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dc.contributor.authorShieh, G.en_US
dc.date.accessioned2014-12-08T15:34:18Z-
dc.date.available2014-12-08T15:34:18Z-
dc.date.issued2013-12-01en_US
dc.identifier.issn1554-351Xen_US
dc.identifier.urihttp://dx.doi.org/10.3758/s13428-013-0320-7en_US
dc.identifier.urihttp://hdl.handle.net/11536/23499-
dc.description.abstractThe use of effect sizes and associated confidence intervals in all empirical research has been strongly emphasized by journal publication guidelines. To help advance theory and practice in the social sciences, this article describes an improved procedure for constructing confidence intervals of the standardized mean difference effect size between two independent normal populations with unknown and possibly unequal variances. The presented approach has advantages over the existing formula in both theoretical justification and computational simplicity. In addition, simulation results show that the suggested one- and two-sided confidence intervals are more accurate in achieving the nominal coverage probability. The proposed estimation method provides a feasible alternative to the most commonly used measure of Cohen's d and the corresponding interval procedure when the assumption of homogeneous variances is not tenable. To further improve the potential applicability of the suggested methodology, the sample size procedures for precise interval estimation of the standardized mean difference are also delineated. The desired precision of a confidence interval is assessed with respect to the control of expected width and to the assurance probability of interval width within a designated value. Supplementary computer programs are developed to aid in the usefulness and implementation of the introduced techniques.en_US
dc.language.isoen_USen_US
dc.subjectBehrens-Fisher problemen_US
dc.subjectCohen's den_US
dc.subjectConfidence intervalen_US
dc.subjectPrecisionen_US
dc.subjectWelch's statisticen_US
dc.titleConfidence intervals and sample size calculations for the standardized mean difference effect size between two normal populations under heteroscedasticityen_US
dc.typeArticleen_US
dc.identifier.doi10.3758/s13428-013-0320-7en_US
dc.identifier.journalBEHAVIOR RESEARCH METHODSen_US
dc.citation.volume45en_US
dc.citation.issue4en_US
dc.citation.spage955en_US
dc.citation.epage967en_US
dc.contributor.department管理科學系zh_TW
dc.contributor.departmentDepartment of Management Scienceen_US
dc.identifier.wosnumberWOS:000328272100005-
dc.citation.woscount1-
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