Manuals/calci/ZTEST
ZTEST(ar, p,sigma)
Where 'ar' is the array or range of data, 'p' is the value to test and 'sigma' is the population (known) standard deviation.
This function returns the one-tailed probability-value of a z-test.
- ZTEST is calculated as follows when sigma is not omitted:
where 'ar' = array, ''p' = μ0
or when sigma is omitted:
where 'ar' = array, ''p' =-μ0
x is the sample mean AVERAGE(ar); s is the sample standard deviation STDEV(array); and n is the number of observations in the sample COUNT(array).
- The following formula can be used to compute the two-tailed probability that the sample mean would be further from 'p' ( μ0) than AVERAGE(ar), when the underlying population mean is μ0:
=2 * MIN(ZTEST(array,μ0,sigma), 1 - ZTEST(array,μ0,sigma)).
ZTEST
=ZTEST(B2:B8,4) is 0.0025
=2*MIN(ZTEST(B2:B8,4),1-ZTEST(B2:B8,4)) is 0.005
=ZTEST(B2:B8,6) is 0.427
=2*MIN(ZTEST(B2:B8,6),1-ZTEST(B2:B8,6)) is 0.8451
Syntax
Remarks
Examples
Description
Column1 | Column2 | Column3 | Column4 | |
Row1 | 5 | 0.002491 | 4 | 5 |
Row2 | 7 | 0.004982 | 9 | 128 |
Row3 | 9 | 0.427068 | 14 | 15 |
Row4 | 8 | 0.854136 | 10000 | 20 |
Row5 | 6 | |||
Row6 | 5 | 1.286186 | 27 | 40 |
Row7 | 3 | 0.850904 | 1.619775 | 0.525322 |