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Quantitative Techniques – I




                    Notes


                                     Notes       Probable error of r
                                     It is an old measure to test the significance of a particular value of r without the knowledge
                                     of test of hypothesis.

                                     According to Horace Secrist “The probable error of correlation coefficient is an amount
                                     which if added to and subtracted from the mean correlation coefficient, gives limits within
                                     which the chances are even that a coefficient of correlation from a series selected at random
                                     will fall.”

                                                                    1  r  2                 1  r  2
                                                                                .
                                                              .
                                                                              .
                                     Since standard error of r, i.e.,   S E. r  ,  P E r  . 0 6745
                                                                      n                        n
                                     Did u know?
                                     1.   Probable error of r, denoted by P.E.(r) is 0.6745 times its standard error.
                                     2.   The value 0.6745 is obtained from the fact that in a normal distribution covers 50%
                                          of the total distribution.



                                      Task  Calculate Karl Pearson’s coefficient of correlation of first 5 coprime numbers. Also
                                     find the rank correlation for the same data. Observe the difference, if any.

                                   Self Assessment

                                   Multiple Choice Questions:
                                   11.  Spearman’s rank correlation is a ............................. method of computing correlation between
                                       two characteristics.
                                       (a)  Simple                       (b)  Complex
                                       (c)  Rude                         (d)  Crude
                                   12.  In Spearman’s rank correlation, various items are assigned ............................. according to
                                       the two characteristics and a correlation is computed between these ranks.
                                       (a)  Ranks                        (b)  Tanks
                                       (c)  Numbers                      (d)  Standard

                                   13.  When the given data consist of some .................................... observations, the value of karl
                                       pearson’s coefficient is likely to be unduly affected.
                                       (a)  Special                      (b)  Extreme

                                       (c)  General                      (d)  Usual
                                   14.  The coefficient of correlation obtained on the basis of ranks is called ....................................
                                       (a)  Spearman’s rank correlation  (b)  Correlation
                                       (c)  Regression                   (d)  Karl Pearson correlation






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