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Statistics and Probability Week 6. LAS 1

Here are the steps to solve the activity problems: 1. x = 5.75 σx2 = (1.02)2/81 = 0.0112 σx = √0.0112 = 0.106 2. x = 128 σx2 = (22)2/36 = 12.44 σx = √12.44 = 3.53 3. x = 12 σx2 = (1.5)2/90 = 0.0167 σx = √0.0167 = 0.129 4. x = 72 σx2 = (6)2/45 = 4 σx = 2 5.

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0% found this document useful (0 votes)
18 views1 page

Statistics and Probability Week 6. LAS 1

Here are the steps to solve the activity problems: 1. x = 5.75 σx2 = (1.02)2/81 = 0.0112 σx = √0.0112 = 0.106 2. x = 128 σx2 = (22)2/36 = 12.44 σx = √12.44 = 3.53 3. x = 12 σx2 = (1.5)2/90 = 0.0167 σx = √0.0167 = 0.129 4. x = 72 σx2 = (6)2/45 = 4 σx = 2 5.

Uploaded by

Dominque Buhat
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as PDF, TXT or read online on Scribd
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Name: _____________________________________ Grade & Section: _______________ Score: ____________

School: ______________________________ Teacher: _____________________ Subject: Statistics and Probability


LAS Writer: JONH RELL Y. PINGOY Content Editor: JOHANNAH Y. ACHURRA
Lesson Topic: SAMPLING DISTRIBTUION (Quarter 3 Wk. 6 LAS 1)
Learning Targets: Finds the mean and variance of the sampling distribution of the sample mean. (M11/12SP-IIId-5)
Reference(s): Belecina, R., Baccay, E. & Mateo, E. (2016). Statistics and Probability. First Edition. Rex Book Store,
Inc, pp. 110 – 125

Properties of the Sampling Distribution of Sample Mean


If all possible samples of size n are drawn from a population of size N with mean μ and variance σ 2, then the
sampling distribution of the sample means has the following properties:
1. The mean of the sampling distribution of the sample means x is equal to the population mean μ. That is,
x
2. The variance of the sampling distribution of the sample means is given by:
2 N n 2
 x2   for finite population  x2  for infinite population
n N 1 n
3. The standard deviation of the sampling distribution of the sample means is given by:
 N n 
x   for finite population  x  for infinite population
n N 1 n
The standard deviation of the sampling distribution of the sample means is called the standard error of the mean.

Example 1. Given μ = 80, σ = 20, n = 19. Find x ,  x and Example 2. Given μ = -10, σ = 5, n = 500, find x and  x2

 x2 Solution:
a. Solve for sample mean x :
Solution:
A. Solve for sample mean: x   x    10

x    80 b. Solving for variance  x2

B. Solving for standard deviation:  x 2 52 25


 x2     0.05
n 500 500
20  20
X     4.59
n 19 4.36
C. Solving for variance:  x2

2
20 2 400
 
2
x    21.05
n 19 19

Activity: Find x ,  x2 and  x for the following.

1. Given μ = 5.75, σ = 1.02, n=81.


2. Given μ = 128, σ = 22, n=36.
3. Given μ = 12, σ = 1.5, n=90.
4. Given μ = 72, σ = 6, n=45.
5. A population has mean 5.75 and standard deviation of 1.02. If a random sample of 81 are taken, find the mean
and variance of the sample mean.

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