R9 练习: 参数与非参数检验

考纲范围

  • Compare and contrast parametric and nonparametric tests, and describe situations where each is the more appropriate type of test.

Q1.

An analyst wonders whether the mean monthly returns of two independent 2-year portfolios are equal. The distributions for the two portfolios’ returns are unknown. Which of the following tests can the analyst use?

A. t-test.

B. Non-parametric test.

C. Paired comparisons test.


Q2.

Compared with a parametric test, a non-parametric test:

A. concerns things other than parameter values.

B. requires a known population variance.

C. cannot be used if data are given in ranks.


Q3.

The correlation coefficient is most often used in the analysis of public companies or asset classes. A portfolio manager is analyzing how the return on the bond market is related to that on the stock market. He has computed the sample correlation between the returns of the two markets to be -0.54 with 260 weekly data. With the 0.01 significance level, the pairwise correlation between the returns of these two markets is (Hint: With 258 degrees of freedom and a two-sided test with a 1% level of significance, the critical value is +/-2.595.):

A. significantly different from zero.

B. no difference with zero.

C. lack of evidence to conclude.


Q4.

Which of the following statements is least likely correct regarding the Spearman rank correlation coefficient?

A. The Spearman rank correlation coefficient is calculated on the ranks of the two variables within their respective samples.

B. With n as the sample size and as the difference between the ranks for each pair of observations, the Spearman rank correlation coefficient is given by:

C. The hypotheses are : and : .


Q5.

Assume an analyst is evaluating the correlation between the returns of two investment funds, A and B, which have comparable risk levels over a 35-year period. Due to concerns that the assumptions for parametric correlation may not be satisfied, the analyst attempts to conduct a hypothesis test using Spearman rank correlations at a 5% significance level. Which of the following statements is least likely correct:

A. The hypotheses are : and : .

B. Assuming the Spearman rank correlation is 0.65, the calculated test statistic is closest to 4.91.

C. For a two-tailed test, given the critical values for 33 degrees of freedom are +/-2.0345, the analyst fails to reject the null hypothesis that the Spearman rank correlation coefficient is zero.


Q6.

Which of the following statements about the chi-square test of the independence of data classification in a contingency table is incorrect?

A. It is a nonparametric test used to test for the independence of two categorical variables.

B. The rejection region is on the left tail.

C. The degrees of freedom of the chi-square test statistic is calculated as (row number - 1) x (column number - 1).


Q7.

To test whether an exchange-traded fund (ETF)‘s size is independent of its investment type based on a size-type contingency table, an analyst decides to conduct a hypothesis test. Which statement is(are) least likely correct regarding the test?

Statement I: The analyst should perform a test of independence using a nonparametric test. Statement II: The appropriate test statistic should be t-distributed.

A. Statement I.

B. Statement II.

C. Both statement I and statement II.