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Statistics _ Short Notes

The document provides formulas and explanations for calculating the arithmetic mean, median, mode, mean deviation, standard deviation, and variance for various types of data distributions, including unclassified, classified, and frequency distributions. It also discusses the relationship between mean, median, and mode, as well as important points regarding standard deviation and its coefficient. Additionally, it outlines how to compute combined means and standard deviations for grouped data.

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0% found this document useful (0 votes)
9 views

Statistics _ Short Notes

The document provides formulas and explanations for calculating the arithmetic mean, median, mode, mean deviation, standard deviation, and variance for various types of data distributions, including unclassified, classified, and frequency distributions. It also discusses the relationship between mean, median, and mode, as well as important points regarding standard deviation and its coefficient. Additionally, it outlines how to compute combined means and standard deviations for grouped data.

Uploaded by

anmol.zims
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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CHAPTER

22 Statistics

ARITHMETIC MEAN n th


(b) If n is even, then there are two middle terms namely  
(i) Arithmetic Mean for Unclassified (Ungrouped or Raw) 2
Data: If there are n observations, x1, x2, x3, ... , xn, then their  n 
and  + 1 th terms, median is mean of these terms.
arithmetic mean 2 
n
Median for Classified (Grouped) Data or Grouped
x1 + x2 + ... + xn ∑x i
=A or x = i =1 Frequency Distribution
n n
For a continuous distribution, median
(ii) Arithmetic Mean for Discrete Frequency Distribution
N
or Ungrouped Frequency Distribution: Let f1, f2,..., fn be −C
corresponding frequencies of x1, x2,...,xn. Then, arithmetic l+ 2
Md = ×h
mean f
n
where, l = lower limit of the median class

x1 f1 + x2 f 2 + ... + xn f n ∑x f i i f = frequency of the median class


=A = i =1
n n
f1 + f 2 + ... + f n
∑ fi N = total frequency = ∑f
i =1
i
i =1

C = cumulative frequency of the class just before the


(iii) Arithmetic Mean for Classified (Grouped) Data or median class
Grouped Frequency Distribution: For a classified data,
we take the class marks x1, x2,... , xn of the classes, then h = length of the median class
arithmetic mean by Mode for Classified (Grouped) Distribution or
n

∑x f i i
Grouped Frequency Distribution
A= i =1 f 0 − f1
n Mo =
l+ ×h
∑f
i =1
i
2 f 0 − f1 − f 2
where, l = lower limit of the modal class
Combined Mean: If A1, A2,..., Ar are means of n1, n2,...,nr
f0 = frequency of the modal class
observations respectively, then arithmetic mean of the combined
group is called the combined mean of the observation. f = frequency of the pre-modal class
r f = frequency of the post-modal class
n1 A1 + n2 A2 + ... + nr Ar ∑n A i i h = length of the class interval
=A = i =1
r
n1 + n2 + ... + nr Relation Between Mean, Median and Mode
∑ni =1
i

(i) Mean – Mode = 3 (Mean – Median)


MEDIAN (ii) Mode = 3 Median – 2 Mean

Median for Simple Distribution or Raw Data MEAN DEVIATION (MD)


Firstly, arrange the data in ascending or descending order and then n
find the number of observations n. ∑ x −x
i

 n +1 (i) For simple (raw) distribution, δ = i =1


(a) If n is odd, then   th term is the median. n
 2 
where, n = number of terms, x = A or Md or Mo
n Standard Deviation of the Combined Series
∑f i xi − x
(ii) For unclassified frequency distribution, δ = i =1 If n1, n2 are the sizes, X 1 , X 2 are the means and s1, s2, are the
n
standard deviation of the series, then the standard deviation of the
∑f i
i =1 combined series is
n

∑f i xi − x n1 (σ12 + d12 ) + n2 ( σ 22 + d 22 )
(iii) For classified distribution, δ = i =1 σ=
n n1 + n2
∑f
i =1
i

where, d1 =X 1 − X ,d 2 =X2 − X
where, xi is the class mark of the interval.
n1 X 1 + n2 X 2
STANDARD DEVIATION AND VARIANCE and X =
n1 + n2
(i) For simple distribution
n

∑ (x − x ) 2
2
IMPORTANT POINTS TO BE REMEMBERED
i
1 n
 n 
=σ i =1
= n∑ xi 2 −  ∑ xi  (i) The ratio of SD (s) and the AM ( x ) is called the coefficient
n n
= i 1= i 1 
σ
where, n is a number of observations and x is mean. of standard deviation  
x
(ii) For discrete frequency distribution σ
(ii) The percentage form of coefficient of SD i.e.   × 100 is
n
called coefficient of variation. x
∑ f (x − x )
1 i n
2

 n 
2

=σ =
i =1
N ∑ f i xi 2 −  ∑ f i xi  (iii) The distribution for which the coefficient of variation is less
N N
=i 1 = i 1 
is more consistent.
(iii) For continuous frequency distribution
n n2 − 1
(iv) Standard deviation of first n natural numbers is .
∑ f (x − x )
i i
2
12
σ= i =1

N (v) Standard deviation is independent of change of origin, but it


where, xi is class mark of the interval. depends on change of scale.

P Statistics 41
W

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