I was hoping that someone might be able to help me out with some slight confusion regarding calculation of the standard deviation for a Bernoulli Trial. Definitionally, I understand a Bernoulli Trial to be an event that takes place repeatedly with set probability (so you basically have a conversion rate).
I originally took a look at "Controlled Experiments on the Web" , and it looks like for a Bernoulli Trial with probability p, the standard deviation is sqrt(p*(1-p)). However, taking a look at the relevant Wikipedia article for Binomial distributions , it actually recommends using sqrt(p*(1-p)/n). Is this the standard deviation of many means if I were to resample the same population many times?
Additionally, imagine I had some data that looked like this:
Group Visitors Conversions Conversion Rate
A 18552 753 0.04
B 17621 1107 0.06
C 6160 323 0.05
I want to plot these conversion rates in a barplot, along with error bars. Deriving the error bars using the standard deviation, the error bars are actually larger than the conversion rates themselves! Is this unexpected?
Thanks in advance for your help!