AP Statistics Flashcards: Complete 5-Unit Course Review

Review all five revised AP Statistics units with 250 original cards on data, study design, probability, inference, and regression.

このデッキについて

Review the revised five-unit AP Statistics course with 250 independently written English flashcards. The deck follows the framework effective fall 2026: Exploring One-Variable Data and Collecting Data; Probability, Random Variables, and Probability Distributions; Inference for Categorical Data: Proportions; Inference for Quantitative Data: Means; and Regression Analysis.

What the cards ask you to retrieve

  • concept or condition → meaning
  • scenario → appropriate method
  • representation → interpretation
  • result → contextual conclusion
  • formula → use
  • common error → correction

The order follows Units 1–5, with prerequisite ideas introduced before later inference and regression applications. Every card has the root ap-statistics tag and exactly one unit tag.

What's deliberately left out

This is a compact active-recall review, not a complete course, an official curriculum, or a promise of a particular score. It does not include full free-response questions, timed multiple-choice simulation, calculator-button tutorials, AP Classroom content, copied official examples, or scoring-guideline imitation.

Scope was reviewed against the official AP Statistics course page and the Course and Exam Description effective fall 2026. Check those official sources for current policies, exam details, and later revisions.

Statistical facts and the official course outline are not claimed as original. The CC0 dedication applies to the deck's independently written card wording, organization, and original cover to the extent the contributor can dedicate those elements.

This independent, unofficial deck is not affiliated with, endorsed by, or sponsored by the College Board. AP® and Advanced Placement® are trademarks owned by the College Board. No exam questions, scoring guidelines, curriculum passages, official examples, tables, logos, or trade dress are copied.

このデッキのカード

  1. カード 1

    質問

    What makes a question a statistical investigative question?

    回答

    It anticipates variability in data and can be answered by collecting and analyzing data about a population or process.

  2. カード 2

    質問

    What is an observational unit?

    回答

    An individual item or person from which data are collected.

  3. カード 3

    質問

    A student's class year is recorded as freshman, sophomore, junior, or senior. What type of variable is this?

    回答

    Categorical. The values name groups rather than measure a numerical amount.

  4. カード 4

    質問

    How does a parameter differ from a statistic?

    回答

    A parameter describes a population; a statistic describes a sample.

  5. カード 5

    質問

    How is a category's relative frequency calculated?

    回答

    Divide the category count by the total number of observations.

  6. カード 6

    質問

    What should the height of a bar represent in a relative-frequency bar chart?

    回答

    The proportion or percentage of observations in that category.

  7. カード 7

    質問

    Number of text messages sent in a day: discrete or continuous?

    回答

    Discrete. It is a count with separated possible values.

  8. カード 8

    質問

    Which displays preserve individual quantitative data values?

    回答

    Dotplots and stem-and-leaf plots. A histogram groups values into intervals.

  9. カード 9

    質問

    What four features should a description of a quantitative distribution address?

    回答

    Shape, center, variability, and unusual features such as gaps or outliers.

  10. カード 10

    質問

    Which measure of center is usually better for a strongly right-skewed distribution?

    回答

    The median, because it is resistant to extreme high values.

  11. カード 11

    質問

    The values are 3, 5, 5, and 11. What is the mean?

    回答

    1. The sum is 24, divided by 4 observations.
  12. カード 12

    質問

    The ordered values are 2, 4, 7, 9, 12, and 20. What is the median?

    回答

    8, the average of the two middle values 7 and 9.

  13. カード 13

    質問

    How is the interquartile range calculated?

    回答

    IQR = Q3 − Q1. It measures the spread of the middle 50% of the data.

  14. カード 14

    質問

    What does a small standard deviation say about a data set?

    回答

    Values typically lie close to the mean.

  15. カード 15

    質問

    Which common summaries are resistant to extreme values?

    回答

    The median and IQR are resistant; the mean and standard deviation are not.

  16. カード 16

    質問

    In a modified boxplot, where do the whiskers end?

    回答

    At the smallest and largest observed values within the 1.5 × IQR fences; values beyond the fences are plotted separately as potential outliers.

  17. カード 17

    質問

    What are the 1.5 × IQR outlier fences?

    回答

    Lower fence = Q1 − 1.5(IQR); upper fence = Q3 + 1.5(IQR). Values beyond them are flagged as potential outliers.

  18. カード 18

    質問

    How should two quantitative distributions be compared?

    回答

    Compare shape, center, variability, and unusual features in context, using the same measure or display basis.

  19. カード 19

    質問

    What does a z-score of −1.8 mean?

    回答

    The value is 1.8 standard deviations below the mean.

  20. カード 20

    質問

    Every observation is converted from meters to centimeters by multiplying by 100. What happens to the mean and standard deviation?

    回答

    Both are multiplied by 100.

  21. カード 21

    質問

    What should an investigative question identify so the conclusion has a clear scope?

    回答

    The variable or parameter of interest and the population to which the conclusion may apply.

  22. カード 22

    質問

    What is a census?

    回答

    A study that collects data from every member of the population.

  23. カード 23

    質問

    What makes a study an experiment?

    回答

    Researchers deliberately assign treatments to experimental units.

  24. カード 24

    質問

    How do prospective and retrospective observational studies differ?

    回答

    A prospective study follows units forward and gathers future data; a retrospective study uses data from the past.

  25. カード 25

    質問

    What is a confounding variable in an observational study?

    回答

    A variable associated with both the explanatory and response variables that offers an alternative explanation for their relationship.

  26. カード 26

    質問

    What study feature supports generalizing results to a population?

    回答

    Random selection from that population.

  27. カード 27

    質問

    What makes a study observational?

    回答

    Researchers observe variables without assigning treatments.

  28. カード 28

    質問

    What study feature supports a cause-and-effect conclusion?

    回答

    Random assignment of treatments in a well-designed experiment.

  29. カード 29

    質問

    What defines a simple random sample of size n?

    回答

    Every possible sample of size n has the same chance of selection.

  30. カード 30

    質問

    What changes when sampling is done with replacement?

    回答

    A selected unit returns to the population and can be selected again.

  31. カード 31

    質問

    Why can a convenience sample be biased?

    回答

    Easy-to-reach units may differ systematically from the target population.

  32. カード 32

    質問

    Why should an experiment compare at least two treatment groups?

    回答

    The comparison provides a baseline for judging whether responses differ by treatment.

  33. カード 33

    質問

    A school samples 20 students at random from each grade. Which sampling method is this?

    回答

    Stratified random sampling, with grade as the stratum.

  34. カード 34

    質問

    What is the purpose of random assignment?

    回答

    It tends to balance lurking variables across treatment groups, supporting causal inference.

  35. カード 35

    質問

    Why can a voluntary-response sample be biased?

    回答

    People with strong opinions are often more likely to participate.

  36. カード 36

    質問

    What does replication mean in an experiment?

    回答

    Assigning more than one experimental unit to each treatment so treatment differences can be separated from individual variability.

  37. カード 37

    質問

    A city randomly selects 8 apartment buildings and surveys every household in those buildings. Which method is this?

    回答

    Cluster random sampling.

  38. カード 38

    質問

    What does direct control do in an experiment?

    回答

    It holds potential extraneous sources of variation constant across experimental units.

  39. カード 39

    質問

    What is undercoverage?

    回答

    Some groups in the target population are left out of, or poorly represented in, the sampling frame.

  40. カード 40

    質問

    What is the role of a control group?

    回答

    It supplies a comparison condition for evaluating the treatment of interest.

  41. カード 41

    質問

    After a random start, a quality inspector checks every 40th item. Which sampling method is this?

    回答

    Systematic random sampling.

  42. カード 42

    質問

    Why might an experiment use a placebo?

    回答

    To separate a treatment's effect from responses caused by expecting treatment.

  43. カード 43

    質問

    What is nonresponse bias?

    回答

    Selected individuals who do not respond differ in a relevant way from those who do.

  44. カード 44

    質問

    What is single blinding designed to reduce?

    回答

    Bias caused when participants or evaluators know which treatment was received, depending on who is blinded.

  45. カード 45

    質問

    Why use a randomized block design?

    回答

    To group units that are similar on an important source of variation, then compare treatments within each block.

  46. カード 46

    質問

    What defines a matched-pairs design?

    回答

    Two treatments are compared using paired similar units or by giving both treatments to each unit in randomized order.

  47. カード 47

    質問

    A survey asks, “Don't you agree the new schedule is unfair?” What problem does this create?

    回答

    Response bias from leading wording.

  48. カード 48

    質問

    What usually makes an experiment double-blind?

    回答

    Neither the participants nor the people evaluating responses know treatment assignments while outcomes are measured.

  49. カード 49

    質問

    A researcher randomly assigns 80 volunteers to two diets and compares blood-pressure change. What conclusion can random assignment support?

    回答

    A cause-and-effect conclusion for people similar to the volunteers, assuming the experiment is well designed; volunteer recruitment does not support broad population generalization.

  50. カード 50

    質問

    A researcher records coffee intake and sleep duration without assigning either. Can the study establish that coffee causes less sleep?

    回答

    No. It is observational, so confounding can provide alternative explanations.

  51. カード 51

    質問

    What is the difference between a population and a sample?

    回答

    The population is the full group of interest; a sample is the subset actually observed.

  52. カード 52

    質問

    Which graph is appropriate for the distribution of one quantitative variable measured on 600 people?

    回答

    A histogram is appropriate; it groups the many numerical values into intervals.

  53. カード 53

    質問

    In a strongly right-skewed distribution, how do the mean and median usually compare?

    回答

    The mean is usually larger because high values pull it to the right.

  54. カード 54

    質問

    Every score increases by 7 points. What happens to the mean and standard deviation?

    回答

    The mean increases by 7; the standard deviation stays unchanged.

  55. カード 55

    質問

    What does it mean that a score is at the 80th percentile?

    回答

    About 80% of scores are at or below it.

  56. カード 56

    質問

    Why should gaps and clusters be mentioned when describing a distribution?

    回答

    They may reveal distinct subgroups, collection effects, or other structure that center and spread alone hide.

  57. カード 57

    質問

    What is the minimum ethical safeguard when collecting identifiable human data?

    回答

    Obtain informed consent when required and protect participants' privacy and confidentiality.

  58. カード 58

    質問

    Every measurement is multiplied by −2. What happens to the mean and standard deviation?

    回答

    The mean is multiplied by −2; the standard deviation is multiplied by 2.

  59. カード 59

    質問

    A study uses random sampling but no assigned treatment. What can it support?

    回答

    Population generalization, but not a cause-and-effect conclusion.

  60. カード 60

    質問

    A report calls any unmeasured variable a confounder. What is the correction?

    回答

    A confounder must be related to both the explanatory and response variables and create an alternative explanation.

  61. カード 61

    質問

    What does a two-way table summarize?

    回答

    Counts or relative frequencies for combinations of two categorical variables.

  62. カード 62

    質問

    What is a joint relative frequency?

    回答

    A cell count divided by the grand total, representing one combination of categories.

  63. カード 63

    質問

    What is a marginal relative frequency?

    回答

    A row or column total divided by the grand total.

  64. カード 64

    質問

    How is a conditional relative frequency calculated within one row?

    回答

    Divide each cell in that row by the row total.

  65. カード 65

    質問

    What pattern suggests association between two categorical variables?

    回答

    The conditional distribution of one variable changes across categories of the other.

  66. カード 66

    質問

    Why are segmented bar charts useful for two categorical variables?

    回答

    They place conditional distributions on the same 100% scale, making category patterns easy to compare.

  67. カード 67

    質問

    How do an outcome and an event differ?

    回答

    An outcome is one result of a trial; an event is a set of one or more outcomes.

  68. カード 68

    質問

    What must a valid probability simulation specify?

    回答

    A chance mechanism whose outcomes match the event probabilities, one trial definition, the statistic recorded, and many repetitions.

  69. カード 69

    質問

    What does the law of large numbers predict?

    回答

    As independent trials accumulate, an event's long-run relative frequency tends to approach its probability.

  70. カード 70

    質問

    What two requirements must probabilities in a sample space satisfy?

    回答

    Each probability is between 0 and 1, and the probabilities of all nonoverlapping outcomes sum to 1.

  71. カード 71

    質問

    What is the complement rule?

    回答

    P(Aᶜ) = 1 − P(A). It is often useful for “at least one” events.

  72. カード 72

    質問

    How can you verify that events A and B are mutually exclusive?

    回答

    Their intersection is impossible, so P(A ∩ B) = 0.

  73. カード 73

    質問

    What is the formula for P(A | B), when P(B) > 0?

    回答

    P(A | B) = P(A ∩ B) / P(B). The restricted sample space is B.

  74. カード 74

    質問

    What is the general multiplication rule for two events?

    回答

    P(A ∩ B) = P(A)P(B | A), or equivalently P(B)P(A | B).

  75. カード 75

    質問

    What does it mean for events A and B to be independent?

    回答

    Knowing that one occurred does not change the probability of the other.

  76. カード 76

    質問

    What is the general addition rule?

    回答

    P(A ∪ B) = P(A) + P(B) − P(A ∩ B).

  77. カード 77

    質問

    Why are two mutually exclusive events with positive probabilities not independent?

    回答

    If one occurs, the other cannot occur, so its conditional probability drops to 0.

  78. カード 78

    質問

    What is a random variable?

    回答

    A numerical value determined by the outcome of a random process.

  79. カード 79

    質問

    What makes a table a valid discrete probability distribution?

    回答

    It lists every possible value with probabilities from 0 to 1 that sum to 1.

  80. カード 80

    質問

    What does a cumulative distribution value F(x) represent?

    回答

    P(X ≤ x), the probability that the random variable is at most x.

  81. カード 81

    質問

    How is the expected value of a discrete random variable calculated?

    回答

    Multiply each possible value by its probability and add: E(X) = ΣxP(X = x).

  82. カード 82

    質問

    What does the standard deviation of a random variable measure?

    回答

    The typical distance of long-run outcomes from the random variable's mean.

  83. カード 83

    質問

    How is the standard deviation of a discrete random variable calculated?

    回答

    σₓ = √[Σ(x − μₓ)²P(X = x)]. The quantity inside the square root is Var(X).

  84. カード 84

    質問

    A game has E(X) = −$0.40 per play. What does this mean?

    回答

    Over many plays, the player's average net result approaches a loss of 40 cents per play; it does not predict every play.

  85. カード 85

    質問

    What conditions define a binomial random variable?

    回答

    A fixed number of independent trials, two outcomes per trial, constant success probability, and X counts successes.

  86. カード 86

    質問

    For X ~ Binomial(n, p), what are the mean and standard deviation?

    回答

    Mean = np; standard deviation = √[np(1 − p)].

  87. カード 87

    質問

    For X ~ Binomial(n, p), what is P(X = x)?

    回答

    Choose x success positions, then multiply: C(n, x)pˣ(1 − p)ⁿ⁻ˣ.

  88. カード 88

    質問

    How can P(X ≥ 1) be found efficiently for a binomial variable?

    回答

    Use the complement: P(X ≥ 1) = 1 − P(X = 0).

  89. カード 89

    質問

    What should one simulated trial represent when estimating P(X ≥ 4) for X ~ Binomial(10, 0.3)?

    回答

    Ten independent success/failure observations with success probability 0.3, followed by recording whether at least four successes occurred.

  90. カード 90

    質問

    What features characterize a normal distribution?

    回答

    It is continuous, symmetric, unimodal, and bell-shaped.

  91. カード 91

    質問

    Which parameters determine a normal distribution?

    回答

    Its mean μ sets the center, and its standard deviation σ sets the spread.

  92. カード 92

    質問

    What is the standard normal distribution?

    回答

    The normal distribution with mean 0 and standard deviation 1.

  93. カード 93

    質問

    What is the 68–95–99.7 rule?

    回答

    For an approximately normal distribution, about 68%, 95%, and 99.7% of values lie within 1, 2, and 3 standard deviations of the mean.

  94. カード 94

    質問

    What does an area under a normal curve represent?

    回答

    The probability or population proportion within the corresponding interval.

  95. カード 95

    質問

    How do you find the value cutting off the lowest 10% of a normal distribution?

    回答

    Find the z-score with cumulative area 0.10, then convert with x = μ + zσ.

  96. カード 96

    質問

    A normal variable has μ = 50 and σ = 8. What z-score corresponds to x = 62?

    回答

    1.5, because z = (62 − 50) / 8.

  97. カード 97

    質問

    Two exam scores come from different normal distributions. What makes their percentiles comparable?

    回答

    Standardize each score with its own distribution's mean and standard deviation, then compare z-scores or cumulative areas.

  98. カード 98

    質問

    What is a sampling distribution of a statistic?

    回答

    The distribution of that statistic over all possible random samples of a fixed size from a population.

  99. カード 99

    質問

    How can a sampling distribution be approximated by simulation?

    回答

    Repeatedly take random samples of the same size, calculate the statistic each time, and graph the resulting values.

  100. カード 100

    質問

    What is a randomization distribution?

    回答

    A simulated distribution of a statistic produced by repeatedly reallocating responses or labels as specified by a null model.

  101. カード 101

    質問

    What does the central limit theorem say about sample means?

    回答

    For random samples, the sampling distribution of the sample mean becomes approximately normal as sample size grows, even when the population is not normal.

  102. カード 102

    質問

    How does increasing sample size affect the normal approximation in the central limit theorem?

    回答

    It generally improves the approximation, especially for skewed or irregular populations.

  103. カード 103

    質問

    A segmented bar chart shows nearly identical category proportions for every group. What does that suggest?

    回答

    Little or no association between the two categorical variables.

  104. カード 104

    質問

    In a survey, 30 of 120 students both bike to school and arrive before 8:00. What is the joint relative frequency?

    回答

    0.25, because 30 / 120 = 0.25.

  105. カード 105

    質問

    Why can P(A | B) differ from P(B | A)?

    回答

    They use different restricted sample spaces and usually have different denominators.

  106. カード 106

    質問

    If P(A) = 0.4 and P(A | B) = 0.4 with P(B) > 0, what does this indicate?

    回答

    A and B are independent because learning B does not change the probability of A.

  107. カード 107

    質問

    If independent events have probabilities 0.6 and 0.5, what is the probability that both occur?

    回答

    0.30, using P(A ∩ B) = P(A)P(B).

  108. カード 108

    質問

    A prize is $0 with probability 0.7 and $10 with probability 0.3. What is the expected prize?

    回答

    $3, because 0(0.7) + 10(0.3) = 3.

  109. カード 109

    質問

    A machine produces defective items independently with probability 0.02. What distribution models the number of defectives in 50 items?

    回答

    Binomial with n = 50 and p = 0.02.

  110. カード 110

    質問

    Heights are approximately normal with μ = 170 cm and σ = 6 cm. About what percent lie from 158 to 182 cm?

    回答

    About 95%, because the interval is μ ± 2σ.

  111. カード 111

    質問

    What makes an estimator unbiased?

    回答

    Its sampling distribution is centered at the population parameter it estimates.

  112. カード 112

    質問

    For random samples of size n, what is the mean of the sampling distribution of p̂?

    回答

    μₚ̂ = p, where p is the population proportion.

  113. カード 113

    質問

    Which procedure estimates one population proportion from a random sample?

    回答

    A one-sample z-interval for a population proportion.

  114. カード 114

    質問

    How should a confidence interval for a population proportion be interpreted?

    回答

    We are confident at the stated level that the interval captures the true population proportion, in context.

  115. カード 115

    質問

    What hypotheses test whether a population proportion differs from 0.40?

    回答

    H₀: p = 0.40 versus Hₐ: p ≠ 0.40.

  116. カード 116

    質問

    What is a p-value?

    回答

    Assuming H₀ is true, it is the probability of a test statistic as extreme as or more extreme than the observed statistic in the direction of Hₐ.

  117. カード 117

    質問

    What is the hypothesis-test decision rule using significance level α?

    回答

    Reject H₀ when the p-value ≤ α; otherwise fail to reject H₀.

  118. カード 118

    質問

    What is a Type I error?

    回答

    Rejecting H₀ when H₀ is actually true.

  119. カード 119

    質問

    What is the mean of p̂₁ − p̂₂ for independent random samples?

    回答

    p₁ − p₂.

  120. カード 120

    質問

    Which procedure estimates p₁ − p₂ from two independent samples or randomized groups?

    回答

    A two-sample z-interval for a difference between population proportions.

  121. カード 121

    質問

    How should a confidence interval for p₁ − p₂ be interpreted?

    回答

    We are confident at the stated level that the interval captures the true difference p₁ − p₂, in context.

  122. カード 122

    質問

    What null hypothesis is standard when testing whether two population proportions differ?

    回答

    H₀: p₁ − p₂ = 0, equivalently p₁ = p₂.

  123. カード 123

    質問

    A two-proportion test gives p-value 0.018 at α = 0.05. What decision follows?

    回答

    Reject H₀ because 0.018 < 0.05.

  124. カード 124

    質問

    When is a chi-square test for independence appropriate?

    回答

    When one random sample provides two categorical variables and the question asks whether they are associated in one population.

  125. カード 125

    質問

    How should a chi-square test p-value be interpreted?

    回答

    Assuming the null model of independence or homogeneity is true, it is the probability of a chi-square statistic at least as large as the one observed.

    Five connected statistical stages show observations becoming a distribution, a sample, a probability curve, and a regression scatterplot.

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  126. カード 126

    質問

    How do bias and variability differ for an estimator?

    回答

    Bias concerns where the sampling distribution is centered; variability concerns how spread out it is.

  127. カード 127

    質問

    What is the standard deviation of p̂ when observations are independent?

    回答

    σₚ̂ = √[p(1 − p) / n].

  128. カード 128

    質問

    What is the one-proportion z-interval formula?

    回答

    p̂ ± z*√[p̂(1 − p̂) / n].

  129. カード 129

    質問

    What does a 95% confidence level describe?

    回答

    In repeated random sampling with the same method, about 95% of the resulting intervals would capture the true parameter.

  130. カード 130

    質問

    Which method tests a claim about one population proportion when its conditions hold?

    回答

    A one-sample z-test for a population proportion.

  131. カード 131

    質問

    How does the alternative hypothesis determine a p-value's tail area?

    回答

    A greater-than alternative uses the upper tail, a less-than alternative uses the lower tail, and a not-equal alternative uses both tails.

  132. カード 132

    質問

    What wording should follow a rejected null hypothesis?

    回答

    There is convincing statistical evidence for the alternative claim about the population parameter, stated in context.

  133. カード 133

    質問

    What is a Type II error?

    回答

    Failing to reject H₀ when Hₐ is actually true.

  134. カード 134

    質問

    What is the standard deviation of p̂₁ − p̂₂ for independent samples?

    回答

    √[p₁(1 − p₁)/n₁ + p₂(1 − p₂)/n₂].

  135. カード 135

    質問

    What standard error is used in a confidence interval for p₁ − p₂?

    回答

    √[p̂₁(1 − p̂₁)/n₁ + p̂₂(1 − p̂₂)/n₂]; the sample proportions are not pooled.

  136. カード 136

    質問

    A confidence interval for p₁ − p₂ contains 0. What does that imply?

    回答

    The interval does not provide convincing evidence of a difference between the population proportions at the corresponding two-sided significance level.

  137. カード 137

    質問

    Why is a pooled proportion used in a two-proportion z-test with H₀: p₁ = p₂?

    回答

    The null model assumes both samples share one common population proportion, estimated by combining successes and observations.

  138. カード 138

    質問

    How should a p-value for a two-proportion test be stated?

    回答

    Assuming the population proportions are equal, it is the probability of observing a difference in sample proportions at least as extreme as the one found, in the direction of Hₐ.

  139. カード 139

    質問

    When is a chi-square test for homogeneity appropriate?

    回答

    When independent samples or randomized groups are compared on the distribution of one categorical response variable.

  140. カード 140

    質問

    What is the chi-square test statistic formula?

    回答

    χ² = Σ[(observed − expected)² / expected], summed over all cells.

  141. カード 141

    質問

    What usually happens to an estimator's sampling variability as sample size increases?

    回答

    It decreases; estimates from larger random samples tend to cluster more tightly around the parameter.

  142. カード 142

    質問

    When is the sampling distribution of p̂ approximately normal?

    回答

    When the expected counts np and n(1 − p) are both at least 10.

  143. カード 143

    質問

    What conditions justify a one-proportion z-interval?

    回答

    Random data; independence, checked with n ≤ 10% of the population when sampling without replacement; and at least 10 observed successes and 10 observed failures.

  144. カード 144

    質問

    A 95% confidence interval for p is (0.52, 0.61). What does it say about the claim p = 0.50?

    回答

    The interval excludes 0.50, so the data provide evidence against p = 0.50 in a two-sided test at α = 0.05.

  145. カード 145

    質問

    What is the one-proportion z-test statistic?

    回答

    z = (p̂ − p₀) / √[p₀(1 − p₀)/n], using the null proportion p₀ in the standard error.

  146. カード 146

    質問

    How is a simulation-based p-value estimated?

    回答

    Find the proportion of simulated null statistics at least as extreme as the observed statistic in the direction of Hₐ.

  147. カード 147

    質問

    What does “fail to reject H₀” mean?

    回答

    The data do not provide convincing evidence for Hₐ; it does not prove H₀ true.

  148. カード 148

    質問

    With sample size and effect fixed, what often happens when α is lowered?

    回答

    The chance of a Type I error decreases, while the chance of a Type II error increases.

  149. カード 149

    質問

    What conditions support the usual model for p̂₁ − p̂₂?

    回答

    Independent random samples or randomized groups, independence within each group, and large enough expected success and failure counts for normal approximation.

  150. カード 150

    質問

    What conditions justify a two-proportion z-interval?

    回答

    Independent random samples or randomized groups; each sample no more than 10% of its population when sampling without replacement; and at least 10 observed successes and failures in each group.

  151. カード 151

    質問

    How does increasing both sample sizes affect a confidence interval for p₁ − p₂?

    回答

    It reduces the standard error and usually narrows the interval when other factors stay the same.

  152. カード 152

    質問

    What standard error is used in the two-proportion z-test?

    回答

    √[p̂c(1 − p̂c)(1/n₁ + 1/n₂)], where p̂c is the pooled sample proportion.

  153. カード 153

    質問

    A randomized experiment uses volunteers assigned to two treatments. A significant two-proportion test supports what scope?

    回答

    A cause-and-effect conclusion for people similar to the volunteers, not automatic generalization to a broader population.

  154. カード 154

    質問

    How is an expected count computed in a two-way table under independence?

    回答

    Expected count = (row total × column total) / grand total.

  155. カード 155

    質問

    What conditions justify a chi-square test for a two-way table?

    回答

    Random data; independent observations, including the 10% check when sampling without replacement; and every expected cell count greater than 5.

  156. カード 156

    質問

    A sampling distribution is centered away from the true parameter. What problem does this reveal?

    回答

    Bias in the estimator.

  157. カード 157

    質問

    If p = 0.30 and n = 100, what does μₚ̂ = 0.30 mean?

    回答

    Across many random samples of 100, the average sample proportion would be 0.30.

  158. カード 158

    質問

    For a planned proportion interval with margin of error m, what conservative p-value is used when no prior estimate exists?

    回答

    Use p* = 0.50 in n ≥ (z*/m)²p*(1 − p*) because it gives the largest required sample size.

  159. カード 159

    質問

    What two changes widen a confidence interval for a proportion?

    回答

    Using a higher confidence level or a smaller sample size.

  160. カード 160

    質問

    Which counts check normality for a one-proportion z-test?

    回答

    Use the null model: np₀ ≥ 10 and n(1 − p₀) ≥ 10.

  161. カード 161

    質問

    What is wrong with saying “the p-value is the probability that H₀ is true”?

    回答

    The p-value assumes H₀ is true and measures how unusual the observed statistic would be under that assumption; it does not assign probability to H₀.

  162. カード 162

    質問

    What does “statistically significant at α = 0.01” mean?

    回答

    The p-value is at most 0.01, so H₀ is rejected at that significance level.

  163. カード 163

    質問

    What is the power of a hypothesis test?

    回答

    The probability that the test rejects H₀ when a particular alternative is true.

  164. カード 164

    質問

    If p₁ = p₂, where is the sampling distribution of p̂₁ − p̂₂ centered?

    回答

    At 0, because its mean is p₁ − p₂.

  165. カード 165

    質問

    Why must the order p̂₁ − p̂₂ stay consistent throughout an interval?

    回答

    Changing the order reverses the sign and changes the contextual interpretation of every endpoint.

  166. カード 166

    質問

    A 95% interval for p₁ − p₂ is (0.04, 0.15). What conclusion is supported?

    回答

    p₁ is plausibly 0.04 to 0.15 higher than p₂; the interval supports a positive difference.

  167. カード 167

    質問

    Which success-failure counts are checked for a two-proportion z-test?

    回答

    Expected counts based on the pooled null proportion: n₁p̂c, n₁(1 − p̂c), n₂p̂c, and n₂(1 − p̂c), each at least 10.

  168. カード 168

    質問

    A two-proportion test with Hₐ: p₁ ≠ p₂ fails to reject H₀. What conclusion is valid?

    回答

    There is not convincing evidence that the two population proportions differ.

  169. カード 169

    質問

    What are the degrees of freedom for a chi-square test on an r × c table?

    回答

    (r − 1)(c − 1).

  170. カード 170

    質問

    A chi-square test for independence has a small p-value. What conclusion is appropriate?

    回答

    There is convincing evidence of an association between the two categorical variables in the population, stated in context.

  171. カード 171

    質問

    What is the mean of the sampling distribution of x̄ for random samples from a population with mean μ?

    回答

    μₓ̄ = μ.

  172. カード 172

    質問

    Which procedure estimates one population mean when the population standard deviation is unknown?

    回答

    A one-sample t-interval for a population mean.

  173. カード 173

    質問

    How should a confidence interval for a population mean be interpreted?

    回答

    We are confident at the stated level that the interval captures the true population mean, in context.

  174. カード 174

    質問

    What hypotheses test whether a population mean exceeds 12?

    回答

    H₀: μ = 12 versus Hₐ: μ > 12.

  175. カード 175

    質問

    A one-sample t-test gives p-value 0.08 at α = 0.05. What decision follows?

    回答

    Fail to reject H₀ because 0.08 > 0.05.

  176. カード 176

    質問

    What is the mean of x̄₁ − x̄₂ for independent random samples?

    回答

    μ₁ − μ₂.

  177. カード 177

    質問

    Which procedure estimates μ₁ − μ₂ from two independent samples?

    回答

    A two-sample t-interval for a difference between population means.

  178. カード 178

    質問

    How should a confidence interval for μ₁ − μ₂ be interpreted?

    回答

    We are confident at the stated level that the interval captures the true difference μ₁ − μ₂, in context.

  179. カード 179

    質問

    What null hypothesis is standard when testing whether two population means differ?

    回答

    H₀: μ₁ − μ₂ = 0, equivalently μ₁ = μ₂.

  180. カード 180

    質問

    A two-sample t-test gives p-value 0.004 at α = 0.01. What decision follows?

    回答

    Reject H₀ because 0.004 < 0.01.

  181. カード 181

    質問

    What is the standard deviation of x̄ when observations are independent?

    回答

    σₓ̄ = σ / √n.

  182. カード 182

    質問

    What is the one-sample t-interval formula for μ?

    回答

    x̄ ± t* × s/√n, with t* based on n − 1 degrees of freedom.

  183. カード 183

    質問

    What does a 90% confidence level mean for a mean interval procedure?

    回答

    Across many random samples using the same procedure, about 90% of the intervals would capture the true population mean.

  184. カード 184

    質問

    Which procedure tests a claim about one population mean when σ is unknown?

    回答

    A one-sample t-test for a population mean.

  185. カード 185

    質問

    How should a one-mean test p-value be interpreted?

    回答

    Assuming the null mean is true, it is the probability of a t-statistic as extreme as or more extreme than observed in the direction of Hₐ.

  186. カード 186

    質問

    What is the standard deviation of x̄₁ − x̄₂ for independent samples?

    回答

    √(σ₁²/n₁ + σ₂²/n₂).

  187. カード 187

    質問

    What standard error is used in a two-sample t-interval for μ₁ − μ₂?

    回答

    √(s₁²/n₁ + s₂²/n₂).

  188. カード 188

    質問

    A confidence interval for μ₁ − μ₂ contains 0. What does that imply?

    回答

    The interval does not provide convincing evidence of a difference between the population means at the corresponding two-sided significance level.

  189. カード 189

    質問

    What is the two-sample t-statistic for testing H₀: μ₁ − μ₂ = 0?

    回答

    t = [(x̄₁ − x̄₂) − 0] / √(s₁²/n₁ + s₂²/n₂).

  190. カード 190

    質問

    How should a two-mean test p-value be interpreted?

    回答

    Assuming the population means are equal, it is the probability of a sample-mean difference at least as extreme as observed, standardized in the direction of Hₐ.

  191. カード 191

    質問

    When is the sampling distribution of x̄ approximately normal?

    回答

    When the population is approximately normal or the random sample is large enough for the central limit theorem to apply.

  192. カード 192

    質問

    What conditions justify a one-sample t-interval?

    回答

    Random data; independence, checked with n ≤ 10% of the population when sampling without replacement; and for the Normal/Large Sample condition, n ≥ 30 is sufficient, while n < 30 requires sample data with no strong skewness or outliers.

  193. カード 193

    質問

    How does increasing sample size affect a confidence interval for μ?

    回答

    It lowers the standard error and usually narrows the interval when confidence level and variability stay comparable.

  194. カード 194

    質問

    What is the one-sample t-test statistic?

    回答

    t = (x̄ − μ₀) / (s/√n), with n − 1 degrees of freedom.

  195. カード 195

    質問

    A t-test fails to reject H₀. What should the conclusion avoid?

    回答

    Avoid saying H₀ is true; say the data do not provide convincing evidence for Hₐ.

  196. カード 196

    質問

    When is x̄₁ − x̄₂ approximately normal?

    回答

    When both populations are approximately normal or both independent random samples are large enough for normal approximations.

  197. カード 197

    質問

    What conditions justify a two-sample t-interval?

    回答

    Independent random samples or randomized groups; each sample no more than 10% of its population when sampling without replacement; and for the Normal/Large Sample condition, both sample sizes ≥ 30 are sufficient, while either sample below 30 requires sample data with no strong skewness or outliers.

  198. カード 198

    質問

    A 95% interval for μ₁ − μ₂ is (−7.2, −1.4). What does it support?

    回答

    μ₁ is plausibly 1.4 to 7.2 units lower than μ₂; the interval supports a negative difference.

  199. カード 199

    質問

    What sample-shape condition is checked for a two-sample t-test with small samples?

    回答

    Both sample distributions should be free of strong skewness and outliers unless both populations are known to be approximately normal.

  200. カード 200

    質問

    A randomized experiment finds a significant difference in mean response. What can random assignment support?

    回答

    A cause-and-effect conclusion for units like those studied, assuming the experiment was well designed.

  201. カード 201

    質問

    A population has μ = 40. What does μₓ̄ = 40 mean for samples of size 25?

    回答

    Across all random samples of 25, the average sample mean is 40.

  202. カード 202

    質問

    How is a matched-pairs confidence interval analyzed?

    回答

    Compute one difference for each pair, then use a one-sample t-interval on the population mean difference.

  203. カード 203

    質問

    A 95% confidence interval for μ is (18.2, 21.7). What does it say about μ = 22?

    回答

    The interval excludes 22, providing evidence against μ = 22 in a two-sided test at α = 0.05.

  204. カード 204

    質問

    Which observations enter a matched-pairs t-test?

    回答

    The within-pair differences, not the two original columns treated as independent samples.

  205. カード 205

    質問

    A test reports p-value 0.032. At which common levels is it significant: 0.05 or 0.01?

    回答

    Significant at 0.05, but not at 0.01.

  206. カード 206

    質問

    If μ₁ − μ₂ = 5, where is the sampling distribution of x̄₁ − x̄₂ centered?

    回答

    At 5.

  207. カード 207

    質問

    Does the standard AP two-sample t procedure require equal population variances?

    回答

    No. It uses separate sample variances in the standard error rather than pooling them.

  208. カード 208

    質問

    What two changes usually widen a confidence interval for μ₁ − μ₂?

    回答

    Higher confidence or smaller sample sizes.

  209. カード 209

    質問

    Why must the order x̄₁ − x̄₂ match the order μ₁ − μ₂ in the hypotheses?

    回答

    Reversing the order reverses the sign and changes the direction of the claim.

  210. カード 210

    質問

    A two-sample test with Hₐ: μ₁ > μ₂ fails to reject H₀. What conclusion is valid?

    回答

    There is not convincing evidence that μ₁ exceeds μ₂.

  211. カード 211

    質問

    A population has σ = 18 and random samples have n = 36. What is σₓ̄?

    回答

    3, because 18/√36 = 3.

  212. カード 212

    質問

    Why is a t distribution used for inference about a mean when σ is unknown?

    回答

    Replacing σ with the sample standard deviation s adds uncertainty, which the heavier-tailed t distribution accounts for.

  213. カード 213

    質問

    What conditions justify a one-sample t-test?

    回答

    Random data; independence, checked with n ≤ 10% of the population when sampling without replacement; and for the Normal/Large Sample condition, n ≥ 30 is sufficient, while n < 30 requires sample data with no strong skewness or outliers.

  214. カード 214

    質問

    What distinguishes a two-sample means procedure from a matched-pairs procedure?

    回答

    Two-sample procedures use independent groups; matched-pairs procedures analyze linked observations through their differences.

  215. カード 215

    質問

    How are degrees of freedom handled for a two-sample t procedure?

    回答

    Technology usually uses an approximation based on both sample variances and sizes; a conservative fallback uses the smaller of n₁ − 1 and n₂ − 1.

  216. カード 216

    質問

    What type of variables belong on a scatterplot?

    回答

    Two quantitative variables measured on the same observational units.

  217. カード 217

    質問

    What does the correlation coefficient r describe?

    回答

    The direction and strength of a linear relationship between two quantitative variables.

  218. カード 218

    質問

    What does ŷ = a + bx represent?

    回答

    A linear regression model predicting response y from explanatory variable x.

  219. カード 219

    質問

    What is a residual?

    回答

    Observed response minus predicted response: residual = y − ŷ.

  220. カード 220

    質問

    What makes a regression line the least-squares line?

    回答

    It minimizes the sum of squared residuals.

  221. カード 221

    質問

    What four features should a scatterplot description address?

    回答

    Direction, form, strength, and unusual features such as outliers or clusters.

  222. カード 222

    質問

    What values can r take?

    回答

    Any value from −1 to 1, inclusive.

  223. カード 223

    質問

    How is the slope b interpreted in context?

    回答

    For each one-unit increase in x, the predicted value of y changes by b units on average.

  224. カード 224

    質問

    What does a positive residual mean?

    回答

    The observed response is above the model's predicted response.

  225. カード 225

    質問

    What is the least-squares slope formula?

    回答

    b = r(sᵧ/sₓ).

  226. カード 226

    質問

    A scatterplot trends downward from left to right. What direction is the association?

    回答

    Negative: larger x-values tend to occur with smaller y-values.

  227. カード 227

    質問

    Why can r be near 0 even when two variables are strongly related?

    回答

    Correlation measures only linear association, so a strong curved relationship can have r near 0.

  228. カード 228

    質問

    How is the intercept a interpreted in context?

    回答

    It is the predicted response when x = 0, provided x = 0 is meaningful and within the data's scope.

  229. カード 229

    質問

    A model predicts 18, and the observed response is 21. What is the residual?

    回答

    3, because 21 − 18 = 3.

  230. カード 230

    質問

    How is the least-squares intercept found from the slope?

    回答

    a = ȳ − bx̄.

  231. カード 231

    質問

    What makes a linear association look strong?

    回答

    The points lie close to a straight-line pattern, regardless of whether the slope is steep or shallow.

  232. カード 232

    質問

    Does r have measurement units?

    回答

    No. Correlation is unitless because it is based on standardized values.

  233. カード 233

    質問

    For ŷ = 12 + 2.5x, what is predicted when x = 4?

    回答

    22, because 12 + 2.5(4) = 22.

  234. カード 234

    質問

    What residual-plot pattern supports using a linear model?

    回答

    Random scatter around zero with no clear curve, trend, or changing spread.

  235. カード 235

    質問

    What does r² measure in simple linear regression?

    回答

    The proportion of variation in the response variable explained by its linear relationship with the explanatory variable.

  236. カード 236

    質問

    A scatterplot shows a strong association. Does that establish causation?

    回答

    No. A scatterplot alone cannot rule out confounding or other explanations.

  237. カード 237

    質問

    Why should unusual points be checked before interpreting r?

    回答

    Correlation is not resistant; an outlier or influential point can change r substantially.

  238. カード 238

    質問

    Why is extrapolation risky?

    回答

    The relationship observed over the data range may not continue beyond that range.

  239. カード 239

    質問

    A point lies below the regression line. What sign is its residual?

    回答

    Negative, because observed y is less than predicted ŷ.

  240. カード 240

    質問

    Which point always lies on a least-squares regression line with an intercept?

    回答

    The point (x̄, ȳ).

  241. カード 241

    質問

    Which variable goes on each axis of a scatterplot used for prediction?

    回答

    The explanatory variable goes on the horizontal x-axis; the response variable goes on the vertical y-axis.

  242. カード 242

    質問

    What happens to r if the roles of x and y are swapped?

    回答

    Nothing. Correlation is symmetric.

  243. カード 243

    質問

    What is interpolation?

    回答

    Predicting a response for an x-value within the range of observed explanatory values.

  244. カード 244

    質問

    A residual plot has a clear U-shape. What is the correction?

    回答

    Do not treat the linear model as adequate; the curved pattern shows systematic structure remains.

  245. カード 245

    質問

    A regression has r² = 0.64. What does this mean?

    回答

    About 64% of the variation in the response is explained by its linear relationship with the explanatory variable.

  246. カード 246

    質問

    What is an outlier in a scatterplot?

    回答

    A point that falls away from the overall pattern of the other points.

  247. カード 247

    質問

    What happens to r when x is converted from centimeters to meters?

    回答

    It stays the same because multiplying by a positive constant does not change standardized linear association.

  248. カード 248

    質問

    When can a regression relationship support a causal conclusion?

    回答

    Only when the data come from a well-designed randomized experiment and the conclusion matches its scope.

  249. カード 249

    質問

    What units does a residual use?

    回答

    The same units as the response variable y.

  250. カード 250

    質問

    What is an influential point in regression?

    回答

    A point whose removal substantially changes the fitted regression line or another key regression result.

Five connected statistical stages show observations becoming a distribution, a sample, a probability curve, and a regression scatterplot.

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AP Statistics Flashcards: Complete 5-Unit Course Review

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