STA2201s01 Assignment Three
Quiz on Thursday Febuary 1st. Bring printouts to
the quiz. You may be asked to answer questions based on your printouts. You
may be asked to hand in one or more of the printouts. The non-computer parts
(except maybe question one) are not to be handed in. Do them in preparation
for the quiz.
- A medical researcher is preparing to investigate the effects of two
surgical procedures for joint replacement. Essentially there is to be an
experimental group receiving a new procedure and a control group receiving the
standard procedure. There is a single quantitative dependent variable
representing how good the outcome is, and the researcher is entirely
comfortable with the usual ANOVA assumptions of normal errors and equal
variances. She wishes to detect a difference between µ1 and
µ2 of 0.4 (in units of the common within-treatments standard
deviation sigma), and she wants to do this with probability 0.80.
- Derive a simple expression for the non-centrality parameter
delta-squared in terms of n1, n2, µ1, µ2 and
sigma.
- Show equal sample sizes are optimal in this case -- by hand.
- Find the total sample size needed to attain the researcher's
objective. Use S, not the power table in some old book. Bring the printout to
class.
- For a standard two-by-two factorial analysis of variance, what
relative sample sizes are optimal (in terms of power) for testing the
interaction? Please do this by computer Use my code; bring printout to class.
- In the second class, we saw that significance tests for the usual
linear model (with normal errors) were still of size alpha when the
independent variables were random. At the time, I casually stated that the
same argument applied to logistic regression. On reflection, I believe this is
not so clear at all. What is the problem?