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Standard Deviation, σ: 

2.1998503004489E+28
Count, N: 2
Sum, Σx: 4.4438748841141E+29
Mean, μ: 2.2219374420571E+29
Variance, σ2: 4.8393413443853E+56

Steps

Σ(xi - μ)2
σ2 = 
N
(200195241201216260207180325297 - 2.2219374420571E+29) 2 + ... +
=  (244192247210195242234175310250 - 2.2219374420571E+29) 2
2
9.6786826887707E+56

2
= 4.8393413443853E+56
σ =  √4.8393413443853E+56
=  2.1998503004489E+28

Margin of Error (Confidence Interval)


The sampling mean most likely follows a normal distribution. In this case, the standard
error of the mean (SEM) can be calculated using the following equation:
σ
σx̄ =  = 1.5555290650427E+28
√N
Based on the SEM, the following are the margins of error (or confidence intervals) at
different confidence levels. Depending on the field of study, a confidence level of 95%
(or statistical significance of 5%) is typically used for data representation.

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