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Course: Statistics and probability > Unit 13
Lesson 1: Comparing two proportionsComparing population proportions 2
Sal continues the election example for population proportions. Created by Sal Khan.
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- Why is Sal not taking "corrected standard deviation"? I expected him to multiply variance by (1000/999).(6 votes)
- I have the same question as does someone above.(2 votes)
- can someone explain me why he changed from 95% to 97.5% to find z?(5 votes)
- 2:28is almost wrong. It is not there is 95% chance the true population mean difference is within the calculated statistical mean difference. It is that, if we take many more such statistic, and CI each time, 95% of those CIs would contain true population mean difference.(4 votes)
- I'm confused with that too. Hope someone can help explain that.(1 vote)
- The variance presented on the video for the Bernoulli distribution is the population variance, however what we have is only a sample, so shouldn't it be, men for example, S^2_1=(642(1-0.642)^2+(1000-642)(0-0.642)^2)/999?(3 votes)
- At9:49how it's evident that 95% chance that men are more likely to vote for the candidate than women?(2 votes)
- Thanks- this was confusing because of the way he mouses over the left number .008 stating "Men will be more likely to vote for candidate a" then mouses over to the right number .094 "than women". You start thinking the left is men and the right is women, but that wouldn't make sense.(2 votes)
- If we are asked to draw a 95% confidence interval, why can we not just use the empirical rule to know that the mean must be within 2 standard deviations? Why use the z table at all?(1 vote)
- The Empirical Rule is an approximation. It's certainly useful, but if we're going to the trouble of making a confidence interval, we may as well be precise.
Additionally, the Empirical Rule corresponds to the Z distribution. Using this for the confidence interval means that you assume you know the population standard deviation. More often, we cannot asume this, and we need to use the t-distribution, for which there is no Empirical Rule.(4 votes)
- Has Sal posted any videos on exactly how to read and use a z or t-table? If not, that would be very helpful.(3 votes)
- For a z-table, you look at how many standard deviations your value is from the mean (its z-score), which should have at least hundredths, look for the row that has the same ones and tenths as your z-score (if your score is 1.56, look for the row starting 1.5) then look for the column with the same hundredths as your score (if your score is 1.56, look for the column with 0.06 at the top). The value in the box in that column and row is the probability of a random score falling in the area below your score. You can also read it the other way, as Sal does in this video, by looking for a percentage and finding the z-score from there.
I'm not completely sure how to read a t-table, but I think you first look at the top two rows to decide which type of t-distribution you have (one-sided means a wonky distribution, asymmetrical, and two-sided means symmetrical, resembling a normal distribution but, as Sal calls it, with 'fatter tails'). From there, you find the column with the percentage you want and follow it down to the row with the appropriate degrees of freedom (listed on the far left column).(0 votes)
- How can we conclude that Men are more likely to vote for the candidate than Women when our confidence interval for difference of means is as low as 0.008? (0.8%) Isn't that statistically insignificant?(2 votes)
- I think you are confusing confidence interval with p-value obtained for a hypothesis testing. We did not perform a hypothesis testing here. Hypothesis testing is done in the next video https://www.khanacademy.org/math/statistics-probability/significance-tests-confidence-intervals-two-samples/comparing-two-proportions/v/hypothesis-test-comparing-population-proportions
Here, we calculate CI for p1-p2, where p1 corresponds to p_men, and p2 corresponds to p_women.
Now
- if p1>p2 i.e men more likely to vote than women then, p1-p2 will be +ve
- if p1<p2 i.e men less likely to vote than women then, p1-p2 will be -ve
- if p1=p2 i.e men equally likely to vote as women then, p1-02 will be 0.
Given the CI here starts with a positive value of 0.008 at lower bound and has a higher bound of 0.094, the entire range of values is +ve; i.e. p1-p2 is +ve , i.e p1>p2, which concludes that men are more likely to vote this candidate than women(1 vote)
- When the sampled data from two populations has a normal distribution but we don't know the standard deviation of either population, we use the sample standard deviation instead and we then have to use the student-t distribution for our calculations. However, for this example, we don't know the standard deviations of either population yet when we estimate it using the pooled sample standard deviation we can use the normal distribution (z-score) for our calculations. Why is it that we can use the z-score for this case when our test statistic uses the estimate for the SD?(2 votes)
- Is there a reason Sal isn't using the empirical rule in these videos since alpha=1-95 other than z-score being more accurate?(1 vote)
- I would say that being more accurate is a pretty good reason to use the z-scores. ;)(2 votes)
Video transcript
Where we left off in the last
video, we were trying to figure out if there's a
meaningful difference between the proportion of men voting
for a candidate and the proportion of women. We sampled 1,000 men, sampled
1,000 women, and we got a sample proportion for
each of them. We got 0.642 for the men and
0.591 for the women. But our goal is to get a 95%
confidence interval. So just based on our actual
sample, we got-- let me write it over here. We got our sample proportion for
the men minus-- let me do this in a neutral color. We got our sample proportion for
the men minus our sample proportion for the women
being 0.642 minus 0.591, that's 0.051. I just subtracted
this from that. So what we want to do when we
want a confidence interval, we want to be confident. I'll always have to say that
because it's not going to be super precise. We want to be confident that
there's a 95% chance that this thing right here-- remember,
when we took the two sample proportions and took their
difference, it's like taking a sample from the sampling
distribution of the statistic. So we want a 95% chance that
the true mean or the true value of this, that P1 minus P2
is within some range, let's say is within d, I'll say d for
distance, of the actual difference that we got
with our samples. Within d of 0.051. And I write this multiple
times, but I always write it this way. I don't just give the
formula that you normally see in books. It's very easy to memorize if
you do, but this way, you actually see why
this confidence interval makes sense. If there's a 95% chance that P1
minus P2, the actual true proportions, the difference of
the true proportions, is within d of the difference
between our sample proportions, this statement
right here is the same thing that there's a 95% chance that
0.051 is within d of this actual parameter, P1 minus
P2, which is the same thing as the mean. So we need to figure out some
distance around this mean, where if we take a random sample
from this, and this is a random sample from this
distribution, it has a 95% chance of being within d of
this mean, because if it's within d of the mean, then
there's also a 95% chance that the mean is within d of our
sample, and then we'll have our confidence interval. Our confidence interval would be
this value plus d and this value minus d. So what are these? What is the distance d? Well, in a normalized normal
distribution, I got a Z-table right over here, and we can
assume everything is normal, especially the sampling
distributions because our n is so big and also our proportion
is not close to zero or one. It's nice and close to the
middle, so we don't end up with all these weird cases
near the edges. We say, OK, how do we contain
the middle 95%? How many standard deviations in
a normal distribution do we need to be away from the mean in
order to contain 95% of the probability? Now these Z-tables, and we've
done it multiple times, give you cumulative distribution. We're looking for this Z-value
right over here. If it's containing 95%, you're
going to have 2.5% over here and you're going to have
2.5% over here. So from a Z-table's point of
view, this Z-table gives you the cumulative probability
up to that Z-value. So what we're looking for
is actually 97.5%. We're looking for something
that contains all of this over here. If we get the Z-value and then
apply it on both sides, then we're going to have something
that contains 95%. So let's look up the 97.5. 97.5 is right over there, and
that is 1.96 standard deviations. So this is 1.96 for a normalized
standard deviation, or a Z-score of 1.96. So if we looked to this normal
distribution right over here, this distance that we care
about is going to be 1.96 times the standard deviation of
this distribution, so it's going to be 1.96 times
all of this business. 1.96 times the standard
deviation of this distribution. And so we just need to
calculate this and multiply it by 1.96. Now, we have a problem. We don't know the true
parameters P1 and P2. We don't know the true
population parameters. We don't know P1 and P2. That's part of the problem. We're trying to figure out
if there's a meaningful difference between P1 and P2. But we've seen it
multiple times. Since our sample size is a
large, we can estimate P1 and P2 with our sample
proportions. So we could change this to
approximately and we can use our sample proportions. And we know what those
values are. And actually this n over
here was 1,000. So let's figure that out. Let's just get the
calculator out. It's just going to be one
big calculation here. So what we have is the square
root, and then in parentheses, our sample proportion for the
men is 0.642, and then we're going to multiply that times
1 minus 0.642, close parentheses. That's that over there
divided by 1,000. And then we're going to add to
that plus-- do the same thing for the women. Our sample proportion is 0.591
times 1 minus 0.591. So that's this term right over
here divided by 1,000. Once again, I need to get
the parentheses right. And then we just need to close
the parentheses, this original parentheses, because we're
taking the square root of everything. So we get 0.021, or maybe
we'll say 0.022. So this value right here
is approximately 0.022. So going back to our question,
or this distance that we care about, this value is going to be
approximately, or our best estimate of it, is 0.022. So let's just multiply that. 0.022 times 1.96 gives 0.043. I'll just round it. So this right here is
equal to 0.043. And just like that, we have
our confidence interval. We know that there's a 95%
chance that the true difference of the proportions is
within 0.043 of the actual difference of our sample
proportions that we got. Or if we actually want to get
an interval, we take this value minus 0.043. So let's do that. So we could have 0.051
minus 0.043 is going to give us 0.008. And then if we add
it, so 0.051 plus 0.043, it gives us 0.094. So the 95% confidence interval
between the proportions of men and the proportion of women who
are going to vote for the candidate for P1 minus
P2 is 0.008 to 0.094. I have it right here
on the calculator. And we're done. So it does seem we're confident
that there's a 95% chance that men are more
likely to vote for the candidate than women.