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Statistical Analysis and Reliability Metrics

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0% found this document useful (0 votes)
14 views11 pages

Statistical Analysis and Reliability Metrics

Uploaded by

IuliaDumitru
Copyright
© All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd

Simple answers are here, I attached pics of my written algorithm below.

In the
notebook, the final answers for each exercise are circled.

1.1

P(X1) = 0.7

P(X2) = 0.5

1.2

Mean = 1.2

1.3

New Mean = 1.65

1.4

Var(X1) = 0.21

Var(X2) = 0.25

1.5

Cov(X1,X2) = 0.05 (small positive relationship)

1.6

Var(Y) = 0.56

1.7

NewVar(Y) = 1.0025 (approx. 1)

2.1

Var(Y) = 10.3

2.2

Cov(Y,Z) = 2.4

2.3
Sample correlation = 0.61

2.4

Sample correlation between Y and Z if we double X3 = 0.69

3.1

T = 9 (but exercise is silly here)

3.2

Test true score variance = 5; Reliability = 0.6

3.3

a) 6

b) 4

c) 0.63

4.1

SEM = 1.7

4.2

CI = (66.61,73.39)

5.1

Estimated reliability for congeneric tests = 3 (?! Not good, should be between 0 and 1)

5.2

Estimated reliability under the assumption of essential T-equivalence of X1 and X2 = 0.3


(but I am not sure if this is good or not, I used ChatGPT to get and understand a
formula).

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