Module 9 Measures of Variability
Module 9 Measures of Variability
Module 9 Measures of Variability
Measures of Variability
INTRODUCTION
Let’s begin with interesting and exploratory activities that would lead to
the basic concepts of measures of variability. You will learn to interpret, draw
conclusions and make recommendations.
After these activities, the Education students shall be able to answer the
question, “How can I make use of the representations and descriptions
of a given set of data in real-life situations?”
The lesson on measures of variability will tell you how the values are
scattered or clustered about the typical value.
It is quite possible to have two sets of observations with the same mean or
median that differs in the amount of spread about the mean. Do the following
activity.
Help the housewife choose the best sample by doing the following procedure:
Questions
a. Arrange the weights in numerical order.
b. Find the mean weight of each sample.
c. Analyze the spread of the weights of each sample from the mean.
d. Which sample has weights closer to the mean?
e. If you are to choose from these two samples, which would you prefer?
Why?
f. Was your choice affected by the weight or the taste? Explain.
LEARNING OUTCOMES
LEARNING CONTENT
Measures other than the mean may provide additional information about
the same data. These are the measures of dispersion.
The most commonly used measures of dispersion are the range, the
average deviation, the standard deviation, and the variance.
R=H–L
Comparing the two wages, you will note that wages of workers of
factory B have a higher range than wages of workers of factory A. These
ranges tell us that the wages of workers of factory B are more scattered than
the wages of workers of factory A.
Look closely at wages of workers of factory B. You will see that except
for 672 the highest wage, the wages of the workers are more consistent than
the wages in A. Without the highest wage of 672 the range would be 80 from
480 – 400 = 80. Whereas, if you exclude the highest wage 575 in A, the range
would be 140 from 520 – 380 = 140.
Can you now say that the wages of workers of factory B are more
scattered or variable than the wages of workers of factory A?
The range tells us that it is not a stable measure of variability because its
value can fluctuate greatly even with a change in just a single value, either the
highest or lowest.
2. The range of each of the set of scores of the three students is as follows:
a. What have you observed about the range of the scores of the three
students?
b. What does it tell you?
3. Consider the following sets of scores: Find the range and the median.
Set A Set B
3 3
4 7
5 7
6 7
8 8
9 8
10 8
12 9
15 15
The dispersion of a set of data about the average of these data is the
average deviation or mean deviation.
∑|x -x|
A.D. = N
Find the average deviation of the following data: 12, 17, 13, 18, 18, 15, 14, 17,
11
x=
∑ x = 12+17+13+ 18+18+15+14+17 +11
N 9
135
x= =15
9
2. Find the absolute difference between each score and the mean.
|x-x| = |12 − 15| = 3
= |17 − 15| = 2
= |13 − 15| = 2
= |18 − 15| = 3
= |18 − 15| = 3
= |15 − 15| = 0
= |14 − 15| = 1
= |17 − 15| = 2
= |11 − 15| = 4
∑|x-x| = 20
This can be represented in tabular form as shown below.
X x |x-x|
12 15 3
17 15 2
13 15 2
18 15 3
18 15 3
15 15 0
14 15 1
17 15 2
11 15 4
∑|x-x| = 20
10
16
19
24
26
29
30
39
∑(x-x)2
S . D .=√ ∑ ¿ ¿ ¿ ¿
From the activity, you have learned how to compute for the standard deviation.
Like the average deviation, standard deviation differentiates sets of scores with
equal averages. But the advantage of standard deviation over mean deviation is
that it has several applications in inferential statistics.
To compute for the standard deviation of an ungrouped data, we use the
formula:
S . D .=√ ∑ ¿ ¿ ¿ ¿
Solution:
Student A
x=
∑ x = 97 +92+96+ 95+90 =94
N 5
Step 2. Compare the table below
x x−x ¿
97 3 9
92 -2 4
96 2 4
95 1 1
90 4 16
∑(x-x)2 = 34
S . D .=√ ∑ ¿ ¿ ¿ ¿
Student B
Step 1. Compute the mean score
x=
∑ x = 94 +94 +92+94 +96 =94
N 5
Step 2. Compare the table below
x x−x ¿
94 0 0
94 0 0
92 -2 4
94 0 0
96 2 4
∑(x-x)2 = 8
Step 3. Compute the standard deviation
S . D .=√ ∑ ¿ ¿ ¿ ¿
Student C.
Step 1. Compute the mean score
x=
∑ x = 95+ 94+ 93+96+ 92 =94
N 5
Step 2. Compare the table below
x x−x ¿
95 1 1
94 0 0
93 -1 1
96 2 4
92 -2 4
∑(x-x)2 = 10
The Variance
The Variance
The variance (∂2) of a data is equal to N . The sum of their squares minus the
square of their mean. It is virtually the square of the standard deviation.
δ 2=∑ ¿ ¿ ¿
Where:
∂2 is the variance;
N is the total number of observations; x is the raw score; and
x is the mean of the data.
Variance is not only useful, it can be computed with ease and it can also be
broken into two or more component sums of squares that yield useful
information.
TEACHING AND LEARNING ACTIVITIES
Pete Ricky
82 88
98 94
86 89
80 87
100 92
94 90
C. Suppose two classes achieved the following grades on a math test, find the
range and the standard deviation.
SUPPLEMENTING READING
https://onlinestatbook.com
https://statisticsbyjim.com
ASSESSMENT TASKS
REFERENCES
Online Resources
http://www.picturesof.net/search_term_pages/mat.html
http://www.stockfresh.com/image/289009/cartoon-kids
http://www.fotosearch.com/photos-images/garment-factory.html
http://www.equinoxlab.com/
http://www.themall.ph/thumbs/images/2012/10/25/
get1017125146/1_1351156470102514 5x217.JPG
http://media3.picsearch.com/is?tqgS6MH-ZoNLoIkQZGJu2Qhkc_04U6Jd88KruCCxpz4
http://cdn7.fotosearch.com/bthumb/CSP/CSP428/k4285733.jpg