Standard deviation as measures of dispersion and variance
Palafox Luna Sharim Darinka
Probability and Statistics Tehucn, Pue. A 14 de diciembre de 2015
Prepa UPAEP Tehuacn
Range, variance and standard deviation as measures of dispersion Above all else, we must obtain the meaning and out we need to add all of our data and divide them between the total of data that is considered, we must not modify their signs, after to get our range we have to do the subtraction of the first data with the latest data and thus be able to get it. Variance before we have to know that the sign of this is a sigma squared, what we have to do in order to remove it is to add each of the data that we have, to every piece of data you will join the range and we elevated the square and so on and join, we divide by the total number of data, for which the variance is in absolutely clear we have given a square root. To obtain the standard deviation, we have to square root of the variance, and this is the easiest way to get our result. Measures how much data are separated. The formula is easy: it is the square root of the variance. 1 The standard deviation, as well as the average and variance, is a very sensitive index of extreme scores. 2 In the cases that could not find the media nor will it be possible to find the standard deviation. 3 How much smaller the standard deviation will be the largest concentration of data around the mean.
Prepa UPAEP Tehuacn
Reference: How to calculate Standard Deviation and Variance (2010). calculating the standard deviation and variance for statistics class. The tutorial provides a step by step guide . This video was consulted on december 14 th, 2015 at 1:15 a.m. Available at https://www.youtube.com/watch?v=qqOyy_NjflU
Range, variance and standard deviation as measures of dispersion (2010). Probability and statistics on Khan Academy.
This video was consulted on december 14 th, 2015 at 2:34 a.m.
Available at https://www.youtube.com/watch?v=E4HAYd0QnRc