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Bivariate Linear Correlation

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df = n 2 = 3. Now construct a confidence interval ... Independent Samples t point biserial r. Uses of Correlation Analysis. Contingency tables ... – PowerPoint PPT presentation

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Title: Bivariate Linear Correlation


1
Bivariate Linear Correlation
2
Linear Function
  • Y a bX

3
Fixed and Random Variables
  • A FIXED variable is one for which you have every
    possible value of interest in your sample.
  • Example Subject sex, female or male.
  • A RANDOM variable is one where the sample values
    are randomly obtained from the population of
    values.
  • Example Height of subject.

4
Correlation Regression
  • If Y is random and X is fixed, the model is a
    regression model.
  • If both Y and X are random, the model is a
    correlation model.
  • Psychologists generally do not know this
  • They think
  • Correlation compute the corr coeff, r
  • Regression find an equation to predict Y from X

5
Scatter Plot
6
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9
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10
Burgers (X) and Beer (Y)
11
Burger (X)-Beer (Y) Correlation
.
12
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15
Burger (X)-Beer (Y) Correlation
.
16
Hø ? 0
  • df n 2 3
  • Now construct a confidence interval

17
  • http//glass.ed.asu.edu/stats/analysis/rci.html
  • r .8, n 5.
  • This program has problems when limit is near or
    above 1.

18
  • Try r .8, n 10
  • Clearly our estimate of ? is consistent, since
    the CI narrowed when N increased. The CI now
    excludes 0, that is, the correlation is
    significantly different from 0.

19
Get Exact p Value
  • COMPUTE p2CDF.T(t,df).

20
Presenting the Results
  • The correlation between my friends burger
    consumption and their beer consumption fell short
    of statistical significance, r(n 5) .8, p
    .10,95 CI -.28, .99.
  • Among my friends, beer consumption was
    positively, significantly related to burger
    consumption, r(n 10) .8, p .006,95 CI
    .35, .96.

21
Assumptions
  • Homoscedasticity across YX
  • Normality of YX
  • Normality of Y ignoring X
  • Homoscedasticity across XY
  • Normality of XY
  • Normality of X ignoring Y
  • The first three should look familiar, we made
    them with the pooled variances t.

22
Bivariate Normal
23
When Do Assumptions Apply?
  • Only when employing t or F.
  • That is, obtaining a p value
  • or constructing a confidence interval.

24
Summary Statement
  • The correlation between my friends burger
    consumption and their beer consumption fell short
    of statistical significance, r(n 5) .8, p
    .10, 95 CI -.28, .99.
  • Among my friends, burger consumption was
    significantly positively related to beer
    consumption, ..........

25
Shrunken r2
  • This reduces the bias in estimation of ?
  • As sample size increases (n-1)/(n-2) approaches
    1, and the amount of correction is reduced.

26
Spearman Rho
27
Pearson vs. Spearman
28
Uses of Correlation Analysis
  • Measure the degree of linear association
  • Correlation does imply causation
  • Necessary but not sufficient
  • Third variable problems
  • Reliability
  • Validity
  • Independent Samples t point biserial r
  • Y a b? Group (Group is 0 or 1)

29
Uses of Correlation Analysis
  • Contingency tables -- ?
  • Rows a b?Columns
  • Multiple correlation/regression

30
Uses of Correlation Analysis
  • Analysis of variance (ANOVA)
  • PolitConserv a b1 Republican? b2 Democrat?
  • k 3, the third group is all others
  • Canonical correlation/regression

31
Uses of Correlation Analysis
  • Canonical correlation/regression
  • (homophobia, homo-aggression) (psychopathic
    deviance, masculinity, hypomania, clinical
    defensiveness)
  • High homonegativity hypomanic, unusually frank,
    stereotypically masculine, psychopathically
    deviant (antisocial)

32
Factors Affecting Size of r
  • Range restrictions
  • Without variance there cant be covariance
  • Extraneous variance
  • The more things affecting Y (other then X), the
    smaller the r.
  • Interactions the relationship between X and Y
    is modified by Z
  • If not included in the model, reduces the r.

33
Power Analysis
34
Cohens Guidelines
  • .10 small but not trivial
  • .30 medium
  • .50 large

35
PSYC 6430 Addendum
  • The remaining slides cover material I do not
    typically cover in the undergraduate course.

36
Correcting for Measurement Error
  • If reliability is not 1, the r will underestimate
    the correlation between the latent variables.
  • We can estimate the correlation between the true
    scores this way
  • rxx and rYY are reliabilities

37
Example
  • r between misanthropy and support for animal
    rights .36 among persons with an idealistic
    ethical ideology

38
H? ?1 ?2
  • Is the correlation between X and Y the same in
    one population as in another?
  • The correlation between misanthropy and support
    for animal rights was significantly greater in
    nonidealists (r .36) than in idealists (r .02)

39
H? ?WX ?WY
  • We have data on three variables. Does the
    correlation between X and W differ from that
    between Y and W.
  • W is GPA, X is SATverbal, Y is SATmath.
  • See Williams procedure in our text.
  • See other procedures referenced in my handout.

40
H? ?WX ?YZ
  • Raghunathan, T. E, Rosenthal, R, and Rubin, D.
    B. (1996). Comparing correlated but
    nonoverlapping correlations, Psychological
    Methods, 1, 178-183.
  • Example is the correlation between verbal
    aptitiude and math aptitude the same at 10 years
    of age as at twenty years of age (longitudional
    data)

41
H? ? nonzero value
  • A meta-analysis shows that the correlation
    between X and Y averages .39.
  • You suspect it is not .39 in the population in
    which you are interested.
  • H? ? .39.
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