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Ramakant Sharma
Ramakant SharmaInk Innovator
Asked: May 3, 20242024-05-03T21:17:51+05:30 2024-05-03T21:17:51+05:30In: Psychology

Explain the steps in computation of median test for two independent samples with the help of a suitable example.

Using a good example, describe the procedures involved in computing the median test for two independent samples.

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    1. Ramakant Sharma Ink Innovator
      2024-05-03T21:18:41+05:30Added an answer on May 3, 2024 at 9:18 pm

      1. Introduction

      The median test for two independent samples is a nonparametric statistical test used to determine whether the medians of two independent groups are significantly different from each other. It is particularly useful when the assumptions of parametric tests, such as the t-test, are violated or when the data are ordinal or skewed. The computation of the median test involves several steps, which we will outline in detail.

      2. Example Scenario

      Suppose we are conducting a study to compare the median incomes of two different cities, City A and City B, to determine if there is a significant difference between them. We have collected income data from a random sample of residents from each city.

      3. Step 1: Formulate Hypotheses

      The first step in the computation of the median test is to formulate the null and alternative hypotheses.

      • Null Hypothesis (H0): The median incomes of City A and City B are equal.
      • Alternative Hypothesis (H1): The median incomes of City A and City B are not equal.

      4. Step 2: Rank the Data

      Next, we need to rank all the income values from both groups combined, regardless of their original group membership.

      Rank Income
      1 $25,000
      2 $30,000
      3 $35,000
      4 $40,000
      5 $42,000
      6 $45,000
      7 $50,000
      8 $55,000
      9 $60,000
      10 $65,000
      11 $70,000
      12 $80,000

      5. Step 3: Calculate the Test Statistic

      The test statistic for the median test is based on the chi-square distribution and is calculated using the formula:

      [ \chi^2 = \frac{(O_1 – E_1)^2}{E_1} + \frac{(O_2 – E_2)^2}{E_2} ]

      Where:

      • (O_1) and (O_2) are the observed frequencies of data points in groups 1 and 2, respectively.
      • (E_1) and (E_2) are the expected frequencies of data points in groups 1 and 2, respectively.

      6. Step 4: Calculate Expected Frequencies

      To calculate the expected frequencies, we need to determine the proportion of data points that belong to each group. In our example, if we have 12 data points in total and an equal number of data points from each city, the expected frequency for each group would be 6.

      7. Step 5: Determine Degrees of Freedom

      The degrees of freedom for the median test is calculated as:

      [ df = k – 1 ]

      Where (k) is the number of groups being compared. In our example, since we are comparing two groups (City A and City B), the degrees of freedom would be 1.

      8. Step 6: Determine Critical Value

      Using the chi-square distribution table and the chosen significance level (e.g., α = 0.05), we determine the critical value of chi-square for the given degrees of freedom.

      9. Step 7: Make a Decision

      Finally, we compare the calculated test statistic to the critical value of chi-square. If the calculated chi-square value exceeds the critical value, we reject the null hypothesis and conclude that there is a significant difference in median incomes between City A and City B.

      10. Conclusion

      The median test for two independent samples provides a robust method for comparing the medians of two groups when the assumptions of parametric tests are not met or when dealing with ordinal or skewed data. By following the outlined steps, researchers can effectively compute the test statistic, determine its significance, and draw meaningful conclusions about the differences between groups.

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