AP Psychology › Statistical Procedures
What is the appropriate inferential statistic to use when your data are from two or more groups of scores, with each score a measure of the same interval/ratio variable, and there are two independent variables and one dependent variable present?
Two-factor ANOVA
MANOVA
T-test
Chi-squared analysis
Multiple regression analysis
A two-way analysis of variance is the most appropriate tool for determining simultaneously the effects of two (or more) independent variables on a dependent variable and the strength of the interaction (if any) between the independent variables.
Which of the following kinds of diagrams is best to display nominal data?
Bar chart
Histogram
Design
Frequency polygon
Nominal data is best represented by a bar chart. Nominal data can be variables such as religion. This is because there is no inherent rank. No one religion is statistically “better” than the other; therefore, it would be impossible to place one higher up than another in a rank order scheme.
When conducting a two-way analysis of variance, the degrees of freedom (df) for each factor is best expressed as __________.
one less than the number of levels for that factor
one less than the number of levels for all factors
one less than the number of trials for that factor
one less than the number of participants (n) in each trial
None of these
The df for each independent variable or factor is determined by how many different levels of that factor are included in the analysis. This can create a problem for calculating sums of squares and ultimately for calculating post hoc analyses, as the number of levels in a factor can be very large.
Which of the following indicates the average amount of variability observed in particular types of scores (e.g. test scores)?
Standard deviation
Range
Mean
Median
Mode
The “standard deviation” is a measure of variability, or spread of scores. This measure is calculated by subtracting each score from the mean, squaring the result, dividing this result by the total number of scores, and finally taking the square root of the last calculation. The “range” is also a measure of variability but its calculation involves subtracting the highest and lowest scores; therefore, it is not an average. The mean, median, and mode are measures of central tendency. The “mean” is the average of all scores. The “median” is the middle score, or average of the two middle scores. Last, the “mode” is the score that occurs most frequently.
Which of the following is best defined as the distance that any point is from the mean on a normal distribution?
Standard deviation
Z-score
Dependent variable
Ratio
The distance that any point is from the mean is known as the standard deviation. When looking at a normal distribution, the mean is the middle or arithmetic average of the set and the deviation measures the spread of the data points from this central tendency.
Which of the following is defined as the measurement of variables that have an inherent natural order?
Ordinal
Nominal
Interval
Ratio
Ordinal data is used when variables that have an inherent natural order, such as the collegiate class structure: freshman, sophomore, junior, senior. One must complete every level in order to transcend to the next. Nominal data deals with variables such as religion that do not have an inherent natural order. Interval data deals with things like temperature. Last, ratio data would deal with things like time.
Which statistical procedure is best used when there are two or more independent variables, the variables can be held fixed with respect to each other, and a conditional expectation of dependent variable given the independent variables is required?
Regression analysis
Two-way ANOVA
Analysis of covariance (ANCOVA)
Spearman's rank-correlation coefficient
All of these
A regression analysis, so long as all but one independent variable at a time can be held fixed, is able to produce a predictive window called a conditional expectation that allows for prediction of dependent variable values given set independent variable levels.
A correlational study most likely possesses which of the following?
A relationship but not causality
A cause and effect
Neither a relationship nor causality
A relationship and causality
A correlational study looks at the relationship between two or more variables. For example, the relationship between test scores in math and history classes. It does not try to find a cause and effect between the variables, and the researcher does not manipulate the variables. The researcher is simply trying to see if they possess a relationship or correlation.
In a negatively skewed distribution, which of the following is true?
The mode is the highest score
The mean is the highest score
The median is the highest score
The mean and median are equal, and are higher than the mode
The mode and median are equal, and are higher than the mean
In a negatively skewed distribution, the tail of the distribution falls on the left or negative side of the distribution. The mode is always the highest score, followed by the median, and lastly the mean. The opposite is true for a positively skewed distribution. In a normal distribution, the mean, median, and mode are all equal.
Which of the following z-scores demonstrates the least significant deviation from the mean?
A z-score represents the distance away from the mean for a particular score, expressed in terms of standard deviations. Thus, a z-score of 0 is equal to the mean, and a z-score of 1.4 is equal to 1.4 standard deviations above a given mean.