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PEDAR: Research Methodology A Profile of Participation in Distance Education
The National Postsecondary Student Aid Study
Accuracy of Estimtes
Data Analysis Systems
Statistical Procedures
Differences Between Means
Adjustment of Means to Control for Background Variation
Executive Summary
References
Full Report (PDF)
Executive Summary (PDF)
Statistical Procedures - Differences Between Means

The descriptive comparisons were tested in this report using Student's t statistic. Differences between estimates are tested against the probability of a Type I error,4 or significance level. The significance levels were determined by calculating the Student's t values for the differences between each pair of means or proportions and comparing these with published tables of significance levels for two-tailed hypothesis testing.

Student's t values may be computed to test the difference between estimates with the following formula:

statistical equation (1)

where E1 and E2 are the estimates to be compared and se1 and se2 are their corresponding standard errors. This formula is valid only for independent estimates. When estimates are not independent, a covariance term must be added to the formula:

statistical equation (2)

where r is the correlation between the two estimates.5 This formula is used when comparing two percentages from a distribution that adds to 100. If the comparison is between the mean of a subgroup and the mean of the total group, the following formula is used:

statistical equation (3)

where p is the proportion of the total group contained in the subgroup.6 The estimates, standard errors, and correlations can all be obtained from the DAS.

There are hazards in reporting statistical tests for each comparison. First, comparisons based on large t statistics may appear to merit special attention. This can be misleading since the magnitude of the t statistic is related not only to the observed differences in means or percentages but also to the number of respondents in the specific categories used for comparison. Hence, a small difference compared across a large number of respondents would produce a large t statistic.

A second hazard in reporting statistical tests for each comparison occurs when making multiple comparisons among categories of an independent variable. For example, when making paired comparisons among different levels of income, the probability of a Type I error for these comparisons taken as a group is larger than the probability for a single comparison. When more than one difference between groups of related characteristics or "families" are tested for statistical significance, one must apply a standard that assures a level of significance for all of those comparisons taken together.

Comparisons were made in this report only when p < .05/k for a particular pairwise comparison, where that comparison was one of k tests within a family. This guarantees both that the individual comparison would have p < .05 and that for k comparisons within a family of possible comparisons, the significance level for all the comparisons will sum to p < .05.7

For example, in a comparison of the percentages of males and females who participated in distance education, only one comparison is possible (males versus females). In this family, k=1, and the comparison can be evaluated without adjusting the significance level. When respondents are divided into four degree program categories and all possible comparisons are made, then k=6, and the significance level of each test must be p < .05/10, or p < .005. The formula for calculating family size (k) is as follows:

statistical equation (4)

where j is the number of categories for the variable being tested. In the case of race/ethnicity, there are degree program groups (No degree, Certificate, Associate's, Bachelor's), so substituting 4 for j in equation 4,

statistical equation

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