators
The Width of a Confidence Interval is influenced by:
I. For a given confidence level 100(1 )% and sample size n,
the width of the interval is wider, the greater the population
standard deviation .
Example: Let the standard deviation of the population of
cereal boxes of Granola Crunch be 0.05 instead of 0.03.
Compute a 95% confidence interval based on the same
sample information.
x z 2
n 1.02 1.96 0.05
25 1.02 0.20
This confidence interval width has increased from 0.024 to
2(0.020) = 0.040.
Estimation 8-12
LO 8.3 8.1 Interval Estimators
The Width of a Confidence Interval is influenced by:
II. For a given confidence level 100(1 )% and population
standard deviation , the width of the interval is wider, the
smaller the sample size n.
Example: Instead of 25 observations, let the sample be based
on 16 cereal boxes of Granola Crunch. Compute a 95%
confidence interval using a sample mean of 1.02 pounds and
a population standard deviation of 0.03.
x z 2
n 1.02 1.96 0.03
16 1.02 0.015
This confidence interval width has increased from 0.024 to
2(0.015) = 0.030.
Estimation 8-13
LO 8.3 8.1 Interval Estimators
The Width of a Confidence Interval is influenced by:
III. For a given sample size n and population standard deviation
, the width of the interval is wider, the greater the
confidence level 100(1 )%.
Example: Instead of a 95% confidence interval, compute a
99% confidence interval based on the information from the
sample of Granola Crunch cereal boxes.
x z 2
n 1.02 2.575 0.03
25 1.02 0.015
This confidence interval width has increased from 0.024 to
2(0.015) = 0.030.
Estimation 8-14
8.2 Confidence Interval of the
Population Mean When Is Unknown
LO 8.4 Discuss features of the t distribution.
The t Distribution
If repeated samples of size n are taken from a normal
population with a finite variance, then the
statistic T follows the t distribution
with (n 1) degrees of freedom, df. X
T
Degrees of freedom determine S n
the extent of the broadness of the tails of the distribution;
the fewer the degrees of freedom,
the broader the tails.
Estimation 8-15
LO 8.4 8.2 Confidence Interval of the
Population Mean When Is
Unknown
Summary of the tdf Distribution
Bell-shaped and symmetric around 0 with asymptotic tails
(the tails get closer and closer to the horizontal axis, but
never touch it).
Has slightly broader tails than the z distribution.
Consists of a family of distributions where the actual shape
of each one depends on the df. As df increases, the tdf
distribution becomes similar to the z distribution; it is
identical to the z distribution when df approaches infinity.
Estimation 8-16
LO 8.4 8.2 Confidence Interval of the
Population Mean When Is
Unknown
The tdf Distribution with Various Degrees of
Freedom
Estimation 8-17
8.2 Confidence Interval for the Population
Mean When Is Unknown
LO 8.5 Calculate a confidence interval for the population mean
when the population standard deviation is not known.
Constructing a Confidence Interval for When is
Unknown
A 100(1 )% confidence interval of the population mean
when the population standard deviation is not known
is computed as x t 2,df s n
or equivalently, x t 2,df s n , x t 2,df s n
where s is the sample standard deviation.
Estimation 8-18
8.3 Confidence Interval for the Population
Proportion
LO 8.6 Calculate a confidence interval for the population proportion.
Let the parameter p represent the proportion of
successes in the population, where success is defined
by a particular outcome.
P is the point estimator of the population proportion
p.
By the central limit theorem, P can be approximated
by a normal distribution for large samples (i.e., np > 5
and n(1 p) > 5).
Estimation 8-19
LO 8.6 8.3 Confidence Interval for the
Population Proportion
Thus, a 100(1)% confidence interval of the
population proportion is
p 1 p p 1 p p 1 p
p z 2 p z 2 , p z 2
n or n n
where p is used to estimate the population
parameter p.
Estimation 8-20
8.4 Selecting the Required Sample Size
LO 8.7 Select a sample size to estimate the population mean and the
population proportion.
Precision in interval estimates is implied by a
low margin of error.
A larger n reduces the margin of error for the
interval estimates.
How large should the sample size be for a given
margin of error?
Estimation 8-21
LO 8.7 8.4 Selecting the Required Sample
Size
Selecting n to estimate
Consider a confidence interval for with a
known and let E denote the desired margin of
error.
Since E zα 2 σ n
2
we may rearrange to get zα 2 σ
n
E
If is unknown, estimate it with ˆ .
Estimation 8-22
LO 8.7 8.4 Selecting the Required Sample
Size
Selecting n to estimate
For a desired margin of error E, the minimum
sample size n required to estimate a 100(1 )%
confidence interval of the population mean is
2
zα 2 σˆ
n
E
Where ˆ is a reasonable estimate of in the
planning stage.
Estimation 8-23
LO 8.7 8.4 Selecting the Required Sample
Size
Selecting n to estimate p
Consider a confidence interval for p and let E
denote the desired margin of error.
Since p1 p where p is the
E zα 2 sample proportion
n
2
zα 2
n p 1 p
we may rearrange to get E
Since p comes from a sample, we must use a
reasonable estimate of p, that is, p̂.
Estimation 8-24
LO 8.7 8.4 Selecting the Required Sample
Size
Selecting n to estimate p
For a desired margin of error E, the minimum
sample size n required to estimate a 100(1 )%
confidence interval of the population proportion
p is z
2
n
α 2
pˆ 1 pˆ
E
Where p̂ is a reasonable estimate of p in the
planning stage.
Estimation 8-25