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I.

INTRODUCTION 1

DATA COLLECTION 1-2


TABLE OF CONTENTS
Observation 1
Experiment 1
Simulation 1
Survey 2
Experiment Design 2
Example 2

ORGANIZATION OF DATA 3–8

Organization of Data 3
Example of Tabular Presentation 3
Example 4
Frequency Polygon 4
Cumulative Frequency 4
OTHER KIND OF GRAPH 5
Dot Plot 6
Example 6
Stem-And-Leaf-Plot 7

Line Graph 7

Example 7
8
Bar Graph
8
Circle Graph or Pie Chart
8

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MEASURE OF CENTRAL 9–12
TENDENCY
Mean 9
Median 9
TABLE OF CONTENTS
Mode 10
Example Unimodal 10
Example Multimodal
Example Bimodal 10
Mean:
Advantage 11
Disadvantage 11
Median:
Advantage 11
Disadvantage 11
Mode:
Advantage
Disadvantage 12
12

MEASURES OF VARIATION 13–19

Measures of Variation/Variability 13
Ungrouped Data 13
2 Types of Formula 13
2. Standard Deviation 14
3. Variance 14
Raw Score 14
Example 15
(x) Raw Score Formula 16
Normal Distribution 17
Example 17
Z - Score Table 18
Correlation 19
19

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UNIT 4. MATHEMATICS IN 20– 23
FINANCE

Simple and Compound Interest 20


TABLE OF CONTENTS
Important Terms 20
Example 20
Compound Interest Formula 21
Example 21
Stock and Bonds 22
Example 22
Bond and Coupon 23
Example 23

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