The Spearman rank correlation coefficient is best described as:

Correct answer: A nonparametric test used to determine if two sets of ranks are correlated.

Explanation

Spearman is specific to ranked (ordinal) data.

Other questions

Question 1

Which of the following statements best describes the null hypothesis?

Question 2

A researcher wants to test if the mean return on a portfolio is different from zero. The appropriate set of hypotheses is:

Question 3

A Type I error is defined as:

Question 4

The power of a hypothesis test is defined as the probability of:

Question 5

If the significance level of a test is 5 percent and the probability of a Type II error is 20 percent, the power of the test is:

Question 6

For a two-tailed test using the standard normal distribution at the 5 percent level of significance, the critical z-values are:

Question 7

A test statistic is calculated as:

Question 8

The p-value is best described as:

Question 9

An analyst conducts a hypothesis test and calculates a p-value of 0.03. If the chosen significance level is 0.05, the analyst should:

Question 10

Which of the following distributions is appropriate for testing a hypothesis about a population mean when the variance is unknown and the sample is large?

Question 11

A sample of 25 observations has a mean of 10 and a standard deviation of 4. The researcher wants to test if the population mean is greater than 8 at the 5 percent significance level. The standard error of the sample mean is:

Question 12

Using the data from the previous question (Mean=10, Hypothesized=8, SE=0.8), the calculated test statistic is:

Question 13

In a one-tailed test with 24 degrees of freedom at the 5 percent significance level, the critical t-value is 1.711. Based on a calculated t-statistic of 2.50, the researcher should:

Question 14

The distinction between statistical significance and economic significance implies that:

Question 15

When testing the difference between two population means using two independent samples, the degrees of freedom for the t-test (assuming equal variances) are calculated as:

Question 16

A paired comparisons test is most appropriate when:

Question 17

For a paired comparisons test with 20 pairs of observations, the degrees of freedom are:

Question 18

To test the hypothesis that the variance of a normally distributed population is equal to a specific value, the appropriate test statistic is based on the:

Question 19

A sample of 15 observations has a standard deviation of 6. The researcher wants to test if the population variance is equal to 25. The calculated chi-square statistic is closest to:

Question 20

The F-statistic used to test the equality of two variances is calculated as:

Question 21

Sample A has a variance of 25 (n=21) and Sample B has a variance of 16 (n=16). The calculated F-statistic to test if the variances are equal is:

Question 22

To test the hypothesis that the population correlation coefficient equals zero, the appropriate test statistic follows a:

Question 23

A sample of 42 observations shows a correlation coefficient of 0.35. The researcher wants to test if the correlation is different from zero. The degrees of freedom for this test are:

Question 24

Nonparametric tests are preferred when:

Question 26

A contingency table is used to test:

Question 27

In a chi-square test for independence with 3 rows and 3 columns, the degrees of freedom are:

Question 28

Data snooping bias refers to:

Question 29

Survivorship bias in mutual fund studies typically leads to:

Question 30

Look-ahead bias occurs when:

Question 31

If a test statistic is 1.80 and the critical value is 1.65 (one-tailed upper), the decision is to:

Question 32

Which test statistic is appropriate to test if the mean of a population is equal to zero when the variance is unknown and n=20?

Question 33

If the null hypothesis is H0: mean <= 0, the alternative hypothesis Ha is:

Question 34

The critical value for a two-tailed z-test at the 1 percent significance level is closest to:

Question 35

A confidence interval for a population parameter can be expressed as:

Question 36

If a 95 percent confidence interval for a mean does not include zero, then:

Question 37

When the sample size is small and the population is not normally distributed, which test statistic should be used?

Question 38

For a test of the equality of two variances, the critical F-value depends on:

Question 39

A researcher assumes that two samples are independent, normally distributed, and have equal variances. The pooled variance is calculated as:

Question 40

With 20 tests at the 10 percent significance level, the expected number of false positives (Type I errors) if the null hypothesis is true for all is:

Question 41

Using a higher significance level (e.g., 10 percent instead of 5 percent) will:

Question 42

A chi-square test for a single variance is:

Question 43

If a calculated t-statistic is -2.4 and the critical values are +/- 2.1, the decision is:

Question 44

In a contingency table, the expected frequency for a cell is calculated as:

Question 45

Which of the following is an example of a nonparametric test?

Question 46

If sample data has a t-statistic of 2.363 for a correlation test with 40 degrees of freedom (critical value 2.021), we conclude:

Question 47

Economic significance differs from statistical significance in that:

Question 48

When testing if the mean of a single population is 50, the null hypothesis should be stated as:

Question 49

If a researcher decreases the probability of a Type I error (alpha), the probability of a Type II error (beta) will typically:

Question 50

The test statistic for the Spearman rank correlation follows which distribution when n > 30?