Hypothesis Testing

Hypothesis testing is a tool for making statistical inferences about the population data. It is an analysis tool that tests assumptions and determines how likely something is within a given standard of accuracy. Hypothesis testing provides a way to verify whether the results of an experiment are valid.

A null hypothesis and an alternative hypothesis are set up before performing the hypothesis testing. This helps to arrive at a conclusion regarding the sample obtained from the population. In this article, we will learn more about hypothesis testing, its types, steps to perform the testing, and associated examples.

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What is Hypothesis Testing in Statistics?

Hypothesis testing uses sample data from the population to draw useful conclusions regarding the population probability distribution . It tests an assumption made about the data using different types of hypothesis testing methodologies. The hypothesis testing results in either rejecting or not rejecting the null hypothesis.

Hypothesis Testing Definition

Hypothesis testing can be defined as a statistical tool that is used to identify if the results of an experiment are meaningful or not. It involves setting up a null hypothesis and an alternative hypothesis. These two hypotheses will always be mutually exclusive. This means that if the null hypothesis is true then the alternative hypothesis is false and vice versa. An example of hypothesis testing is setting up a test to check if a new medicine works on a disease in a more efficient manner.

Null Hypothesis

The null hypothesis is a concise mathematical statement that is used to indicate that there is no difference between two possibilities. In other words, there is no difference between certain characteristics of data. This hypothesis assumes that the outcomes of an experiment are based on chance alone. It is denoted as \(H_{0}\). Hypothesis testing is used to conclude if the null hypothesis can be rejected or not. Suppose an experiment is conducted to check if girls are shorter than boys at the age of 5. The null hypothesis will say that they are the same height.

Alternative Hypothesis

The alternative hypothesis is an alternative to the null hypothesis. It is used to show that the observations of an experiment are due to some real effect. It indicates that there is a statistical significance between two possible outcomes and can be denoted as \(H_{1}\) or \(H_{a}\). For the above-mentioned example, the alternative hypothesis would be that girls are shorter than boys at the age of 5.

Hypothesis Testing P Value

In hypothesis testing, the p value is used to indicate whether the results obtained after conducting a test are statistically significant or not. It also indicates the probability of making an error in rejecting or not rejecting the null hypothesis.This value is always a number between 0 and 1. The p value is compared to an alpha level, \(\alpha\) or significance level. The alpha level can be defined as the acceptable risk of incorrectly rejecting the null hypothesis. The alpha level is usually chosen between 1% to 5%.

Hypothesis Testing Critical region

All sets of values that lead to rejecting the null hypothesis lie in the critical region. Furthermore, the value that separates the critical region from the non-critical region is known as the critical value.

Hypothesis Testing Formula

Depending upon the type of data available and the size, different types of hypothesis testing are used to determine whether the null hypothesis can be rejected or not. The hypothesis testing formula for some important test statistics are given below:

  • z = \(\frac{\overline{x}-\mu}{\frac{\sigma}{\sqrt{n}}}\). \(\overline{x}\) is the sample mean, \(\mu\) is the population mean, \(\sigma\) is the population standard deviation and n is the size of the sample.
  • t = \(\frac{\overline{x}-\mu}{\frac{s}{\sqrt{n}}}\). s is the sample standard deviation.
  • \(\chi ^{2} = \sum \frac{(O_{i}-E_{i})^{2}}{E_{i}}\). \(O_{i}\) is the observed value and \(E_{i}\) is the expected value.

We will learn more about these test statistics in the upcoming section.

Types of Hypothesis Testing

Selecting the correct test for performing hypothesis testing can be confusing. These tests are used to determine a test statistic on the basis of which the null hypothesis can either be rejected or not rejected. Some of the important tests used for hypothesis testing are given below.

Hypothesis Testing Z Test

A z test is a way of hypothesis testing that is used for a large sample size (n ≥ 30). It is used to determine whether there is a difference between the population mean and the sample mean when the population standard deviation is known. It can also be used to compare the mean of two samples. It is used to compute the z test statistic. The formulas are given as follows:

  • One sample: z = \(\frac{\overline{x}-\mu}{\frac{\sigma}{\sqrt{n}}}\).
  • Two samples: z = \(\frac{(\overline{x_{1}}-\overline{x_{2}})-(\mu_{1}-\mu_{2})}{\sqrt{\frac{\sigma_{1}^{2}}{n_{1}}+\frac{\sigma_{2}^{2}}{n_{2}}}}\).

Hypothesis Testing t Test

The t test is another method of hypothesis testing that is used for a small sample size (n < 30). It is also used to compare the sample mean and population mean. However, the population standard deviation is not known. Instead, the sample standard deviation is known. The mean of two samples can also be compared using the t test.

  • One sample: t = \(\frac{\overline{x}-\mu}{\frac{s}{\sqrt{n}}}\).
  • Two samples: t = \(\frac{(\overline{x_{1}}-\overline{x_{2}})-(\mu_{1}-\mu_{2})}{\sqrt{\frac{s_{1}^{2}}{n_{1}}+\frac{s_{2}^{2}}{n_{2}}}}\).

Hypothesis Testing Chi Square

The Chi square test is a hypothesis testing method that is used to check whether the variables in a population are independent or not. It is used when the test statistic is chi-squared distributed.

One Tailed Hypothesis Testing

One tailed hypothesis testing is done when the rejection region is only in one direction. It can also be known as directional hypothesis testing because the effects can be tested in one direction only. This type of testing is further classified into the right tailed test and left tailed test.

Right Tailed Hypothesis Testing

The right tail test is also known as the upper tail test. This test is used to check whether the population parameter is greater than some value. The null and alternative hypotheses for this test are given as follows:

\(H_{0}\): The population parameter is ≤ some value

\(H_{1}\): The population parameter is > some value.

If the test statistic has a greater value than the critical value then the null hypothesis is rejected

Right Tail Hypothesis Testing

Left Tailed Hypothesis Testing

The left tail test is also known as the lower tail test. It is used to check whether the population parameter is less than some value. The hypotheses for this hypothesis testing can be written as follows:

\(H_{0}\): The population parameter is ≥ some value

\(H_{1}\): The population parameter is < some value.

The null hypothesis is rejected if the test statistic has a value lesser than the critical value.

Left Tail Hypothesis Testing

Two Tailed Hypothesis Testing

In this hypothesis testing method, the critical region lies on both sides of the sampling distribution. It is also known as a non - directional hypothesis testing method. The two-tailed test is used when it needs to be determined if the population parameter is assumed to be different than some value. The hypotheses can be set up as follows:

\(H_{0}\): the population parameter = some value

\(H_{1}\): the population parameter ≠ some value

The null hypothesis is rejected if the test statistic has a value that is not equal to the critical value.

Two Tail Hypothesis Testing

Hypothesis Testing Steps

Hypothesis testing can be easily performed in five simple steps. The most important step is to correctly set up the hypotheses and identify the right method for hypothesis testing. The basic steps to perform hypothesis testing are as follows:

  • Step 1: Set up the null hypothesis by correctly identifying whether it is the left-tailed, right-tailed, or two-tailed hypothesis testing.
  • Step 2: Set up the alternative hypothesis.
  • Step 3: Choose the correct significance level, \(\alpha\), and find the critical value.
  • Step 4: Calculate the correct test statistic (z, t or \(\chi\)) and p-value.
  • Step 5: Compare the test statistic with the critical value or compare the p-value with \(\alpha\) to arrive at a conclusion. In other words, decide if the null hypothesis is to be rejected or not.

Hypothesis Testing Example

The best way to solve a problem on hypothesis testing is by applying the 5 steps mentioned in the previous section. Suppose a researcher claims that the mean average weight of men is greater than 100kgs with a standard deviation of 15kgs. 30 men are chosen with an average weight of 112.5 Kgs. Using hypothesis testing, check if there is enough evidence to support the researcher's claim. The confidence interval is given as 95%.

Step 1: This is an example of a right-tailed test. Set up the null hypothesis as \(H_{0}\): \(\mu\) = 100.

Step 2: The alternative hypothesis is given by \(H_{1}\): \(\mu\) > 100.

Step 3: As this is a one-tailed test, \(\alpha\) = 100% - 95% = 5%. This can be used to determine the critical value.

1 - \(\alpha\) = 1 - 0.05 = 0.95

0.95 gives the required area under the curve. Now using a normal distribution table, the area 0.95 is at z = 1.645. A similar process can be followed for a t-test. The only additional requirement is to calculate the degrees of freedom given by n - 1.

Step 4: Calculate the z test statistic. This is because the sample size is 30. Furthermore, the sample and population means are known along with the standard deviation.

z = \(\frac{\overline{x}-\mu}{\frac{\sigma}{\sqrt{n}}}\).

\(\mu\) = 100, \(\overline{x}\) = 112.5, n = 30, \(\sigma\) = 15

z = \(\frac{112.5-100}{\frac{15}{\sqrt{30}}}\) = 4.56

Step 5: Conclusion. As 4.56 > 1.645 thus, the null hypothesis can be rejected.

Hypothesis Testing and Confidence Intervals

Confidence intervals form an important part of hypothesis testing. This is because the alpha level can be determined from a given confidence interval. Suppose a confidence interval is given as 95%. Subtract the confidence interval from 100%. This gives 100 - 95 = 5% or 0.05. This is the alpha value of a one-tailed hypothesis testing. To obtain the alpha value for a two-tailed hypothesis testing, divide this value by 2. This gives 0.05 / 2 = 0.025.

Related Articles:

  • Probability and Statistics
  • Data Handling

Important Notes on Hypothesis Testing

  • Hypothesis testing is a technique that is used to verify whether the results of an experiment are statistically significant.
  • It involves the setting up of a null hypothesis and an alternate hypothesis.
  • There are three types of tests that can be conducted under hypothesis testing - z test, t test, and chi square test.
  • Hypothesis testing can be classified as right tail, left tail, and two tail tests.

Examples on Hypothesis Testing

  • Example 1: The average weight of a dumbbell in a gym is 90lbs. However, a physical trainer believes that the average weight might be higher. A random sample of 5 dumbbells with an average weight of 110lbs and a standard deviation of 18lbs. Using hypothesis testing check if the physical trainer's claim can be supported for a 95% confidence level. Solution: As the sample size is lesser than 30, the t-test is used. \(H_{0}\): \(\mu\) = 90, \(H_{1}\): \(\mu\) > 90 \(\overline{x}\) = 110, \(\mu\) = 90, n = 5, s = 18. \(\alpha\) = 0.05 Using the t-distribution table, the critical value is 2.132 t = \(\frac{\overline{x}-\mu}{\frac{s}{\sqrt{n}}}\) t = 2.484 As 2.484 > 2.132, the null hypothesis is rejected. Answer: The average weight of the dumbbells may be greater than 90lbs
  • Example 2: The average score on a test is 80 with a standard deviation of 10. With a new teaching curriculum introduced it is believed that this score will change. On random testing, the score of 38 students, the mean was found to be 88. With a 0.05 significance level, is there any evidence to support this claim? Solution: This is an example of two-tail hypothesis testing. The z test will be used. \(H_{0}\): \(\mu\) = 80, \(H_{1}\): \(\mu\) ≠ 80 \(\overline{x}\) = 88, \(\mu\) = 80, n = 36, \(\sigma\) = 10. \(\alpha\) = 0.05 / 2 = 0.025 The critical value using the normal distribution table is 1.96 z = \(\frac{\overline{x}-\mu}{\frac{\sigma}{\sqrt{n}}}\) z = \(\frac{88-80}{\frac{10}{\sqrt{36}}}\) = 4.8 As 4.8 > 1.96, the null hypothesis is rejected. Answer: There is a difference in the scores after the new curriculum was introduced.
  • Example 3: The average score of a class is 90. However, a teacher believes that the average score might be lower. The scores of 6 students were randomly measured. The mean was 82 with a standard deviation of 18. With a 0.05 significance level use hypothesis testing to check if this claim is true. Solution: The t test will be used. \(H_{0}\): \(\mu\) = 90, \(H_{1}\): \(\mu\) < 90 \(\overline{x}\) = 110, \(\mu\) = 90, n = 6, s = 18 The critical value from the t table is -2.015 t = \(\frac{\overline{x}-\mu}{\frac{s}{\sqrt{n}}}\) t = \(\frac{82-90}{\frac{18}{\sqrt{6}}}\) t = -1.088 As -1.088 > -2.015, we fail to reject the null hypothesis. Answer: There is not enough evidence to support the claim.

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FAQs on Hypothesis Testing

What is hypothesis testing.

Hypothesis testing in statistics is a tool that is used to make inferences about the population data. It is also used to check if the results of an experiment are valid.

What is the z Test in Hypothesis Testing?

The z test in hypothesis testing is used to find the z test statistic for normally distributed data . The z test is used when the standard deviation of the population is known and the sample size is greater than or equal to 30.

What is the t Test in Hypothesis Testing?

The t test in hypothesis testing is used when the data follows a student t distribution . It is used when the sample size is less than 30 and standard deviation of the population is not known.

What is the formula for z test in Hypothesis Testing?

The formula for a one sample z test in hypothesis testing is z = \(\frac{\overline{x}-\mu}{\frac{\sigma}{\sqrt{n}}}\) and for two samples is z = \(\frac{(\overline{x_{1}}-\overline{x_{2}})-(\mu_{1}-\mu_{2})}{\sqrt{\frac{\sigma_{1}^{2}}{n_{1}}+\frac{\sigma_{2}^{2}}{n_{2}}}}\).

What is the p Value in Hypothesis Testing?

The p value helps to determine if the test results are statistically significant or not. In hypothesis testing, the null hypothesis can either be rejected or not rejected based on the comparison between the p value and the alpha level.

What is One Tail Hypothesis Testing?

When the rejection region is only on one side of the distribution curve then it is known as one tail hypothesis testing. The right tail test and the left tail test are two types of directional hypothesis testing.

What is the Alpha Level in Two Tail Hypothesis Testing?

To get the alpha level in a two tail hypothesis testing divide \(\alpha\) by 2. This is done as there are two rejection regions in the curve.

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  • Indian J Crit Care Med
  • v.23(Suppl 3); 2019 Sep

An Introduction to Statistics: Understanding Hypothesis Testing and Statistical Errors

Priya ranganathan.

1 Department of Anesthesiology, Critical Care and Pain, Tata Memorial Hospital, Mumbai, Maharashtra, India

2 Department of Surgical Oncology, Tata Memorial Centre, Mumbai, Maharashtra, India

The second article in this series on biostatistics covers the concepts of sample, population, research hypotheses and statistical errors.

How to cite this article

Ranganathan P, Pramesh CS. An Introduction to Statistics: Understanding Hypothesis Testing and Statistical Errors. Indian J Crit Care Med 2019;23(Suppl 3):S230–S231.

Two papers quoted in this issue of the Indian Journal of Critical Care Medicine report. The results of studies aim to prove that a new intervention is better than (superior to) an existing treatment. In the ABLE study, the investigators wanted to show that transfusion of fresh red blood cells would be superior to standard-issue red cells in reducing 90-day mortality in ICU patients. 1 The PROPPR study was designed to prove that transfusion of a lower ratio of plasma and platelets to red cells would be superior to a higher ratio in decreasing 24-hour and 30-day mortality in critically ill patients. 2 These studies are known as superiority studies (as opposed to noninferiority or equivalence studies which will be discussed in a subsequent article).

SAMPLE VERSUS POPULATION

A sample represents a group of participants selected from the entire population. Since studies cannot be carried out on entire populations, researchers choose samples, which are representative of the population. This is similar to walking into a grocery store and examining a few grains of rice or wheat before purchasing an entire bag; we assume that the few grains that we select (the sample) are representative of the entire sack of grains (the population).

The results of the study are then extrapolated to generate inferences about the population. We do this using a process known as hypothesis testing. This means that the results of the study may not always be identical to the results we would expect to find in the population; i.e., there is the possibility that the study results may be erroneous.

HYPOTHESIS TESTING

A clinical trial begins with an assumption or belief, and then proceeds to either prove or disprove this assumption. In statistical terms, this belief or assumption is known as a hypothesis. Counterintuitively, what the researcher believes in (or is trying to prove) is called the “alternate” hypothesis, and the opposite is called the “null” hypothesis; every study has a null hypothesis and an alternate hypothesis. For superiority studies, the alternate hypothesis states that one treatment (usually the new or experimental treatment) is superior to the other; the null hypothesis states that there is no difference between the treatments (the treatments are equal). For example, in the ABLE study, we start by stating the null hypothesis—there is no difference in mortality between groups receiving fresh RBCs and standard-issue RBCs. We then state the alternate hypothesis—There is a difference between groups receiving fresh RBCs and standard-issue RBCs. It is important to note that we have stated that the groups are different, without specifying which group will be better than the other. This is known as a two-tailed hypothesis and it allows us to test for superiority on either side (using a two-sided test). This is because, when we start a study, we are not 100% certain that the new treatment can only be better than the standard treatment—it could be worse, and if it is so, the study should pick it up as well. One tailed hypothesis and one-sided statistical testing is done for non-inferiority studies, which will be discussed in a subsequent paper in this series.

STATISTICAL ERRORS

There are two possibilities to consider when interpreting the results of a superiority study. The first possibility is that there is truly no difference between the treatments but the study finds that they are different. This is called a Type-1 error or false-positive error or alpha error. This means falsely rejecting the null hypothesis.

The second possibility is that there is a difference between the treatments and the study does not pick up this difference. This is called a Type 2 error or false-negative error or beta error. This means falsely accepting the null hypothesis.

The power of the study is the ability to detect a difference between groups and is the converse of the beta error; i.e., power = 1-beta error. Alpha and beta errors are finalized when the protocol is written and form the basis for sample size calculation for the study. In an ideal world, we would not like any error in the results of our study; however, we would need to do the study in the entire population (infinite sample size) to be able to get a 0% alpha and beta error. These two errors enable us to do studies with realistic sample sizes, with the compromise that there is a small possibility that the results may not always reflect the truth. The basis for this will be discussed in a subsequent paper in this series dealing with sample size calculation.

Conventionally, type 1 or alpha error is set at 5%. This means, that at the end of the study, if there is a difference between groups, we want to be 95% certain that this is a true difference and allow only a 5% probability that this difference has occurred by chance (false positive). Type 2 or beta error is usually set between 10% and 20%; therefore, the power of the study is 90% or 80%. This means that if there is a difference between groups, we want to be 80% (or 90%) certain that the study will detect that difference. For example, in the ABLE study, sample size was calculated with a type 1 error of 5% (two-sided) and power of 90% (type 2 error of 10%) (1).

Table 1 gives a summary of the two types of statistical errors with an example

Statistical errors

(a) Types of statistical errors
: Null hypothesis is
TrueFalse
Null hypothesis is actuallyTrueCorrect results!Falsely rejecting null hypothesis - Type I error
FalseFalsely accepting null hypothesis - Type II errorCorrect results!
(b) Possible statistical errors in the ABLE trial
There is difference in mortality between groups receiving fresh RBCs and standard-issue RBCsThere difference in mortality between groups receiving fresh RBCs and standard-issue RBCs
TruthThere is difference in mortality between groups receiving fresh RBCs and standard-issue RBCsCorrect results!Falsely rejecting null hypothesis - Type I error
There difference in mortality between groups receiving fresh RBCs and standard-issue RBCsFalsely accepting null hypothesis - Type II errorCorrect results!

In the next article in this series, we will look at the meaning and interpretation of ‘ p ’ value and confidence intervals for hypothesis testing.

Source of support: Nil

Conflict of interest: None

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What Is Hypothesis Testing?

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Hypothesis Testing: 4 Steps and Example

hypothesis testing definition in statistics

Hypothesis testing, sometimes called significance testing, is an act in statistics whereby an analyst tests an assumption regarding a population parameter. The methodology employed by the analyst depends on the nature of the data used and the reason for the analysis.

Hypothesis testing is used to assess the plausibility of a hypothesis by using sample data. Such data may come from a larger population or a data-generating process. The word "population" will be used for both of these cases in the following descriptions.

Key Takeaways

  • Hypothesis testing is used to assess the plausibility of a hypothesis by using sample data.
  • The test provides evidence concerning the plausibility of the hypothesis, given the data.
  • Statistical analysts test a hypothesis by measuring and examining a random sample of the population being analyzed.
  • The four steps of hypothesis testing include stating the hypotheses, formulating an analysis plan, analyzing the sample data, and analyzing the result.

How Hypothesis Testing Works

In hypothesis testing, an  analyst  tests a statistical sample, intending to provide evidence on the plausibility of the null hypothesis. Statistical analysts measure and examine a random sample of the population being analyzed. All analysts use a random population sample to test two different hypotheses: the null hypothesis and the alternative hypothesis.

The null hypothesis is usually a hypothesis of equality between population parameters; e.g., a null hypothesis may state that the population mean return is equal to zero. The alternative hypothesis is effectively the opposite of a null hypothesis. Thus, they are mutually exclusive , and only one can be true. However, one of the two hypotheses will always be true.

The null hypothesis is a statement about a population parameter, such as the population mean, that is assumed to be true.

  • State the hypotheses.
  • Formulate an analysis plan, which outlines how the data will be evaluated.
  • Carry out the plan and analyze the sample data.
  • Analyze the results and either reject the null hypothesis, or state that the null hypothesis is plausible, given the data.

Example of Hypothesis Testing

If an individual wants to test that a penny has exactly a 50% chance of landing on heads, the null hypothesis would be that 50% is correct, and the alternative hypothesis would be that 50% is not correct. Mathematically, the null hypothesis is represented as Ho: P = 0.5. The alternative hypothesis is shown as "Ha" and is identical to the null hypothesis, except with the equal sign struck-through, meaning that it does not equal 50%.

A random sample of 100 coin flips is taken, and the null hypothesis is tested. If it is found that the 100 coin flips were distributed as 40 heads and 60 tails, the analyst would assume that a penny does not have a 50% chance of landing on heads and would reject the null hypothesis and accept the alternative hypothesis.

If there were 48 heads and 52 tails, then it is plausible that the coin could be fair and still produce such a result. In cases such as this where the null hypothesis is "accepted," the analyst states that the difference between the expected results (50 heads and 50 tails) and the observed results (48 heads and 52 tails) is "explainable by chance alone."

When Did Hypothesis Testing Begin?

Some statisticians attribute the first hypothesis tests to satirical writer John Arbuthnot in 1710, who studied male and female births in England after observing that in nearly every year, male births exceeded female births by a slight proportion. Arbuthnot calculated that the probability of this happening by chance was small, and therefore it was due to “divine providence.”

What are the Benefits of Hypothesis Testing?

Hypothesis testing helps assess the accuracy of new ideas or theories by testing them against data. This allows researchers to determine whether the evidence supports their hypothesis, helping to avoid false claims and conclusions. Hypothesis testing also provides a framework for decision-making based on data rather than personal opinions or biases. By relying on statistical analysis, hypothesis testing helps to reduce the effects of chance and confounding variables, providing a robust framework for making informed conclusions.

What are the Limitations of Hypothesis Testing?

Hypothesis testing relies exclusively on data and doesn’t provide a comprehensive understanding of the subject being studied. Additionally, the accuracy of the results depends on the quality of the available data and the statistical methods used. Inaccurate data or inappropriate hypothesis formulation may lead to incorrect conclusions or failed tests. Hypothesis testing can also lead to errors, such as analysts either accepting or rejecting a null hypothesis when they shouldn’t have. These errors may result in false conclusions or missed opportunities to identify significant patterns or relationships in the data.

Hypothesis testing refers to a statistical process that helps researchers determine the reliability of a study. By using a well-formulated hypothesis and set of statistical tests, individuals or businesses can make inferences about the population that they are studying and draw conclusions based on the data presented. All hypothesis testing methods have the same four-step process, which includes stating the hypotheses, formulating an analysis plan, analyzing the sample data, and analyzing the result.

Sage. " Introduction to Hypothesis Testing ," Page 4.

Elder Research. " Who Invented the Null Hypothesis? "

Formplus. " Hypothesis Testing: Definition, Uses, Limitations and Examples ."

hypothesis testing definition in statistics

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Hypothesis Testing

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A hypothesis test is a statistical inference method used to test the significance of a proposed (hypothesized) relation between population statistics (parameters) and their corresponding sample estimators . In other words, hypothesis tests are used to determine if there is enough evidence in a sample to prove a hypothesis true for the entire population.

The test considers two hypotheses: the null hypothesis , which is a statement meant to be tested, usually something like "there is no effect" with the intention of proving this false, and the alternate hypothesis , which is the statement meant to stand after the test is performed. The two hypotheses must be mutually exclusive ; moreover, in most applications, the two are complementary (one being the negation of the other). The test works by comparing the \(p\)-value to the level of significance (a chosen target). If the \(p\)-value is less than or equal to the level of significance, then the null hypothesis is rejected.

When analyzing data, only samples of a certain size might be manageable as efficient computations. In some situations the error terms follow a continuous or infinite distribution, hence the use of samples to suggest accuracy of the chosen test statistics. The method of hypothesis testing gives an advantage over guessing what distribution or which parameters the data follows.

Definitions and Methodology

Hypothesis test and confidence intervals.

In statistical inference, properties (parameters) of a population are analyzed by sampling data sets. Given assumptions on the distribution, i.e. a statistical model of the data, certain hypotheses can be deduced from the known behavior of the model. These hypotheses must be tested against sampled data from the population.

The null hypothesis \((\)denoted \(H_0)\) is a statement that is assumed to be true. If the null hypothesis is rejected, then there is enough evidence (statistical significance) to accept the alternate hypothesis \((\)denoted \(H_1).\) Before doing any test for significance, both hypotheses must be clearly stated and non-conflictive, i.e. mutually exclusive, statements. Rejecting the null hypothesis, given that it is true, is called a type I error and it is denoted \(\alpha\), which is also its probability of occurrence. Failing to reject the null hypothesis, given that it is false, is called a type II error and it is denoted \(\beta\), which is also its probability of occurrence. Also, \(\alpha\) is known as the significance level , and \(1-\beta\) is known as the power of the test. \(H_0\) \(\textbf{is true}\)\(\hspace{15mm}\) \(H_0\) \(\textbf{is false}\) \(\textbf{Reject}\) \(H_0\)\(\hspace{10mm}\) Type I error Correct Decision \(\textbf{Reject}\) \(H_1\) Correct Decision Type II error The test statistic is the standardized value following the sampled data under the assumption that the null hypothesis is true, and a chosen particular test. These tests depend on the statistic to be studied and the assumed distribution it follows, e.g. the population mean following a normal distribution. The \(p\)-value is the probability of observing an extreme test statistic in the direction of the alternate hypothesis, given that the null hypothesis is true. The critical value is the value of the assumed distribution of the test statistic such that the probability of making a type I error is small.
Methodologies: Given an estimator \(\hat \theta\) of a population statistic \(\theta\), following a probability distribution \(P(T)\), computed from a sample \(\mathcal{S},\) and given a significance level \(\alpha\) and test statistic \(t^*,\) define \(H_0\) and \(H_1;\) compute the test statistic \(t^*.\) \(p\)-value Approach (most prevalent): Find the \(p\)-value using \(t^*\) (right-tailed). If the \(p\)-value is at most \(\alpha,\) reject \(H_0\). Otherwise, reject \(H_1\). Critical Value Approach: Find the critical value solving the equation \(P(T\geq t_\alpha)=\alpha\) (right-tailed). If \(t^*>t_\alpha\), reject \(H_0\). Otherwise, reject \(H_1\). Note: Failing to reject \(H_0\) only means inability to accept \(H_1\), and it does not mean to accept \(H_0\).
Assume a normally distributed population has recorded cholesterol levels with various statistics computed. From a sample of 100 subjects in the population, the sample mean was 214.12 mg/dL (milligrams per deciliter), with a sample standard deviation of 45.71 mg/dL. Perform a hypothesis test, with significance level 0.05, to test if there is enough evidence to conclude that the population mean is larger than 200 mg/dL. Hypothesis Test We will perform a hypothesis test using the \(p\)-value approach with significance level \(\alpha=0.05:\) Define \(H_0\): \(\mu=200\). Define \(H_1\): \(\mu>200\). Since our values are normally distributed, the test statistic is \(z^*=\frac{\bar X - \mu_0}{\frac{s}{\sqrt{n}}}=\frac{214.12 - 200}{\frac{45.71}{\sqrt{100}}}\approx 3.09\). Using a standard normal distribution, we find that our \(p\)-value is approximately \(0.001\). Since the \(p\)-value is at most \(\alpha=0.05,\) we reject \(H_0\). Therefore, we can conclude that the test shows sufficient evidence to support the claim that \(\mu\) is larger than \(200\) mg/dL.

If the sample size was smaller, the normal and \(t\)-distributions behave differently. Also, the question itself must be managed by a double-tail test instead.

Assume a population's cholesterol levels are recorded and various statistics are computed. From a sample of 25 subjects, the sample mean was 214.12 mg/dL (milligrams per deciliter), with a sample standard deviation of 45.71 mg/dL. Perform a hypothesis test, with significance level 0.05, to test if there is enough evidence to conclude that the population mean is not equal to 200 mg/dL. Hypothesis Test We will perform a hypothesis test using the \(p\)-value approach with significance level \(\alpha=0.05\) and the \(t\)-distribution with 24 degrees of freedom: Define \(H_0\): \(\mu=200\). Define \(H_1\): \(\mu\neq 200\). Using the \(t\)-distribution, the test statistic is \(t^*=\frac{\bar X - \mu_0}{\frac{s}{\sqrt{n}}}=\frac{214.12 - 200}{\frac{45.71}{\sqrt{25}}}\approx 1.54\). Using a \(t\)-distribution with 24 degrees of freedom, we find that our \(p\)-value is approximately \(2(0.068)=0.136\). We have multiplied by two since this is a two-tailed argument, i.e. the mean can be smaller than or larger than. Since the \(p\)-value is larger than \(\alpha=0.05,\) we fail to reject \(H_0\). Therefore, the test does not show sufficient evidence to support the claim that \(\mu\) is not equal to \(200\) mg/dL.

The complement of the rejection on a two-tailed hypothesis test (with significance level \(\alpha\)) for a population parameter \(\theta\) is equivalent to finding a confidence interval \((\)with confidence level \(1-\alpha)\) for the population parameter \(\theta\). If the assumption on the parameter \(\theta\) falls inside the confidence interval, then the test has failed to reject the null hypothesis \((\)with \(p\)-value greater than \(\alpha).\) Otherwise, if \(\theta\) does not fall in the confidence interval, then the null hypothesis is rejected in favor of the alternate \((\)with \(p\)-value at most \(\alpha).\)

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Unit 12: Significance tests (hypothesis testing)

About this unit.

Significance tests give us a formal process for using sample data to evaluate the likelihood of some claim about a population value. Learn how to conduct significance tests and calculate p-values to see how likely a sample result is to occur by random chance. You'll also see how we use p-values to make conclusions about hypotheses.

The idea of significance tests

  • Simple hypothesis testing (Opens a modal)
  • Idea behind hypothesis testing (Opens a modal)
  • Examples of null and alternative hypotheses (Opens a modal)
  • P-values and significance tests (Opens a modal)
  • Comparing P-values to different significance levels (Opens a modal)
  • Estimating a P-value from a simulation (Opens a modal)
  • Using P-values to make conclusions (Opens a modal)
  • Simple hypothesis testing Get 3 of 4 questions to level up!
  • Writing null and alternative hypotheses Get 3 of 4 questions to level up!
  • Estimating P-values from simulations Get 3 of 4 questions to level up!

Error probabilities and power

  • Introduction to Type I and Type II errors (Opens a modal)
  • Type 1 errors (Opens a modal)
  • Examples identifying Type I and Type II errors (Opens a modal)
  • Introduction to power in significance tests (Opens a modal)
  • Examples thinking about power in significance tests (Opens a modal)
  • Consequences of errors and significance (Opens a modal)
  • Type I vs Type II error Get 3 of 4 questions to level up!
  • Error probabilities and power Get 3 of 4 questions to level up!

Tests about a population proportion

  • Constructing hypotheses for a significance test about a proportion (Opens a modal)
  • Conditions for a z test about a proportion (Opens a modal)
  • Reference: Conditions for inference on a proportion (Opens a modal)
  • Calculating a z statistic in a test about a proportion (Opens a modal)
  • Calculating a P-value given a z statistic (Opens a modal)
  • Making conclusions in a test about a proportion (Opens a modal)
  • Writing hypotheses for a test about a proportion Get 3 of 4 questions to level up!
  • Conditions for a z test about a proportion Get 3 of 4 questions to level up!
  • Calculating the test statistic in a z test for a proportion Get 3 of 4 questions to level up!
  • Calculating the P-value in a z test for a proportion Get 3 of 4 questions to level up!
  • Making conclusions in a z test for a proportion Get 3 of 4 questions to level up!

Tests about a population mean

  • Writing hypotheses for a significance test about a mean (Opens a modal)
  • Conditions for a t test about a mean (Opens a modal)
  • Reference: Conditions for inference on a mean (Opens a modal)
  • When to use z or t statistics in significance tests (Opens a modal)
  • Example calculating t statistic for a test about a mean (Opens a modal)
  • Using TI calculator for P-value from t statistic (Opens a modal)
  • Using a table to estimate P-value from t statistic (Opens a modal)
  • Comparing P-value from t statistic to significance level (Opens a modal)
  • Free response example: Significance test for a mean (Opens a modal)
  • Writing hypotheses for a test about a mean Get 3 of 4 questions to level up!
  • Conditions for a t test about a mean Get 3 of 4 questions to level up!
  • Calculating the test statistic in a t test for a mean Get 3 of 4 questions to level up!
  • Calculating the P-value in a t test for a mean Get 3 of 4 questions to level up!
  • Making conclusions in a t test for a mean Get 3 of 4 questions to level up!

More significance testing videos

  • Hypothesis testing and p-values (Opens a modal)
  • One-tailed and two-tailed tests (Opens a modal)
  • Z-statistics vs. T-statistics (Opens a modal)
  • Small sample hypothesis test (Opens a modal)
  • Large sample proportion hypothesis testing (Opens a modal)

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Hypothesis testing is a form of statistical inference that uses data from a sample to draw conclusions about a population parameter or a population probability distribution . First, a tentative assumption is made about the parameter or distribution. This assumption is called the null hypothesis and is denoted by H 0 . An alternative hypothesis (denoted H a ), which is the opposite of what is stated in the null hypothesis, is then defined. The hypothesis-testing procedure involves using sample data to determine whether or not H 0 can be rejected. If H 0 is rejected, the statistical conclusion is that the alternative hypothesis H a is true.

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For example, assume that a radio station selects the music it plays based on the assumption that the average age of its listening audience is 30 years. To determine whether this assumption is valid, a hypothesis test could be conducted with the null hypothesis given as H 0 : μ = 30 and the alternative hypothesis given as H a : μ ≠ 30. Based on a sample of individuals from the listening audience, the sample mean age, x̄ , can be computed and used to determine whether there is sufficient statistical evidence to reject H 0 . Conceptually, a value of the sample mean that is “close” to 30 is consistent with the null hypothesis, while a value of the sample mean that is “not close” to 30 provides support for the alternative hypothesis. What is considered “close” and “not close” is determined by using the sampling distribution of x̄ .

Ideally, the hypothesis-testing procedure leads to the acceptance of H 0 when H 0 is true and the rejection of H 0 when H 0 is false. Unfortunately, since hypothesis tests are based on sample information, the possibility of errors must be considered. A type I error corresponds to rejecting H 0 when H 0 is actually true, and a type II error corresponds to accepting H 0 when H 0 is false. The probability of making a type I error is denoted by α, and the probability of making a type II error is denoted by β.

In using the hypothesis-testing procedure to determine if the null hypothesis should be rejected, the person conducting the hypothesis test specifies the maximum allowable probability of making a type I error, called the level of significance for the test. Common choices for the level of significance are α = 0.05 and α = 0.01. Although most applications of hypothesis testing control the probability of making a type I error, they do not always control the probability of making a type II error. A graph known as an operating-characteristic curve can be constructed to show how changes in the sample size affect the probability of making a type II error.

A concept known as the p -value provides a convenient basis for drawing conclusions in hypothesis-testing applications. The p -value is a measure of how likely the sample results are, assuming the null hypothesis is true; the smaller the p -value, the less likely the sample results. If the p -value is less than α, the null hypothesis can be rejected; otherwise, the null hypothesis cannot be rejected. The p -value is often called the observed level of significance for the test.

A hypothesis test can be performed on parameters of one or more populations as well as in a variety of other situations. In each instance, the process begins with the formulation of null and alternative hypotheses about the population. In addition to the population mean, hypothesis-testing procedures are available for population parameters such as proportions, variances , standard deviations , and medians .

Hypothesis tests are also conducted in regression and correlation analysis to determine if the regression relationship and the correlation coefficient are statistically significant (see below Regression and correlation analysis ). A goodness-of-fit test refers to a hypothesis test in which the null hypothesis is that the population has a specific probability distribution, such as a normal probability distribution. Nonparametric statistical methods also involve a variety of hypothesis-testing procedures.

The methods of statistical inference previously described are often referred to as classical methods. Bayesian methods (so called after the English mathematician Thomas Bayes ) provide alternatives that allow one to combine prior information about a population parameter with information contained in a sample to guide the statistical inference process. A prior probability distribution for a parameter of interest is specified first. Sample information is then obtained and combined through an application of Bayes’s theorem to provide a posterior probability distribution for the parameter. The posterior distribution provides the basis for statistical inferences concerning the parameter.

A key, and somewhat controversial, feature of Bayesian methods is the notion of a probability distribution for a population parameter. According to classical statistics, parameters are constants and cannot be represented as random variables. Bayesian proponents argue that, if a parameter value is unknown, then it makes sense to specify a probability distribution that describes the possible values for the parameter as well as their likelihood . The Bayesian approach permits the use of objective data or subjective opinion in specifying a prior distribution. With the Bayesian approach, different individuals might specify different prior distributions. Classical statisticians argue that for this reason Bayesian methods suffer from a lack of objectivity. Bayesian proponents argue that the classical methods of statistical inference have built-in subjectivity (through the choice of a sampling plan) and that the advantage of the Bayesian approach is that the subjectivity is made explicit.

Bayesian methods have been used extensively in statistical decision theory (see below Decision analysis ). In this context , Bayes’s theorem provides a mechanism for combining a prior probability distribution for the states of nature with sample information to provide a revised (posterior) probability distribution about the states of nature. These posterior probabilities are then used to make better decisions.

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Lesson 10 of 24 By Avijeet Biswal

What Is Hypothesis Testing in Statistics? Types and Examples

Table of Contents

In today’s data-driven world, decisions are based on data all the time. Hypothesis plays a crucial role in that process, whether it may be making business decisions, in the health sector, academia, or in quality improvement. Without hypothesis & hypothesis tests, you risk drawing the wrong conclusions and making bad decisions. In this tutorial, you will look at Hypothesis Testing in Statistics.

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The Ultimate Ticket to Top Data Science Job Roles

What Is Hypothesis Testing in Statistics?

Hypothesis Testing is a type of statistical analysis in which you put your assumptions about a population parameter to the test. It is used to estimate the relationship between 2 statistical variables.

Let's discuss few examples of statistical hypothesis from real-life - 

  • A teacher assumes that 60% of his college's students come from lower-middle-class families.
  • A doctor believes that 3D (Diet, Dose, and Discipline) is 90% effective for diabetic patients.

Now that you know about hypothesis testing, look at the two types of hypothesis testing in statistics.

Hypothesis Testing Formula

Z = ( x̅ – μ0 ) / (σ /√n)

  • Here, x̅ is the sample mean,
  • μ0 is the population mean,
  • σ is the standard deviation,
  • n is the sample size.

How Hypothesis Testing Works?

An analyst performs hypothesis testing on a statistical sample to present evidence of the plausibility of the null hypothesis. Measurements and analyses are conducted on a random sample of the population to test a theory. Analysts use a random population sample to test two hypotheses: the null and alternative hypotheses.

The null hypothesis is typically an equality hypothesis between population parameters; for example, a null hypothesis may claim that the population means return equals zero. The alternate hypothesis is essentially the inverse of the null hypothesis (e.g., the population means the return is not equal to zero). As a result, they are mutually exclusive, and only one can be correct. One of the two possibilities, however, will always be correct.

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Null Hypothesis and Alternative Hypothesis

The Null Hypothesis is the assumption that the event will not occur. A null hypothesis has no bearing on the study's outcome unless it is rejected.

H0 is the symbol for it, and it is pronounced H-naught.

The Alternate Hypothesis is the logical opposite of the null hypothesis. The acceptance of the alternative hypothesis follows the rejection of the null hypothesis. H1 is the symbol for it.

Let's understand this with an example.

A sanitizer manufacturer claims that its product kills 95 percent of germs on average. 

To put this company's claim to the test, create a null and alternate hypothesis.

H0 (Null Hypothesis): Average = 95%.

Alternative Hypothesis (H1): The average is less than 95%.

Another straightforward example to understand this concept is determining whether or not a coin is fair and balanced. The null hypothesis states that the probability of a show of heads is equal to the likelihood of a show of tails. In contrast, the alternate theory states that the probability of a show of heads and tails would be very different.

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Hypothesis Testing Calculation With Examples

Let's consider a hypothesis test for the average height of women in the United States. Suppose our null hypothesis is that the average height is 5'4". We gather a sample of 100 women and determine that their average height is 5'5". The standard deviation of population is 2.

To calculate the z-score, we would use the following formula:

z = ( x̅ – μ0 ) / (σ /√n)

z = (5'5" - 5'4") / (2" / √100)

z = 0.5 / (0.045)

We will reject the null hypothesis as the z-score of 11.11 is very large and conclude that there is evidence to suggest that the average height of women in the US is greater than 5'4".

Steps in Hypothesis Testing

Hypothesis testing is a statistical method to determine if there is enough evidence in a sample of data to infer that a certain condition is true for the entire population. Here’s a breakdown of the typical steps involved in hypothesis testing:

Formulate Hypotheses

  • Null Hypothesis (H0): This hypothesis states that there is no effect or difference, and it is the hypothesis you attempt to reject with your test.
  • Alternative Hypothesis (H1 or Ha): This hypothesis is what you might believe to be true or hope to prove true. It is usually considered the opposite of the null hypothesis.

Choose the Significance Level (α)

The significance level, often denoted by alpha (α), is the probability of rejecting the null hypothesis when it is true. Common choices for α are 0.05 (5%), 0.01 (1%), and 0.10 (10%).

Select the Appropriate Test

Choose a statistical test based on the type of data and the hypothesis. Common tests include t-tests, chi-square tests, ANOVA, and regression analysis. The selection depends on data type, distribution, sample size, and whether the hypothesis is one-tailed or two-tailed.

Collect Data

Gather the data that will be analyzed in the test. This data should be representative of the population to infer conclusions accurately.

Calculate the Test Statistic

Based on the collected data and the chosen test, calculate a test statistic that reflects how much the observed data deviates from the null hypothesis.

Determine the p-value

The p-value is the probability of observing test results at least as extreme as the results observed, assuming the null hypothesis is correct. It helps determine the strength of the evidence against the null hypothesis.

Make a Decision

Compare the p-value to the chosen significance level:

  • If the p-value ≤ α: Reject the null hypothesis, suggesting sufficient evidence in the data supports the alternative hypothesis.
  • If the p-value > α: Do not reject the null hypothesis, suggesting insufficient evidence to support the alternative hypothesis.

Report the Results

Present the findings from the hypothesis test, including the test statistic, p-value, and the conclusion about the hypotheses.

Perform Post-hoc Analysis (if necessary)

Depending on the results and the study design, further analysis may be needed to explore the data more deeply or to address multiple comparisons if several hypotheses were tested simultaneously.

Types of Hypothesis Testing

To determine whether a discovery or relationship is statistically significant, hypothesis testing uses a z-test. It usually checks to see if two means are the same (the null hypothesis). Only when the population standard deviation is known and the sample size is 30 data points or more, can a z-test be applied.

A statistical test called a t-test is employed to compare the means of two groups. To determine whether two groups differ or if a procedure or treatment affects the population of interest, it is frequently used in hypothesis testing.

Chi-Square 

You utilize a Chi-square test for hypothesis testing concerning whether your data is as predicted. To determine if the expected and observed results are well-fitted, the Chi-square test analyzes the differences between categorical variables from a random sample. The test's fundamental premise is that the observed values in your data should be compared to the predicted values that would be present if the null hypothesis were true.

Hypothesis Testing and Confidence Intervals

Both confidence intervals and hypothesis tests are inferential techniques that depend on approximating the sample distribution. Data from a sample is used to estimate a population parameter using confidence intervals. Data from a sample is used in hypothesis testing to examine a given hypothesis. We must have a postulated parameter to conduct hypothesis testing.

Bootstrap distributions and randomization distributions are created using comparable simulation techniques. The observed sample statistic is the focal point of a bootstrap distribution, whereas the null hypothesis value is the focal point of a randomization distribution.

A variety of feasible population parameter estimates are included in confidence ranges. In this lesson, we created just two-tailed confidence intervals. There is a direct connection between these two-tail confidence intervals and these two-tail hypothesis tests. The results of a two-tailed hypothesis test and two-tailed confidence intervals typically provide the same results. In other words, a hypothesis test at the 0.05 level will virtually always fail to reject the null hypothesis if the 95% confidence interval contains the predicted value. A hypothesis test at the 0.05 level will nearly certainly reject the null hypothesis if the 95% confidence interval does not include the hypothesized parameter.

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Simple and Composite Hypothesis Testing

Depending on the population distribution, you can classify the statistical hypothesis into two types.

Simple Hypothesis: A simple hypothesis specifies an exact value for the parameter.

Composite Hypothesis: A composite hypothesis specifies a range of values.

A company is claiming that their average sales for this quarter are 1000 units. This is an example of a simple hypothesis.

Suppose the company claims that the sales are in the range of 900 to 1000 units. Then this is a case of a composite hypothesis.

One-Tailed and Two-Tailed Hypothesis Testing

The One-Tailed test, also called a directional test, considers a critical region of data that would result in the null hypothesis being rejected if the test sample falls into it, inevitably meaning the acceptance of the alternate hypothesis.

In a one-tailed test, the critical distribution area is one-sided, meaning the test sample is either greater or lesser than a specific value.

In two tails, the test sample is checked to be greater or less than a range of values in a Two-Tailed test, implying that the critical distribution area is two-sided.

If the sample falls within this range, the alternate hypothesis will be accepted, and the null hypothesis will be rejected.

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Right Tailed Hypothesis Testing

If the larger than (>) sign appears in your hypothesis statement, you are using a right-tailed test, also known as an upper test. Or, to put it another way, the disparity is to the right. For instance, you can contrast the battery life before and after a change in production. Your hypothesis statements can be the following if you want to know if the battery life is longer than the original (let's say 90 hours):

  • The null hypothesis is (H0 <= 90) or less change.
  • A possibility is that battery life has risen (H1) > 90.

The crucial point in this situation is that the alternate hypothesis (H1), not the null hypothesis, decides whether you get a right-tailed test.

Left Tailed Hypothesis Testing

Alternative hypotheses that assert the true value of a parameter is lower than the null hypothesis are tested with a left-tailed test; they are indicated by the asterisk "<".

Suppose H0: mean = 50 and H1: mean not equal to 50

According to the H1, the mean can be greater than or less than 50. This is an example of a Two-tailed test.

In a similar manner, if H0: mean >=50, then H1: mean <50

Here the mean is less than 50. It is called a One-tailed test.

Type 1 and Type 2 Error

A hypothesis test can result in two types of errors.

Type 1 Error: A Type-I error occurs when sample results reject the null hypothesis despite being true.

Type 2 Error: A Type-II error occurs when the null hypothesis is not rejected when it is false, unlike a Type-I error.

Suppose a teacher evaluates the examination paper to decide whether a student passes or fails.

H0: Student has passed

H1: Student has failed

Type I error will be the teacher failing the student [rejects H0] although the student scored the passing marks [H0 was true]. 

Type II error will be the case where the teacher passes the student [do not reject H0] although the student did not score the passing marks [H1 is true].

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Limitations of Hypothesis Testing

Hypothesis testing has some limitations that researchers should be aware of:

  • It cannot prove or establish the truth: Hypothesis testing provides evidence to support or reject a hypothesis, but it cannot confirm the absolute truth of the research question.
  • Results are sample-specific: Hypothesis testing is based on analyzing a sample from a population, and the conclusions drawn are specific to that particular sample.
  • Possible errors: During hypothesis testing, there is a chance of committing type I error (rejecting a true null hypothesis) or type II error (failing to reject a false null hypothesis).
  • Assumptions and requirements: Different tests have specific assumptions and requirements that must be met to accurately interpret results.

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After reading this tutorial, you would have a much better understanding of hypothesis testing, one of the most important concepts in the field of Data Science . The majority of hypotheses are based on speculation about observed behavior, natural phenomena, or established theories.

If you are interested in statistics of data science and skills needed for such a career, you ought to explore the Post Graduate Program in Data Science.

If you have any questions regarding this ‘Hypothesis Testing In Statistics’ tutorial, do share them in the comment section. Our subject matter expert will respond to your queries. Happy learning!

1. What is hypothesis testing in statistics with example?

Hypothesis testing is a statistical method used to determine if there is enough evidence in a sample data to draw conclusions about a population. It involves formulating two competing hypotheses, the null hypothesis (H0) and the alternative hypothesis (Ha), and then collecting data to assess the evidence. An example: testing if a new drug improves patient recovery (Ha) compared to the standard treatment (H0) based on collected patient data.

2. What is H0 and H1 in statistics?

In statistics, H0​ and H1​ represent the null and alternative hypotheses. The null hypothesis, H0​, is the default assumption that no effect or difference exists between groups or conditions. The alternative hypothesis, H1​, is the competing claim suggesting an effect or a difference. Statistical tests determine whether to reject the null hypothesis in favor of the alternative hypothesis based on the data.

3. What is a simple hypothesis with an example?

A simple hypothesis is a specific statement predicting a single relationship between two variables. It posits a direct and uncomplicated outcome. For example, a simple hypothesis might state, "Increased sunlight exposure increases the growth rate of sunflowers." Here, the hypothesis suggests a direct relationship between the amount of sunlight (independent variable) and the growth rate of sunflowers (dependent variable), with no additional variables considered.

4. What are the 3 major types of hypothesis?

The three major types of hypotheses are:

  • Null Hypothesis (H0): Represents the default assumption, stating that there is no significant effect or relationship in the data.
  • Alternative Hypothesis (Ha): Contradicts the null hypothesis and proposes a specific effect or relationship that researchers want to investigate.
  • Nondirectional Hypothesis: An alternative hypothesis that doesn't specify the direction of the effect, leaving it open for both positive and negative possibilities.

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About the Author

Avijeet Biswal

Avijeet is a Senior Research Analyst at Simplilearn. Passionate about Data Analytics, Machine Learning, and Deep Learning, Avijeet is also interested in politics, cricket, and football.

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Hypothesis tests #

Formal hypothesis testing is perhaps the most prominent and widely-employed form of statistical analysis. It is sometimes seen as the most rigorous and definitive part of a statistical analysis, but it is also the source of many statistical controversies. The currently-prevalent approach to hypothesis testing dates to developments that took place between 1925 and 1940, especially the work of Ronald Fisher , Jerzy Neyman , and Egon Pearson .

In recent years, many prominent statisticians have argued that less emphasis should be placed on the formal hypothesis testing approaches developed in the early twentieth century, with a correspondingly greater emphasis on other forms of uncertainty analysis. Our goal here is to give an overview of some of the well-established and widely-used approaches for hypothesis testing. We will also provide some perspectives on how these tools can be effectively used, and discuss their limitations. We will also discuss some new approaches to hypothesis testing that may eventually come to be as prominent as these classical approaches.

A falsifiable hypothesis is a statement, or hypothesis, that can be contradicted with evidence. In empirical (data-driven) research, this evidence will always be obtained through the data. In statistical hypothesis testing, the hypothesis that we formally test is called the null hypothesis . The alternative hypothesis is a second hypothesis that is our proposed explanation for what happens if the null hypothesis is wrong.

Test statistics #

The key element of a statistical hypothesis test is the test statistic , which (like any statistic) is a function of the data. A test statistic takes our entire dataset, and reduces it to one number. This one number ideally should contain all the information in the data that is relevant for assessing the two hypotheses of interest, and exclude any aspects of the data that are irrelevant for assessing the two hypotheses. The test statistic measures evidence against the null hypothesis. Most test statistics are constructed so that a value of zero represents the lowest possible level of evidence against the null hypothesis. Test statistic values that deviate from zero represent greater levels of evidence against the null hypothesis. The larger the magnitude of the test statistic, the stronger the evidence against the null hypothesis.

A major theme of statistical research is to devise effective ways to construct test statistics. Many useful ways to do this have been devised, and there is no single approach that is always the best. In this introductory course, we will focus on tests that starting with an estimate of a quantity that is relevant for assessing the hypotheses, then proceed by standardizing this estimate by dividing it by its standard error. This approach is sometimes referred to as “Wald testing”, after Abraham Wald .

Testing the equality of two proportions #

As a basic example, let’s consider risk perception related to COVID-19. As you will see below, hypothesis testing can appear at first to be a fairly elaborate exercise. Using this example, we describe each aspect of this exercise in detail below.

The data and research question #

The data shown below are simulated but are designed to reflect actual surveys conducted in the United States in March of 2020. Partipants were asked whether they perceive that they have a substantial risk of dying if they are infected with the novel coronavirus. The number of people stating each response, stratified on age, are shown below (only two age groups are shown):

High risk Not high risk
Age < 30 25 202
Age 60-69 30 124

Each subject’s response is binary – they either perceive themselves to be high risk, or not to be at high risk. When working with this type of data, we are usually interested in the proportion of people who provide each response within each stratum (age group). These are conditional proportions, conditioning on the age group. The numerical values of the conditional proportions are given below:

High risk Not high risk
Age < 30 0.110 0.890
Age 60-69 0.195 0.805

There are four conditional proportions in the table above – the proportion of younger people who perceive themselves to be at higher risk, 0.110=25/(25+202); the proportion of younger people who do not perceive themselves to be at high risk, 0.890=202/(25+202); the proportion of older people who perceive themselves to be at high risk 0.195=30/(30+124); and the proportion of older people who do not perceive themselves to be at high risk, 0.805=124/(30+124).

The trend in the data is that younger people perceive themselves to be at lower risk of dying than older people, by a difference of 0.195-0.110=0.085 (in terms of proportions). But is this trend only present in this sample, or is it generalizable to a broader population (say the entire US population)? That is the goal of conducting a statistical hypothesis test in this setting.

The population structure #

Corresponding to our data above is the unobserved population structure, which we can denote as follows

High risk Not high risk
Age < 30 \(p\) \(1-p\)
Age 60-69 \(q\) \(1-q\)

The symbols \(p\) and \(q\) in the table above are population parameters . These are quantitites that we do not know, and wish to assess using the data. In this case, our null hypothesis can be expressed as the statement \(p = q\) . We can estimate \(p\) using the sample proportion \(\hat{p} = 0.110\) , and similarly estimate \(q\) using \(\hat{q} = 0.195\) . However these estimates do not immediately provide us with a way of expressing the evidence relating to the hypothesis that \(p=q\) . This is provided by the test statistic.

A test statistic #

As noted above, a test statistic is a reduction of the data to one number that captures all of the relevant information for assessing the hypotheses. A natural first choice for a test statistic here would be the difference in sample proportions between the two age groups, which is 0.195 - 0.110 = 0.085. There is a difference of 0.085 between the perceived risks of death in the younger and older age groups.

The difference in rates (0.085) does not on its own make a good test statistic, although it is a good start toward obtaining one. The reason for this is that the evidence underlying this difference in rates depends also on the absolute rates (0.110 and 0.195), and on the sample sizes (227 and 154). If we only know that the difference in rates is 0.085, this is not sufficient to evaluate the hypothesis in a statistical manner. A given difference in rates is much stronger evidence if it is obtained from a larger sample. If we have a difference of 0.085 with a very large sample, say one million people, then we should be almost certain that the true rates differ (i.e. the data are highly incompatiable with the hypothesis that \(p=q\) ). If we have the same difference in rates of 0.085, but with a small sample, say 50 people per age group, then there would be almost no evidence for a true difference in the rates (i.e. the data are compatiable with the hypothesis \(p=q\) ).

To address this issue, we need to consider the uncertainty in the estimated rate difference, which is 0.085. Recall that the estimated rate difference is obtained from the sample and therefore is almost certain to deviate somewhat from the true rate difference in the population (which is unknown). Recall from our study of standard errors that the standard error for an estimated proportion is \(\sqrt{p(1-p)/n}\) , where \(p\) is the outcome probability (here the outcome is that a person perceives a high risk of dying), and \(n\) is the sample size.

In the present analysis, we are comparing two proportions, so we have two standard errors. The estimated standard error for the younger people is \(\sqrt{0.11\cdot 0.89/227} \approx 0.021\) . The estimated standard error for the older people is \(\sqrt{0.195\cdot 0.805/154} \approx 0.032\) . Note that both standard errors are estimated, rather than exact, because we are plugging in estimates of the rates (0.11 and 0.195). Also note that the standard error for the rate among older people is greater than that for younger people. This is because the sample size for older people is smaller, and also because the estimated rate for older people is closer to 1/2.

In our previous discussion of standard errors, we saw how standard errors for independent quantities \(A\) and \(B\) can be used to obtain the standard error for the difference \(A-B\) . Applying that result here, we see that the standard error for the estimated difference in rates 0.195-0.11=0.085 is \(\sqrt{0.021^2 + 0.032^2} \approx 0.038\) .

The final step in constructing our test statistic is to construct a Z-score from the estimated difference in rates. As with all Z-scores, we proceed by taking the estimated difference in rates, and then divide it by its standard error. Thus, we get a test statistic value of \(0.085 / 0.038 \approx 2.24\) .

A test statistic value of 2.24 is not very close to zero, so there is some evidence against the null hypothesis. But the strength of this evidence remains unclear. Thus, we must consider how to calibrate this evidence in a way that makes it more interpretable.

Calibrating the evidence in the test statistic #

By the central limit theorem (CLT), a Z-score approximately follows a normal distribution. When the null hypothesis holds, the Z-score approximately follows the standard normal distribution (recall that a standard normal distribution is a normal distribution with expected value equal to 0 and variance equal to 1). If the null hypothesis does not hold, then the test statistic continues to approximately follow a normal distribution, but it is not the standard normal distribution.

A test statistic of zero represents the least possible evidence against the null hypothesis. Here, we will obtain a test statistic of zero when the two proportions being compared are identical, i.e. exactly the same proportions of younger and older people perceive a substantial risk of dying from a disease. Even if the test statistic is exactly zero, this does not guarantee that the null hypothesis is true. However it is the least amount of evidence that the data can present against the null hypothesis.

In a hypothesis testing setting using normally-distrbuted Z-scores, as is the case here (due to the CLT), the standard normal distribution is the reference distribution for our test statistic. If the Z-score falls in the center of the reference distribution, there is no evidence against the null hypothesis. If the Z-score falls into either tail of the reference distribution, then there is evidence against the null distribution, and the further into the tails of the reference distribution the Z-score falls, the greater the evidence.

The most conventional way to quantify the evidence in our test statistic is through a probability called the p-value . The p-value has a somewhat complex definition that many people find difficult to grasp. It is the probability of observing as much or more evidence against the null hypothesis as we actually observe, calculated when the null hypothesis is assumed to be true. We will discuss some ways to think about this more intuitively below.

For our purposes, “evidence against the null hypothesis” is reflected in how far into the tails of the reference distribution the Z-score (test statistic) falls. We observed a test statistic of 2.24 in our COVID risk perception analysis. Recall that due to the “empirical rule”, 95% of the time, a draw from a standard normal distribution falls between -2 and 2. Thus, the p-value must be less than 0.05, since 2.24 falls outside this interval. The p-value can be calculated using a computer, in this case it happens to be approximately 0.025.

As stated above, the p-value tells us how likely it would be for us to obtain as much evidence against the the null hypothesis as we observed in our actual data analysis, if we were certain that the null hypothesis were true. When the null hypothesis holds, any evidence against the null hypothesis is spurious. Thus, we will want to see stronger evidence against the null from our actual analysis than we would see if we know that the null hypothesis were true. A smaller p-value therefore reflects more evidence against the null hypothesis than a larger p-value.

By convention, p-values of 0.05 or smaller are considered to represent sufficiently strong evidence against the null hypothesis to make a finding “statistically significant”. This threshold of 0.05 was chosen arbitrarily 100 years ago, and there is no objective reason for it. In recent years, people have argued that either a lesser or a greater p-value threshold should be used. But largely due to convention, the practice of deeming p-values smaller than 0.05 to be statistically significant continues.

Summary of this example #

Here is a restatement of the above discussion, using slightly different language. In our analysis of COVID risk perceptions, we found a difference in proportions of 0.085 between younger and older subjects, with younger people perceiving a lower risk of dying. This is a difference based on the sample of data that we observed, but what we really want to know is whether there is a difference in COVID risk perception in the population (say, all US adults).

Suppose that in fact there is no difference in risk perception between younger and older people. For instance, suppose that in the population, 15% of people believe that they have a substantial risk of dying should they become infected with the novel coronavirus, regardless of their age. Even though the rates are equal in this imaginary population (both being 15%), the rates in our sample would typically not be equal. Around 3% of the time (0.024=2.4% to be exact), if the rates are actually equal in the population, we would see a test statistic that is 2.4 or larger. Since 3% represents a fairly rare event, we can conclude that our observed data are not compatible with the null hypothesis. We can also say that there is statistically significant evidence against the null hypothesis, and that we have “rejected” the null hypothesis at the 3% level.

In this data analysis, as in any data analysis, we cannot confirm definitively that the alternative hypothesis is true. But based on our data and the analysis performed above, we can claim that there is substantial evidence against the null hypothesis, using standard criteria for what is considered to be “substantial evidence”.

Comparison of means #

A very common setting where hypothesis testing is used arises when we wish to compare the means of a quantitative measurement obtained for two populations. Imagine, for example, that we have two ways of manufacturing a battery, and we wish to assess which approach yields batteries that are longer-lasting in actual use. To do this, suppose we obtain data that tells us the number of charge cycles that were completed in 200 batteries of type A, and in 300 batteries of type B. For the test developed below to be meaningful, the data must be independent and identically distributed samples.

The raw data for this study consists of 500 numbers, but it turns out that the most relevant information from the data is contained in the sample means and sample standard deviations computed within each battery type. Note that this is a huge reduction in complexity, since we started with 500 measurements and are able to summarize this down to just four numbers.

Suppose the summary statistics are as follows, where \(\bar{x}\) , \(\hat{\sigma}_x\) , and \(n\) denote the sample mean, sample standard deviation, and sample size, respectively.

Type \(\bar{x}\) \(\hat{\sigma}_x\) \(n\)
420 70 200
403 90 300

The simplest measure comparing the two manufacturing approaches is the difference 420 - 403 = 17. That is, batteries of type A tend to have 17 more charge cycles compared to batteries of type B. This difference is present in our sample, but is it also true that the entire population of type A batteries has more charge cycles than the entire population of type B batteries? That is the goal of conducting a hypothesis test.

The next step in the present analysis is to divide the mean difference, which is 17, by its standard error. As we have seen, the standard error of the mean, or SEM, is \(\sigma/n\) , where \(\sigma\) is the standard deviation and \(n\) is the sample size. Since \(\sigma\) is almost never known, we plug in its estimate \(\hat{\sigma}\) . For the type A batteries, the estimated SEM is thus \(70/\sqrt{200} \approx 4.95\) , and for the type B batteries the estimated SEM is \(90/\sqrt{300} \approx 5.2\) .

Since we are comparing two estimated means that are obtained from independent samples, we can pool the standard deviations to obtain an overall standard deviation of \(\sqrt{4.95^2 + 5.2^2} \approx 7.18\) . We can now obtain our test statistic \(17/7.18 \approx 2.37\) .

The test statistic can be calibrated against a standard normal reference distribution. The probability of observing a standard normal value that is greater in magnitude than 2.37 is 0.018 (this can be obtained from a computer). This is the p-value, and since it is smaller than the conventional threshold of 0.05, we can claim that there is a statistically significant difference between the average number of charge cycles for the two types of batteries, with the A batteries having more charge cycles on average.

The analysis illustrated here is called a two independent samples Z-test , or just a two sample Z-test . It may be the most commonly employed of all statistical tests. It is also common to see the very similar two sample t-test , which is different only in that it uses the Student t distribution rather than the normal (Gaussian) distribution to calculate the p-values. In fact, there are quite a few minor variations on this testing framework, including “one sided” and “two sided” tests, and tests based on different ways of pooling the variance. Due to the CLT, if the sample size is modestly large (which is the case here), the results of all of these tests will be almost identical. For simplicity, we only cover the Z-test in this course.

Assessment of a correlation #

The tests for comparing proportions and means presented above are quite similar in many ways. To provide one more example of a hypothesis test that is somewhat different, we consider a test for a correlation coefficient.

Recall that the sample correlation coefficient \(\hat{r}\) is used to assess the relationship, or association, between two quantities X and Y that are measured on the same units. For example, we may ask whether two biomarkers, serum creatinine and D-dimer, are correlated with each other. These biomarkers are both commonly used in medical settings and are obtained using blood tests. D-dimer is used to assess whether a person has blood clots, and serum creatinine is used to measure kidney performance.

Suppose we are interested in whether there is a correlation in the population between D-dimer and serum creatinine. The population correlation coefficient between these two quantitites can be denoted \(r\) . Our null hypothesis is \(r=0\) . Suppose that we observe a sample correlation coefficient of \(\hat{r}=0.15\) , using an independent and identically distributed sample of pairs \((x, y)\) , where \(x\) is a D-dimer measurement and \(y\) is a serum creatinine measurement. Are these data consistent with the null hypothesis?

As above, we proceed by constructing a test statistic by taking the estimated statistic and dividing it by its standard error. The approximate standard error for \(\hat{r}\) is \(1/\sqrt{n}\) , where \(n\) is the sample size. The test statistic is therefore \(\sqrt{n}\cdot \hat{r} \approx 1.48\) .

We now calibrate this test statistic by comparing it to a standard normal reference distribution. Recall from the empirical rule that 5% of the time, a standard normal value falls outside the interval (-2, 2). Therefore, if the test statistic is smaller than 2 in magnitude, as is the case here, its p-value is greater than 0.05. Thus, in this case we know that the p-value will exceed 0.05 without calculating it, and therefore there is no basis for claiming that D-dimer and serum creatinine levels are correlated in this population.

Sampling properties of p-values #

A p-value is the most common way of calibrating evidence. Smaller p-values indicate stronger evidence against a null hypothesis. By convention, if the p-value is smaller than some threshold, usually 0.05, we reject the null hypothesis and declare a finding to be “statistically significant”. How can we understand more deeply what this means? One major concern should be obtaining a small p-value when the null hypothesis is true. If the null hypothesis is true, then it is incorrect to reject it. If we reject the null hypothesis, we are making a false claim. This can never be prevented with complete certainty, but we would like to have a very clear understanding of how likely it is to reject the null hypothesis when the null hypothesis is in fact true.

P-values have a special property that when the null distribution is true, the probability of observing a p-value smaller than 0.05 is 0.05 (5%). In fact, the probability of observing a p-value smaller than \(t\) is equal to \(t\) , for any threshold \(t\) . For example, the probability of observing a p-value smaller than 0.1, when the null hypothesis is true, is 10%.

This fact gives a more concrete understanding of how strong the evidence is for a particular p-value. If we always reject the null hypothesis when the p-value is 0.1 or smaller, then over the long run we will reject the null hypothesis 10% of the time when the null hypothesis is true. If we always reject the null hypothesis when the p-value is 0.05 or smaller, then over the long run we will reject the null hypothesis 5% of the time when the null hypothesis is true.

The approach to hypothesis testing discussed above largely follows the framework developed by RA Fisher around 1925. Note that although we mentioned the alternative hypothesis above, we never actually used it. A more elaborate approach to hypothesis testing was developed somewhat later by Egon Pearson and Jerzy Neyman. The “Neyman-Pearson” approach to hypothesis testing is even more formal than Fisher’s approach, and is most suited to highly planned research efforts in which the study is carefully designed, then executed. While ideally all research projects should be carried out this way, in reality we often conduct research using data that are already available, rather than using data that are specifically collected to address the research question.

Neyman-Pearson hypothesis testing involves specifying an alternative hypothesis that we anticipate encountering. Usually this alternative hypothesis represents a realistic guess about what we might find once the data are collected. In each of the three examples above, imagine that the data are not yet collected, and we are asked to specify an alternative hypothesis. We may arrive at the following:

In comparing risk perceptions for COVID, we may anticipate that older people will perceive a 30% risk of dying, and younger people will anticipate a 5% risk of dying.

In comparing the number of charge cycles for two types of batteries, we may anticipate that batter type A will have on average 500 charge cycles, and battery type B will have on average 400 charge cycles.

In assessing the correlation between D-dimer and serum creatinine levels, we may anticipate a correlation of 0.3.

Note that none of the numbers stated here are data-driven – they are specified before any data are collected, so they do not match the results from the data, which were collected only later. These alternative hypotheses are all essentially speculations, based perhaps on related data or theoretical considerations.

There are several benefits of specifying an explicit alternative hypothesis, as done here, even though it is not strictly necessary and can be avoided entirely by adopting Fisher’s approach to hypothesis testing. One benefit of specifying an alternative hypothesis is that we can use it to assess the power of our planned study, which can in turn inform the design of the study, in particular the sample size. The power is the probability of rejecting the null hypothesis when the alternative hypothesis is true. That is, it is the probability of discovering something real. The power should be contrasted with the level of a hypothesis test, which is the probability of rejecting the null hypothesis when the null hypothesis is true. That is, the level is the probability of “discovering” something that is not real.

To calculate the power, recall that for many of the test statistics that we are considering here, the test statistic has the form \(\hat{\theta}/{\rm SE}(\hat{\theta})\) , where \(\hat{\theta}\) is an estimate. For example, \(\hat{\theta}\) ) may be the correlation coefficient between D-dimer and serum creatinine levels. As stated above, the power is the probability of rejecting the null hypothesis when the alternative hypothesis is true. Suppose we decide to reject the null hypothesis when the test statistic is greater than 2, which is approximately equivalent to rejecting the null hypothesis when the p-value is less than 0.05. The following calculation tells us how to obtain the power in this setting:

Under the alternative hypothesis, \(\sqrt{n}(\hat{r} - r)\) approximately follows a standard normal distribution. Therefore, if \(r\) and \(n\) are given, we can easily use the computer to obtain the probability of observing a value greater than \(2 - \sqrt{n}r\) . This gives us the power of the test. For example, if we anticipate \(r=0.3\) and plan to collect data for \(n=100\) observations, the power is 0.84. This is generally considered to be good power – if the true value of \(r\) is in fact 0.3, we would reject the null hypothesis 84% of the time.

A study usually has poor power because it has too small of a sample size. Poorly powered studies can be very misleading, but since large sample sizes are expensive to collect, a lot of research is conducted using sample sizes that yield moderate or even low power. If a study has low power, it is unlikely to reject the null hypothesis even when the alternative hypothesis is true, but it remains possible to reject the null hypothesis when the null hypothesis is true (usually this probability is 5%). Therefore the most likely outcome of a poorly powered study may be an incorrectly rejected null hypothesis.

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Statistics By Jim

Making statistics intuitive

Test Statistic: Definition, Types & Formulas

By Jim Frost 10 Comments

What is a Test Statistic?

A test statistic assesses how consistent your sample data are with the null hypothesis in a hypothesis test. Test statistic calculations take your sample data and boil them down to a single number that quantifies how much your sample diverges from the null hypothesis. As a test statistic value becomes more extreme, it indicates larger differences between your sample data and the null hypothesis.

When your test statistic indicates a sufficiently large incompatibility with the null hypothesis, you can reject the null and state that your results are statistically significant—your data support the notion that the sample effect exists in the population . To use a test statistic to evaluate statistical significance, you either compare it to a critical value or use it to calculate the p-value .

Statisticians named the hypothesis tests after the test statistics because they’re the quantity that the tests actually evaluate. For example, t-tests assess t-values, F-tests evaluate F-values, and chi-square tests use, you guessed it, chi-square values.

In this post, learn about test statistics, how to calculate them, interpret them, and evaluate statistical significance using the critical value and p-value methods.

How to Find Test Statistics

Each test statistic has its own formula. I present several common test statistics examples below. To see worked examples for each one, click the links to my more detailed articles.

Formulas for Test Statistics

T-value for 1-sample t-test Take the sample mean, subtract the hypothesized mean, and divide by the .
T-value for 2-sample t-test Take one sample mean, subtract the other, and divide by the pooled standard deviation.
F-value for F-tests and ANOVA Calculate the ratio of two .
Chi-squared value (χ ) for a Chi-squared test Sum the squared differences between observed and expected values divided by the expected values.

Understanding the Null Values and the Test Statistic Formulas

In the formulas above, it’s helpful to understand the null condition and the test statistic value that occurs when your sample data match that condition exactly. Also, it’s worthwhile knowing what causes the test statistics to move further away from the null value, potentially becoming significant. Test statistics are statistically significant when they exceed a critical value.

All these test statistics are ratios, which helps you understand their null values.

T-Tests, Null = 0

When a t-value equals 0, it indicates that your sample data match the null hypothesis exactly.

For a 1-sample t-test, when the sample mean equals the hypothesized mean, the numerator is zero, which causes the entire t-value ratio to equal zero. As the sample mean moves away from the hypothesized mean in either the positive or negative direction, the test statistic moves away from zero in the same direction.

A similar case exists for 2-sample t-tests. When the two sample means are equal, the numerator is zero, and the entire test statistic ratio is zero. As the two sample means become increasingly different, the absolute value of the numerator increases, and the t-value becomes more positive or negative.

Related post : How T-tests Work

F-tests including ANOVA, Null = 1

When an F-value equals 1, it indicates that the two variances in the numerator and denominator are equal, matching the null hypothesis.

As the numerator and denominator become less and less similar, the F-value moves away from one in either direction.

Related post : The F-test in ANOVA

Chi-squared Tests, Null = 0

When a chi-squared value equals 0, it indicates that the observed values always match the expected values. This condition causes the numerator to equal zero, making the chi-squared value equal zero.

As the observed values progressively fail to match the expected values, the numerator increases, causing the test statistic to rise from zero.

Related post : How a Chi-Squared Test Works

You’ll never see a test statistic that equals the null value precisely in practice. However, trivial differences been sample values and the null value are not uncommon.

Interpreting Test Statistics

Test statistics are unitless. This fact can make them difficult to interpret on their own. You know they evaluate how well your data agree with the null hypothesis. If your test statistic is extreme enough, your data are so incompatible with the null hypothesis that you can reject it and conclude that your results are statistically significant. But how does that translate to specific values of your test statistic? Where do you draw the line?

For instance, t-values of zero match the null value. But how far from zero should your t-value be to be statistically significant? Is 1 enough? 2? 3? If your t-value is 2, what does it mean anyway? In this case, we know that the sample mean doesn’t equal the null value, but how exceptional is it? To complicate matters, the dividing line changes depending on your sample size and other study design issues.

Similar types of questions apply to the other test statistics too.

To interpret individual values of a test statistic, we need to place them in a larger context. Towards this end, let me introduce you to sampling distributions for test statistics!

Sampling Distributions for Test Statistics

Performing a hypothesis test on a sample produces a single test statistic. Now, imagine you carry out the following process:

  • Assume the null hypothesis is true in the population.
  • Repeat your study many times by drawing many random samples of the same size from this population.
  • Perform the same hypothesis test on all these samples and save the test statistics.
  • Plot the distribution of the test statistics.

This process produces the distribution of test statistic values that occurs when the effect does not exist in the population (i.e., the null hypothesis is true). Statisticians refer to this type of distribution as a sampling distribution, a kind of probability distribution.

Why would we need this type of distribution?

It provides the larger context required for interpreting a test statistic. More specifically, it allows us to compare our study’s single test statistic to values likely to occur when the null is true. We can quantify our sample statistic’s rareness while assuming the effect does not exist in the population. Now that’s helpful!

Fortunately, we don’t need to collect many random samples to create this distribution! Statisticians have developed formulas allowing us to estimate sampling distributions for test statistics using the sample data.

To evaluate your data’s compatibility with the null hypothesis, place your study’s test statistic in the distribution.

Related post : Understanding Probability Distributions

Example of a Test Statistic in a Sampling Distribution

Suppose our t-test produces a t-value of two. That’s our test statistic. Let’s see where it fits in.

The sampling distribution below shows a t-distribution with 20 degrees of freedom, equating to a 1-sample t-test with a sample size of 21. The distribution centers on zero because it assumes the null hypothesis is correct. When the null is true, your analysis is most likely to obtain a t-value near zero and less likely to produce t-values further from zero in either direction.

Sampling distribution for the t-value test statistic.

The sampling distribution indicates that our test statistic is somewhat rare when we assume the null hypothesis is correct. However, the chances of observing t-values from -2 to +2 are not totally inconceivable. We need a way to quantify the likelihood.

From this point, we need to use the sampling distributions’ ability to calculate probabilities for test statistics.

Related post : Sampling Distributions Explained

Test Statistics and Critical Values

The significance level uses critical values to define how far the test statistic must be from the null value to reject the null hypothesis. When the test statistic exceeds a critical value, the results are statistically significant.

The percentage of the area beneath the sampling distribution curve that is shaded represents the probability that the test statistic will fall in those regions when the null is true. Consequently, to depict a significance level of 0.05, I’ll shade 5% of the sampling distribution furthest away from the null value.

The two shaded areas are equidistant from the null value in the center. Each region has a likelihood of 0.025, which sums to our significance level of 0.05. These shaded areas are the critical regions for a two-tailed hypothesis test. Let’s return to our example t-value of 2.

Related post : What are Critical Values?

Sampling distribution that displays the critical values for our t-value.

In this example, the critical values are -2.086 and +2.086. Our test statistic of 2 is not statistically significant because it does not exceed the critical value.

Other hypothesis tests have their own test statistics and sampling distributions, but their processes for critical values are generally similar.

Learn how to find critical values for test statistics using tables:

  • T-distribution table
  • Chi-square table

Related post : Understanding Significance Levels

Using Test Statistics to Find P-values

P-values are the probability of observing an effect at least as extreme as your sample’s effect if you assume no effect exists in the population.

Test statistics represent effect sizes in hypothesis tests because they denote the difference between your sample effect and no effect —the null hypothesis. Consequently, you use the test statistic to calculate the p-value for your hypothesis test.

The above p-value definition is a bit tortuous. Fortunately, it’s much easier to understand how test statistics and p-values work together using a sampling distribution graph.

Let’s use our hypothetical test statistic t-value of 2 for this example. However, because I’m displaying the results of a two-tailed test, I need to use t-values of +2 and -2 to cover both tails.

Related post : One-tailed vs. Two-Tailed Hypothesis Tests

The graph below displays the probability of t-values less than -2 and greater than +2 using the area under the curve. This graph is specific to our t-test design (1-sample t-test with N = 21).

Graph of t-distribution that displays the probability for a t-value of 2.

The sampling distribution indicates that each of the two shaded regions has a probability of 0.02963—for a total of 0.05926. That’s the p-value! The graph shows that the test statistic falls within these areas almost 6% of the time when the null hypothesis is true in the population.

While this likelihood seems small, it’s not low enough to justify rejecting the null under the standard significance level of 0.05. P-value results are always consistent with the critical value method. Learn more about using test statistics to find p values .

While test statistics are a crucial part of hypothesis testing, you’ll probably let your statistical software calculate the p-value for the test. However, understanding test statistics will boost your comprehension of what a hypothesis test actually assesses.

Related post : Interpreting P-values

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July 5, 2024 at 8:21 am

“As the observed values progressively fail to match the observed values, the numerator increases, causing the test statistic to rise from zero”.

Sir, this sentence is written in the Chi-squared Test heading. There the observed value is written twice. I think the second one to be replaced with ‘expected values’.

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July 5, 2024 at 4:10 pm

Thanks so much, Dr. Raj. You’re correct about the typo and I’ve made the correction.

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May 9, 2024 at 1:40 am

Thank you very much (great page on one and two-tailed tests)!

May 6, 2024 at 12:17 pm

I would like to ask a question. If only positive numbers are the possible values in a sample (e.g. absolute values without 0), is it meaningful to test if the sample is significantly different from zero (using for example a one sample t-test or a Wilcoxon signed-rank test) or can I assume that if given a large enough sample, the result will by definition be significant (even if a small or very variable sample results in a non-significant hypothesis test).

Thank you very much,

May 6, 2024 at 4:35 pm

If you’re talking about the raw values you’re assessing using a one-sample t-test, it doesn’t make sense to compare them to zero given your description of the data. You know that the mean can’t possibly equal zero. The mean must be some positive value. Yes, in this scenario, if you have a large enough sample size, you should get statistically significant results. So, that t-test isn’t tell you anything that you don’t already know!

However, you should be aware of several things. The 1-sample test can compare your sample mean to values other than zero. Typically, you’ll need to specify the value of the null hypothesis for your software. This value is the comparison value. The test determines whether your sample data provide enough evidence to conclude that the population mean does not equal the null hypothesis value you specify. You’ll need to specify the value because there is no obvious default value to use. Every 1-sample t-test has its subject-area context with a value that makes sense for its null hypothesis value and it is frequently not zero.

I suspect that you’re getting tripped up with the fact that t-tests use a t-value of zero for its null hypothesis value. That doesn’t mean your 1-sample t-test is comparing your sample mean to zero. The test converts your data to a single t-value and compares the t-value to zero. But your actual null hypothesis value can be something else. It’s just converting your sample to a standardized value to use for testing. So, while the t-test compares your sample’s t-value to zero, you can actually compare your sample mean to any value you specify. You need to use a value that makes sense for your subject area.

I hope that makes sense!

May 8, 2024 at 8:37 am

Thank you very much Jim, this helps a lot! Actually, the value I would like to compare my sample to is zero, but I just couldn’t find the right way to test it apparently (it’s about EEG data). The original data was a sample of numbers between -1 and +1, with the question if they are significantly different from zero in either direction (in which case a one sample t-test makes sense I guess, since the sample mean can in fact be zero). However, since a sample mean of 0 can also occur if half of the sample differs in the negative, and the other half in the positive direction, I also wanted to test if there is a divergence from 0 in ‘absolute’ terms – that’s how the absolute valued numbers came about (I know that absolute values can also be zero, but in this specific case, they were all positive numbers) And a special thanks for the last paragraph – I will definitely keep in mind, it is a potential point of confusion.

May 8, 2024 at 8:33 pm

You can use a 1-sample t test for both cases but you’ll need to set them up slightly different. To detect a positive or negative difference from zero, use a 2-tailed test. For the case with absolute values, use a one-tailed test with a critical region in the positive end. To learn more, read about One- and Two-Tailed Tests Explained . Use zero for the comparison value in both cases.

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February 12, 2024 at 1:00 am

Very helpful and well articulated! Thanks Jim 🙂

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September 18, 2023 at 10:01 am

Thank you for brief explanation.

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July 25, 2022 at 8:32 am

the content was helpful to me. thank you

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  • Knowledge Base

Test statistics | Definition, Interpretation, and Examples

Published on July 17, 2020 by Rebecca Bevans . Revised on June 22, 2023.

The test statistic is a number calculated from a statistical test of a hypothesis. It shows how closely your observed data match the distribution expected under the null hypothesis of that statistical test.

The test statistic is used to calculate the p value of your results, helping to decide whether to reject your null hypothesis.

Table of contents

What exactly is a test statistic, types of test statistics, interpreting test statistics, reporting test statistics, other interesting articles, frequently asked questions about test statistics.

A test statistic describes how closely the distribution of your data matches the distribution predicted under the null hypothesis of the statistical test you are using.

The distribution of data is how often each observation occurs, and can be described by its central tendency and variation around that central tendency. Different statistical tests predict different types of distributions, so it’s important to choose the right statistical test for your hypothesis.

The test statistic summarizes your observed data into a single number using the central tendency, variation, sample size, and number of predictor variables in your statistical model.

Generally, the test statistic is calculated as the pattern in your data (i.e., the correlation between variables or difference between groups) divided by the variance in the data (i.e., the standard deviation ).

  • Null hypothesis ( H 0 ): There is no correlation between temperature and flowering date.
  • Alternate hypothesis ( H A or H 1 ): There is a correlation between temperature and flowering date.

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Below is a summary of the most common test statistics, their hypotheses, and the types of statistical tests that use them.

Different statistical tests will have slightly different ways of calculating these test statistics, but the underlying hypotheses and interpretations of the test statistic stay the same.

Test statistic Null and alternative hypotheses Statistical tests that use it
value The means of two groups are equal

The means of two groups are not equal

test
value The means of two groups are equal

The means of two groups are not equal

test
value The variation among two or more groups is greater than or equal to the variation between the groups

The variation among two or more groups is smaller than the variation between the groups

-value Two samples are independent

Two samples are not independent (i.e., they are correlated)

correlation tests

In practice, you will almost always calculate your test statistic using a statistical program (R, SPSS, Excel, etc.), which will also calculate the p value of the test statistic. However, formulas to calculate these statistics by hand can be found online.

  • a regression coefficient of 0.36
  • a t value comparing that coefficient to the predicted range of regression coefficients under the null hypothesis of no relationship

The t value of the regression test is 2.36 – this is your test statistic.

For any combination of sample sizes and number of predictor variables, a statistical test will produce a predicted distribution for the test statistic. This shows the most likely range of values that will occur if your data follows the null hypothesis of the statistical test.

The more extreme your test statistic – the further to the edge of the range of predicted test values it is – the less likely it is that your data could have been generated under the null hypothesis of that statistical test.

The agreement between your calculated test statistic and the predicted values is described by the p value . The smaller the p value, the less likely your test statistic is to have occurred under the null hypothesis of the statistical test.

Because the test statistic is generated from your observed data, this ultimately means that the smaller the p value, the less likely it is that your data could have occurred if the null hypothesis was true.

Test statistics can be reported in the results section of your research paper along with the sample size, p value of the test, and any characteristics of your data that will help to put these results into context.

Whether or not you need to report the test statistic depends on the type of test you are reporting.

Which statistics to report
Correlation and regression tests or regression coefficient for each predictor variable value for each predictor
Tests of difference between groups value for the test statistic

By surveying a random subset of 100 trees over 25 years we found a statistically significant ( p < 0.01) positive correlation between temperature and flowering dates ( R 2 = 0.36, SD = 0.057).

In our comparison of mouse diet A and mouse diet B, we found that the lifespan on diet A  ( M = 2.1 years; SD = 0.12) was significantly shorter than the lifespan on diet B ( M = 2.6 years; SD = 0.1), with an average difference of 6 months ( t (80) = -12.75; p < 0.01).

If you want to know more about statistics , methodology , or research bias , make sure to check out some of our other articles with explanations and examples.

  • Confidence interval
  • Descriptive statistics
  • Measures of central tendency
  • Correlation coefficient

Methodology

  • Cluster sampling
  • Stratified sampling
  • Types of interviews
  • Cohort study
  • Thematic analysis

Research bias

  • Implicit bias
  • Cognitive bias
  • Survivorship bias
  • Availability heuristic
  • Nonresponse bias
  • Regression to the mean

A test statistic is a number calculated by a  statistical test . It describes how far your observed data is from the  null hypothesis  of no relationship between  variables or no difference among sample groups.

The test statistic tells you how different two or more groups are from the overall population mean , or how different a linear slope is from the slope predicted by a null hypothesis . Different test statistics are used in different statistical tests.

The formula for the test statistic depends on the statistical test being used.

Generally, the test statistic is calculated as the pattern in your data (i.e. the correlation between variables or difference between groups) divided by the variance in the data (i.e. the standard deviation ).

The test statistic you use will be determined by the statistical test.

You can choose the right statistical test by looking at what type of data you have collected and what type of relationship you want to test.

The test statistic will change based on the number of observations in your data, how variable your observations are, and how strong the underlying patterns in the data are.

For example, if one data set has higher variability while another has lower variability, the first data set will produce a test statistic closer to the null hypothesis , even if the true correlation between two variables is the same in either data set.

Statistical significance is a term used by researchers to state that it is unlikely their observations could have occurred under the null hypothesis of a statistical test . Significance is usually denoted by a p -value , or probability value.

Statistical significance is arbitrary – it depends on the threshold, or alpha value, chosen by the researcher. The most common threshold is p < 0.05, which means that the data is likely to occur less than 5% of the time under the null hypothesis .

When the p -value falls below the chosen alpha value, then we say the result of the test is statistically significant.

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  • Encyclopedia ›
  • Statistical hypothesis testing

Definition Statistical hypothesis testing

Statistical hypothesis testing (also 'confirmatory data analysis') is used in inferential statistics to either confirm or falsify a hypothesis  based on empirical observations .

An example: It is assumed, that  people in the US, over time, are getting older (on average). In this case, the hypothesis to be confirmed is: 'the  average age of people in the US is rising'. This is called the alternative hypothesis , whereas the current opinion 'the average age of people in the US stays the same' is called the null hypothesis . The goal of a statistical test would be to either verify of falsify the alternative hypothesis.

In hypothesis testing, we differentiate between parametric and non-parametric tests. In parametric tests we compare location  and dispersion parameters of two samples and check for compliance. Examples for parametric tests are the t-test ,  f-test  and the χ2-test. In nonparametric tests on the other hand, no assumptions about probability distributions of the population which is being assessed are being made. Examples are the  Kolmogorov-Smirnov test, the chi-square test and the  Shapiro-Wilk test.

Performing hypothesis tests: In order to perform statistical hypothesis testing, we first have to collect the according empirical data  (for example: age reached of 100 people, born in 1900 and 1920 respectively). Depending on the hypothesis made and the resulting test procedure, a mathematically defined test statistic (f-statistic, t-statistic, …) is deducted from the observed data. Based on this value, we can determine whether the null hypothesis can be rejected or not – accounting for a specified rate of reliability (1- error probability). The null hypothesis should only be rejected based on a very low probability of error (p≤5%). Since errors when verifying or falsifying hypotheses cannot be generally excluded, errors of the first kind (=a true null hypothesis is incorrectly rejected, also: type I error) and errors of the second kind (= a true alternative hypothesis is incorrectly rejected, also: type II errors) are usually explicitly specified.

Please note that the definitions in our statistics encyclopedia are simplified explanations of terms. Our goal is to make the definitions accessible for a broad audience; thus it is possible that some definitions do not adhere entirely to scientific standards.

  • Supervised learning
  • Subjective and objective propability
  • Statistical unit
  • Statistical significance
  • Standard deviation
  • Spurious correlation
  • Social desirability bias
  • Simple moving average
  • Selection method
  • Secondary data
  • Sample survey

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  1. Hypothesis Testing

    Step 5: Present your findings. The results of hypothesis testing will be presented in the results and discussion sections of your research paper, dissertation or thesis.. In the results section you should give a brief summary of the data and a summary of the results of your statistical test (for example, the estimated difference between group means and associated p-value).

  2. Hypothesis Testing: Uses, Steps & Example

    Formulate the Hypotheses: Write your research hypotheses as a null hypothesis (H 0) and an alternative hypothesis (H A).; Data Collection: Gather data specifically aimed at testing the hypothesis.; Conduct A Test: Use a suitable statistical test to analyze your data.; Make a Decision: Based on the statistical test results, decide whether to reject the null hypothesis or fail to reject it.

  3. 9.1: Introduction to Hypothesis Testing

    In hypothesis testing, the goal is to see if there is sufficient statistical evidence to reject a presumed null hypothesis in favor of a conjectured alternative hypothesis.The null hypothesis is usually denoted \(H_0\) while the alternative hypothesis is usually denoted \(H_1\). An hypothesis test is a statistical decision; the conclusion will either be to reject the null hypothesis in favor ...

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    A statistical hypothesis test is a method of statistical inference used to decide whether the data sufficiently support a particular hypothesis. A statistical hypothesis test typically involves a calculation of a test statistic. Then a decision is made, either by comparing the test statistic to a critical value or equivalently by evaluating a p ...

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    Hypothesis testing is a tool for making statistical inferences about the population data. It is an analysis tool that tests assumptions and determines how likely something is within a given standard of accuracy. Hypothesis testing provides a way to verify whether the results of an experiment are valid. A null hypothesis and an alternative ...

  6. Introduction to Hypothesis Testing

    A statistical hypothesis is an assumption about a population parameter.. For example, we may assume that the mean height of a male in the U.S. is 70 inches. The assumption about the height is the statistical hypothesis and the true mean height of a male in the U.S. is the population parameter.. A hypothesis test is a formal statistical test we use to reject or fail to reject a statistical ...

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    HYPOTHESIS TESTING. A clinical trial begins with an assumption or belief, and then proceeds to either prove or disprove this assumption. In statistical terms, this belief or assumption is known as a hypothesis. Counterintuitively, what the researcher believes in (or is trying to prove) is called the "alternate" hypothesis, and the opposite ...

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    Hypothesis testing is a form of inferential statistics that allows us to draw conclusions about an entire population based on a representative sample. You gain tremendous benefits by working with a sample. In most cases, it is simply impossible to observe the entire population to understand its properties.

  9. Hypothesis Testing: 4 Steps and Example

    Hypothesis testing is an act in statistics whereby an analyst tests an assumption regarding a population parameter. The methodology employed by the analyst depends on the nature of the data used ...

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    A hypothesis test is a statistical inference method used to test the significance of a proposed (hypothesized) relation between population statistics (parameters) and their corresponding sample estimators. In other words, hypothesis tests are used to determine if there is enough evidence in a sample to prove a hypothesis true for the entire population. The test considers two hypotheses: the ...

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    Components of a Formal Hypothesis Test. The null hypothesis is a statement about the value of a population parameter, such as the population mean (µ) or the population proportion (p).It contains the condition of equality and is denoted as H 0 (H-naught).. H 0: µ = 157 or H0 : p = 0.37. The alternative hypothesis is the claim to be tested, the opposite of the null hypothesis.

  12. Significance tests (hypothesis testing)

    Significance tests give us a formal process for using sample data to evaluate the likelihood of some claim about a population value. Learn how to conduct significance tests and calculate p-values to see how likely a sample result is to occur by random chance. You'll also see how we use p-values to make conclusions about hypotheses.

  13. 8.1: The Elements of Hypothesis Testing

    Definition: statistical procedure. Hypothesis testing is a statistical procedure in which a choice is made between a null hypothesis and an alternative hypothesis based on information in a sample. The end result of a hypotheses testing procedure is a choice of one of the following two possible conclusions:

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    Statistics - Hypothesis Testing, Sampling, Analysis: Hypothesis testing is a form of statistical inference that uses data from a sample to draw conclusions about a population parameter or a population probability distribution. First, a tentative assumption is made about the parameter or distribution. This assumption is called the null hypothesis and is denoted by H0.

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    Hypothesis testing is a statistical method used to determine if there is enough evidence in a sample data to draw conclusions about a population. It involves formulating two competing hypotheses, the null hypothesis (H0) and the alternative hypothesis (Ha), and then collecting data to assess the evidence. ...

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    A statistical hypothesis test may return a value called p or the p-value. This is a quantity that we can use to interpret or quantify the result of the test and either reject or fail to reject the null hypothesis. This is done by comparing the p-value to a threshold value chosen beforehand called the significance level.

  17. Hypothesis Testing Articles

    What is Hypothesis Testing? Hypothesis testing in statistics uses sample data to infer the properties of a whole population.These tests determine whether a random sample provides sufficient evidence to conclude an effect or relationship exists in the population. Researchers use them to help separate genuine population-level effects from false effects that random chance can create in samples.

  18. Choosing the Right Statistical Test

    Statistical tests are used in hypothesis testing. They can be used to: ... Test statistics | Definition, Interpretation, and Examples The test statistic is a number, calculated from a statistical test, used to find if your data could have occurred under the null hypothesis. 255.

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    Hypothesis tests # Formal hypothesis testing is perhaps the most prominent and widely-employed form of statistical analysis. It is sometimes seen as the most rigorous and definitive part of a statistical analysis, but it is also the source of many statistical controversies. The currently-prevalent approach to hypothesis testing dates to developments that took place between 1925 and 1940 ...

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    Test statistics represent effect sizes in hypothesis tests because they denote the difference between your sample effect and no effect —the null hypothesis. Consequently, you use the test statistic to calculate the p-value for your hypothesis test. The above p-value definition is a bit tortuous.

  21. Test statistics

    The test statistic is a number calculated from a statistical test of a hypothesis. It shows how closely your observed data match the distribution expected under the null hypothesis of that statistical test. The test statistic is used to calculate the p value of your results, helping to decide whether to reject your null hypothesis.

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