Two sample t test  equal variances not assumed  overview
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Two sample $t$ test  equal variances not assumed
One way ANOVA
Friedman test
Chisquared test for the relationship between two categorical variables
One categorical with $I$ independent groups ($I \geqslant 2$)
One within subject factor ($\geq 2$ related groups)
One categorical with $I$ independent groups ($I \geqslant 2$)
2 paired groups
Dependent variable
Dependent variable
Dependent variable
Dependent /row variable
Dependent variable
One quantitative of interval or ratio level
One quantitative of interval or ratio level
One of ordinal level
One categorical with $J$ independent groups ($J \geqslant 2$)
One of ordinal level
Null hypothesis
Null hypothesis
Null hypothesis
Null hypothesis
Null hypothesis
H_{0}: $\mu_1 = \mu_2$
Here $\mu_1$ is the population mean for group 1, and $\mu_2$ is the population mean for group 2.
ANOVA $F$ test:
H_{0}: $\mu_1 = \mu_2 = \ldots = \mu_I$
$\mu_1$ is the population mean for group 1; $\mu_2$ is the population mean for group 2; $\mu_I$ is the population mean for group $I$
$t$ Test for contrast:
H_{0}: $\Psi = 0$
$\Psi$ is the population contrast, defined as $\Psi = \sum a_i\mu_i$. Here $\mu_i$ is the population mean for group $i$ and $a_i$ is the coefficient for $\mu_i$. The coefficients $a_i$ sum to 0.
$t$ Test multiple comparisons:
H_{0}: $\mu_g = \mu_h$
$\mu_g$ is the population mean for group $g$; $\mu_h$ is the population mean for group $h$
H_{0}: the population scores in any of the related groups are not systematically higher or lower than the population scores in any of the other related groups
Usually the related groups are the different measurement points. Several different formulations of the null hypothesis can be found in the literature, and we do not agree with all of them. Make sure you (also) learn the one that is given in your text book or by your teacher.
H_{0}: there is no association between the row and column variable
More precisely, if there are $I$ independent random samples of size $n_i$ from each of $I$ populations, defined by the independent variable:
H_{0}: the distribution of the dependent variable is the same in each of the $I$ populations
If there is one random sample of size $N$ from the total population:
H_{0}: the row and column variables are independent
H_{0}: P(first score of a pair exceeds second score of a pair) = P(second score of a pair exceeds first score of a pair)
If the dependent variable is measured on a continuous scale, this can also be formulated as:
H_{0}: the population median of the difference scores is equal to zero
A difference score is the difference between the first score of a pair and the second score of a pair.
Alternative hypothesis
Alternative hypothesis
Alternative hypothesis
Alternative hypothesis
Alternative hypothesis
H_{1} two sided: $\mu_1 \neq \mu_2$
H_{1} right sided: $\mu_1 > \mu_2$
H_{1} left sided: $\mu_1 < \mu_2$
ANOVA $F$ test:
H_{1}: not all population means are equal
$t$ Test for contrast:
H_{1} two sided: $\Psi \neq 0$
H_{1} right sided: $\Psi > 0$
H_{1} left sided: $\Psi < 0$
$t$ Test multiple comparisons:
H_{1}  usually two sided: $\mu_g \neq \mu_h$
H_{1}: the population scores in some of the related groups are systematically higher or lower than the population scores in other related groups
H_{1}: there is an association between the row and column variable
More precisely, if there are $I$ independent random samples of size $n_i$ from each of $I$ populations, defined by the independent variable:
H_{1}: the distribution of the dependent variable is not the same in all of the $I$ populations
If there is one random sample of size $N$ from the total population:
H_{1}: the row and column variables are dependent
H_{1} two sided: P(first score of a pair exceeds second score of a pair) $\neq$ P(second score of a pair exceeds first score of a pair)
H_{1} right sided: P(first score of a pair exceeds second score of a pair) > P(second score of a pair exceeds first score of a pair)
H_{1} left sided: P(first score of a pair exceeds second score of a pair) < P(second score of a pair exceeds first score of a pair)
If the dependent variable is measured on a continuous scale, this can also be formulated as:
H_{1} two sided: the population median of the difference scores is different from zero
H_{1} right sided: the population median of the difference scores is larger than zero
H_{1} left sided: the population median of the difference scores is smaller than zero
Assumptions
Assumptions
Assumptions
Assumptions
Assumptions
Within each population, the scores on the dependent variable are normally distributed
Group 1 sample is a simple random sample (SRS) from population 1, group 2 sample is an independent SRS from population 2. That is, within and between groups, observations are independent of one another
Within each population, the scores on the dependent variable are normally distributed
The standard deviation of the scores on the dependent variable is the same in each of the populations: $\sigma_1 = \sigma_2 = \ldots = \sigma_I$
Group 1 sample is a simple random sample (SRS) from population 1, group 2 sample is an independent SRS from population 2, $\ldots$, group $I$ sample is an independent SRS from population $I$. That is, within and between groups, observations are independent of one another
Sample of 'blocks' (usually the subjects) is a simple random sample from the population. That is, blocks are independent of one another
Sample size is large enough for $X^2$ to be approximately chisquared distributed under the null hypothesis. Rule of thumb:
2 $\times$ 2 table: all four expected cell counts are 5 or more
Larger than 2 $\times$ 2 tables: average of the expected cell counts is 5 or more, smallest expected cell count is 1 or more
There are $I$ independent simple random samples from each of $I$ populations defined by the independent variable, or there is one simple random sample from the total population
Sample of pairs is a simple random sample from the population of pairs. That is, pairs are independent of one another
Test statistic
Test statistic
Test statistic
Test statistic
Test statistic
$t = \dfrac{(\bar{y}_1  \bar{y}_2)  0}{\sqrt{\dfrac{s^2_1}{n_1} + \dfrac{s^2_2}{n_2}}} = \dfrac{\bar{y}_1  \bar{y}_2}{\sqrt{\dfrac{s^2_1}{n_1} + \dfrac{s^2_2}{n_2}}}$
Here $\bar{y}_1$ is the sample mean in group 1, $\bar{y}_2$ is the sample mean in group 2,
$s^2_1$ is the sample variance in group 1, $s^2_2$ is the sample variance in group 2,
$n_1$ is the sample size of group 1, and $n_2$ is the sample size of group 2. The 0 represents the difference in population means according to the null hypothesis.
Note: we could just as well compute $\bar{y}_2  \bar{y}_1$ in the numerator, but then the left sided alternative becomes $\mu_2 < \mu_1$, and the right sided alternative becomes $\mu_2 > \mu_1$.
ANOVA $F$ test:
$\begin{aligned}[t]
F &= \dfrac{\sum\nolimits_{subjects} (\mbox{subject's group mean}  \mbox{overall mean})^2 / (I  1)}{\sum\nolimits_{subjects} (\mbox{subject's score}  \mbox{its group mean})^2 / (N  I)}\\
&= \dfrac{\mbox{sum of squares between} / \mbox{degrees of freedom between}}{\mbox{sum of squares error} / \mbox{degrees of freedom error}}\\
&= \dfrac{\mbox{mean square between}}{\mbox{mean square error}}
\end{aligned}
$
where $N$ is the total sample size, and $I$ is the number of groups.
Note: mean square between is also known as mean square model, and mean square error is also known as mean square residual or mean square within.
$t$ Test for contrast:
$t = \dfrac{c}{s_p\sqrt{\sum \dfrac{a^2_i}{n_i}}}$
Here $c$ is the sample estimate of the population contrast $\Psi$: $c = \sum a_i\bar{y}_i$, with $\bar{y}_i$ the sample mean in group $i$. $s_p$ is the pooled standard deviation based on all the $I$ groups in the ANOVA, $a_i$ is the contrast coefficient for group $i$, and $n_i$ is the sample size of group $i$.
Note that if the contrast compares only two group means with each other, this $t$ statistic is very similar to the two sample $t$ statistic (assuming equal population standard deviations). In that case the only difference is that we now base the pooled standard deviation on all the $I$ groups, which affects the $t$ value if $I \geqslant 3$. It also affects the corresponding degrees of freedom.
$t$ Test multiple comparisons:
$t = \dfrac{\bar{y}_g  \bar{y}_h}{s_p\sqrt{\dfrac{1}{n_g} + \dfrac{1}{n_h}}}$
$\bar{y}_g$ is the sample mean in group $g$, $\bar{y}_h$ is the sample mean in group $h$,
$s_p$ is the pooled standard deviation based on all the $I$ groups in the ANOVA,
$n_g$ is the sample size of group $g$, and $n_h$ is the sample size of group $h$.
Note that this $t$ statistic is very similar to the two sample $t$ statistic (assuming equal population standard deviations). The only difference is that we now base the pooled standard deviation on all the $I$ groups, which affects the $t$ value if $I \geqslant 3$. It also affects the corresponding degrees of freedom.
Here $N$ is the number of 'blocks' (usually the subjects  so if you have 4 repeated measurements for 60 subjects, $N$ equals 60), $k$ is the number of related groups (usually the number of repeated measurements), and $R_i$ is the sum of ranks in group $i$.
Remember that multiplication precedes addition, so first compute $\frac{12}{N \times k(k + 1)} \times \sum R^2_i$ and then subtract $3 \times N(k + 1)$.
Note: if ties are present in the data, the formula for $Q$ is more complicated.
$X^2 = \sum{\frac{(\mbox{observed cell count}  \mbox{expected cell count})^2}{\mbox{expected cell count}}}$
Here for each cell, the expected cell count = $\dfrac{\mbox{row total} \times \mbox{column total}}{\mbox{total sample size}}$, the observed cell count is the observed sample count in that same cell, and the sum is over all $I \times J$ cells.
$W = $ number of difference scores that is larger than 0
Approximately the $t$ distribution with $k$ degrees of freedom, with $k$ equal to
$k = \dfrac{\Bigg(\dfrac{s^2_1}{n_1} + \dfrac{s^2_2}{n_2}\Bigg)^2}{\dfrac{1}{n_1  1} \Bigg(\dfrac{s^2_1}{n_1}\Bigg)^2 + \dfrac{1}{n_2  1} \Bigg(\dfrac{s^2_2}{n_2}\Bigg)^2}$
or
$k$ = the smaller of $n_1$  1 and $n_2$  1
First definition of $k$ is used by computer programs, second definition is often used for hand calculations.
Sampling distribution of $F$:
$F$ distribution with $I  1$ (df between, numerator) and $N  I$ (df error, denominator) degrees of freedom
Sampling distribution of $t$:
$t$ distribution with $N  I$ degrees of freedom
If the number of blocks $N$ is large, approximately the chisquared distribution with $k  1$ degrees of freedom.
For small samples, the exact distribution of
$Q$ should be used.
Approximately the chisquared distribution with $(I  1) \times (J  1)$ degrees of freedom
The exact distribution of $W$ under the null hypothesis is the Binomial($n$, $P$) distribution, with $n =$ number of positive differences $+$ number of negative differences, and $P = 0.5$.
If $n$ is large, $W$ is approximately normally distributed under the null hypothesis, with mean $nP = n \times 0.5$ and standard deviation $\sqrt{nP(1P)} = \sqrt{n \times 0.5(1  0.5)}$. Hence, if $n$ is large, the standardized test statistic
$$z = \frac{W  n \times 0.5}{\sqrt{n \times 0.5(1  0.5)}}$$
follows approximately the standard normal distribution if the null hypothesis were true.
Significant?
Significant?
Significant?
Significant?
Significant?
Two sided:
Check if $t$ observed in sample is at least as extreme as critical value $t^*$ or
Find two sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
Right sided:
Check if $t$ observed in sample is equal to or larger than critical value $t^*$ or
Find right sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
Left sided:
Check if $t$ observed in sample is equal to or smaller than critical value $t^*$ or
Find left sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
$F$ test:
Check if $F$ observed in sample is equal to or larger than critical value $F^*$ or
Find $p$ value corresponding to observed $F$ and check if it is equal to or smaller than $\alpha$ (e.g. .01 < $p$ < .025 when $F$ = 3.91, df between = 4, and df error = 20)
$t$ Test for contrast two sided:
Check if $t$ observed in sample is at least as extreme as critical value $t^*$ or
Find two sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
$t$ Test for contrast right sided:
Check if $t$ observed in sample is equal to or larger than critical value $t^*$ or
Find right sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
$t$ Test for contrast left sided:
Check if $t$ observed in sample is equal to or smaller than critical value $t^*$ or
Find left sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$
$t$ Test multiple comparisons two sided:
Check if $t$ observed in sample is at least as extreme as critical value $t^{**}$. Adapt $t^{**}$ according to a multiple comparison procedure (e.g., Bonferroni) or
Find two sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$. Adapt the $p$ value or $\alpha$ according to a multiple comparison procedure
$t$ Test multiple comparisons right sided
Check if $t$ observed in sample is equal to or larger than critical value $t^{**}$. Adapt $t^{**}$ according to a multiple comparison procedure (e.g., Bonferroni) or
Find right sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$. Adapt the $p$ value or $\alpha$ according to a multiple comparison procedure
$t$ Test multiple comparisons left sided
Check if $t$ observed in sample is equal to or smaller than critical value $t^{**}$. Adapt $t^{**}$ according to a multiple comparison procedure (e.g., Bonferroni) or
Find left sided $p$ value corresponding to observed $t$ and check if it is equal to or smaller than $\alpha$. Adapt the $p$ value or $\alpha$ according to a multiple comparison procedure
If the number of blocks $N$ is large, the table with critical $X^2$ values can be used. If we denote $X^2 = Q$:
Find $p$ value corresponding to observed $X^2$ and check if it is equal to or smaller than $\alpha$
If $n$ is small, the table for the binomial distribution should be used:
Two sided:
Check if $W$ observed in sample is in the rejection region or
Find two sided $p$ value corresponding to observed $W$ and check if it is equal to or smaller than $\alpha$
Right sided:
Check if $W$ observed in sample is in the rejection region or
Find right sided $p$ value corresponding to observed $W$ and check if it is equal to or smaller than $\alpha$
Left sided:
Check if $W$ observed in sample is in the rejection region or
Find left sided $p$ value corresponding to observed $W$ and check if it is equal to or smaller than $\alpha$
If $n$ is large, the table for standard normal probabilities can be used:
Two sided:
Check if $z$ observed in sample is at least as extreme as critical value $z^*$ or
Find two sided $p$ value corresponding to observed $z$ and check if it is equal to or smaller than $\alpha$
Right sided:
Check if $z$ observed in sample is equal to or larger than critical value $z^*$ or
Find right sided $p$ value corresponding to observed $z$ and check if it is equal to or smaller than $\alpha$
Left sided:
Check if $z$ observed in sample is equal to or smaller than critical value $z^*$ or
Find left sided $p$ value corresponding to observed $z$ and check if it is equal to or smaller than $\alpha$
Approximate $C\%$ confidence interval for $\mu_1  \mu_2$
$C\%$ confidence interval for $\Psi$, for $\mu_g  \mu_h$, and for $\mu_i$
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$(\bar{y}_1  \bar{y}_2) \pm t^* \times \sqrt{\dfrac{s^2_1}{n_1} + \dfrac{s^2_2}{n_2}}$
where the critical value $t^*$ is the value under the $t_{k}$ distribution with the area $C / 100$ between $t^*$ and $t^*$ (e.g. $t^*$ = 2.086 for a 95% confidence interval when df = 20).
$c \pm t^* \times s_p\sqrt{\sum \dfrac{a^2_i}{n_i}}$
where the critical value $t^*$ is the value under the $t_{N  I}$ distribution with the area $C / 100$ between $t^*$ and $t^*$ (e.g. $t^*$ = 2.086 for a 95% confidence interval when df = 20). Note that $n_i$ is the sample size of group $i$, and $N$ is the total sample size, based on all the $I$ groups.
Confidence interval for $\mu_g  \mu_h$ (multiple comparisons):
$(\bar{y}_g  \bar{y}_h) \pm t^{**} \times s_p\sqrt{\dfrac{1}{n_g} + \dfrac{1}{n_h}}$
where $t^{**}$ depends upon $C$, degrees of freedom ($N  I$), and the multiple comparison procedure. If you do not want to apply a multiple comparison procedure, $t^{**} = t^* = $ the value under the $t_{N  I}$ distribution with the area $C / 100$ between $t^*$ and $t^*$. Note that $n_g$ is the sample size of group $g$, $n_h$ is the sample size of group $h$, and $N$ is the total sample size, based on all the $I$ groups.
Confidence interval for single population mean $\mu_i$:
$\bar{y}_i \pm t^* \times \dfrac{s_p}{\sqrt{n_i}}$
where $\bar{y}_i$ is the sample mean in group $i$, $n_i$ is the sample size of group $i$, and the critical value $t^*$ is the value under the $t_{N  I}$ distribution with the area $C / 100$ between $t^*$ and $t^*$ (e.g. $t^*$ = 2.086 for a 95% confidence interval when df = 20). Note that $n_i$ is the sample size of group $i$, and $N$ is the total sample size, based on all the $I$ groups.



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Effect size
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Proportion variance explained $\eta^2$ and $R^2$:
Proportion variance of the dependent variable $y$ explained by the independent variable:
$$
\begin{align}
\eta^2 = R^2
&= \dfrac{\mbox{sum of squares between}}{\mbox{sum of squares total}}
\end{align}
$$
Only in one way ANOVA $\eta^2 = R^2.$ $\eta^2$ (and $R^2$) is the proportion variance explained in the sample. It is a positively biased estimate of the proportion variance explained in the population.
Proportion variance explained $\omega^2$:
Corrects for the positive bias in $\eta^2$ and is equal to:
$$\omega^2 = \frac{\mbox{sum of squares between}  \mbox{df between} \times \mbox{mean square error}}{\mbox{sum of squares total} + \mbox{mean square error}}$$
$\omega^2$ is a better estimate of the explained variance in the population than $\eta^2.$
Cohen's $d$:
Standardized difference between the mean in group $g$ and in group $h$:
$$d_{g,h} = \frac{\bar{y}_g  \bar{y}_h}{s_p}$$
Cohen's $d$ indicates how many standard deviations $s_p$ two sample means are removed from each other.
OLS regression with one categorical independent variable transformed into $I  1$ code variables:
$F$ test ANOVA is equivalent to $F$ test regression model
$t$ test for contrast $i$ is equivalent to $t$ test for regression coefficient $\beta_i$ (specific contrast tested depends on how the code variables are defined)
Is the average mental health score different between men and women?
Is the average mental health score different between people from a low, moderate, and high economic class?
Is there a difference in depression level between measurement point 1 (preintervention), measurement point 2 (1 week postintervention), and measurement point 3 (6 weeks postintervention)?
Is there an association between economic class and gender? Is the distribution of economic class different between men and women?
Do people tend to score higher on mental health after a mindfulness course?
SPSS
SPSS
SPSS
SPSS
SPSS
Analyze > Compare Means > IndependentSamples T Test...
Put your dependent (quantitative) variable in the box below Test Variable(s) and your independent (grouping) variable in the box below Grouping Variable
Click on the Define Groups... button. If you can't click on it, first click on the grouping variable so its background turns yellow
Fill in the value you have used to indicate your first group in the box next to Group 1, and the value you have used to indicate your second group in the box next to Group 2
Continue and click OK
Analyze > Compare Means > OneWay ANOVA...
Put your dependent (quantitative) variable in the box below Dependent List and your independent (grouping) variable in the box below Factor
or
Analyze > General Linear Model > Univariate...
Put your dependent (quantitative) variable in the box below Dependent Variable and your independent (grouping) variable in the box below Fixed Factor(s)
Analyze > Nonparametric Tests > Legacy Dialogs > K Related Samples...
Put the $k$ variables containing the scores for the $k$ related groups in the white box below Test Variables
Under Test Type, select the Friedman test
Analyze > Descriptive Statistics > Crosstabs...
Put one of your two categorical variables in the box below Row(s), and the other categorical variable in the box below Column(s)
Click the Statistics... button, and click on the square in front of Chisquare
Put the two paired variables in the boxes below Variable 1 and Variable 2
Under Test Type, select the Sign test
Jamovi
Jamovi
Jamovi
Jamovi
Jamovi
TTests > Independent Samples TTest
Put your dependent (quantitative) variable in the box below Dependent Variables and your independent (grouping) variable in the box below Grouping Variable
Under Tests, select Welch's
Under Hypothesis, select your alternative hypothesis
ANOVA > ANOVA
Put your dependent (quantitative) variable in the box below Dependent Variable and your independent (grouping) variable in the box below Fixed Factors
ANOVA > Repeated Measures ANOVA  Friedman
Put the $k$ variables containing the scores for the $k$ related groups in the box below Measures
Frequencies > Independent Samples  $\chi^2$ test of association
Put one of your two categorical variables in the box below Rows, and the other categorical variable in the box below Columns
Jamovi does not have a specific option for the sign test. However, you can do the Friedman test instead. The $p$ value resulting from this Friedman test is equivalent to the two sided $p$ value that would have resulted from the sign test. Go to:
ANOVA > Repeated Measures ANOVA  Friedman
Put the two paired variables in the box below Measures