问题如下:
Here is a table discribing sample statistics from two bonds' rate of return which are both normally distributed over the past decades. If an investor is considering whether the variance of bond A is greater than 3.24%,
which of the following conclusion is least appropriate (significant level=5%) ?
选项:
A.It is appropriate to use the F-test.
B.The hypothesis is :
C.It is appropraite to use the chi-square test.
解释:
A is correct.
The chi-square test is used to test hypotheses concerning a single population variance.
The null hypothesis can place in whatever you want to reject, so B is correct.
请问,χ²分布就是chi-square test吗? 讲义中只提到单个总体方差检验用χ²分布,没看到chi-square test? 是原版书里讲的吗?