This document provides an overview of measures of dispersion, including range, quartile deviation, mean deviation, standard deviation, and variance. It defines dispersion as a measure of how scattered data values are around a central value like the mean. Different measures of dispersion are described and formulas are provided. The standard deviation is identified as the most useful measure as it considers all data values and is not overly influenced by outliers. Examples are included to demonstrate calculating measures of dispersion.
Measures of dispersion
Absolute measure, relative measures
Range of Coe. of Range
Mean deviation and coe. of mean deviation
Quartile deviation IQR, coefficient of QD
Standard deviation and coefficient of variation
Measures of dispersion
Absolute measure, relative measures
Range of Coe. of Range
Mean deviation and coe. of mean deviation
Quartile deviation IQR, coefficient of QD
Standard deviation and coefficient of variation
The standard deviation is a measure of the spread of scores within a set of data. Usually, we are interested in the standard deviation of a population.
Measure of dispersion has two types Absolute measure and Graphical measure. There are other different types in there.
In this slide the discussed points are:
1. Dispersion & it's types
2. Definition
3. Use
4. Merits
5. Demerits
6. Formula & math
7. Graph and pictures
8. Real life application.
this ppt gives you adequate information about Karl Pearsonscoefficient correlation and its calculation. its the widely used to calculate a relationship between two variables. The correlation shows a specific value of the degree of a linear relationship between the X and Y variables. it is also called as The Karl Pearson‘s product-moment correlation coefficient. the value of r is alwys lies between -1 to +1. + 0.1 shows Lower degree of +ve correlation, +0.8 shows Higher degree of +ve correlation.-0.1 shows Lower degree of -ve correlation. -0.8 shows Higher degree of -ve correlation.
Measures of Central Tendency
Requirements of good measures of central tendency
mean, median, mode
skewness of distribution
relation between mean, median,mode
Measure of dispersion part I (Range, Quartile Deviation, Interquartile devi...Shakehand with Life
This tutorial gives the detailed explanation of "Measure of Dispersion" (Range, Quartile Deviation, Interquartile Range, Mean Deviation) with suitable illustrative example with MS Excel Commands of calculation in excel.
The standard deviation is a measure of the spread of scores within a set of data. Usually, we are interested in the standard deviation of a population.
Measure of dispersion has two types Absolute measure and Graphical measure. There are other different types in there.
In this slide the discussed points are:
1. Dispersion & it's types
2. Definition
3. Use
4. Merits
5. Demerits
6. Formula & math
7. Graph and pictures
8. Real life application.
this ppt gives you adequate information about Karl Pearsonscoefficient correlation and its calculation. its the widely used to calculate a relationship between two variables. The correlation shows a specific value of the degree of a linear relationship between the X and Y variables. it is also called as The Karl Pearson‘s product-moment correlation coefficient. the value of r is alwys lies between -1 to +1. + 0.1 shows Lower degree of +ve correlation, +0.8 shows Higher degree of +ve correlation.-0.1 shows Lower degree of -ve correlation. -0.8 shows Higher degree of -ve correlation.
Measures of Central Tendency
Requirements of good measures of central tendency
mean, median, mode
skewness of distribution
relation between mean, median,mode
Measure of dispersion part I (Range, Quartile Deviation, Interquartile devi...Shakehand with Life
This tutorial gives the detailed explanation of "Measure of Dispersion" (Range, Quartile Deviation, Interquartile Range, Mean Deviation) with suitable illustrative example with MS Excel Commands of calculation in excel.
If everything were the same, we would have no need of statistics. But, people's heights, ages, etc., do vary. We often need to measure the extent to which scores in a dataset differ from each other. Such a measure is called the dispersion of a distribution.
MEANING OF DISPERSION In Statistics,
This term is used commonly to mean scatter,
Deviation, Fluctuation, Spread or variability of data.
The degree to which the individual values of the variate scatter away from the average or the central value, is called a dispersion
This PPT gives an elementary idea about dispersion. The dispersion through prism is discussed in some details & combination of prisms are made to make either dispersion or deviation to be equal to zero.
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RESULTS: Overall life span (LS) was 2252.1±1742.5 days and cumulative 5-year survival (5YS) reached 73.2%, 10 years – 64.8%, 20 years – 42.5%. 513 LCP lived more than 5 years (LS=3124.6±1525.6 days), 148 LCP – more than 10 years (LS=5054.4±1504.1 days).199 LCP died because of LC (LS=562.7±374.5 days). 5YS of LCP after bi/lobectomies was significantly superior in comparison with LCP after pneumonectomies (78.1% vs.63.7%, P=0.00001 by log-rank test). AT significantly improved 5YS (66.3% vs. 34.8%) (P=0.00000 by log-rank test) only for LCP with N1-2. Cox modeling displayed that 5YS of LCP significantly depended on: phase transition (PT) early-invasive LC in terms of synergetics, PT N0—N12, cell ratio factors (ratio between cancer cells- CC and blood cells subpopulations), G1-3, histology, glucose, AT, blood cell circuit, prothrombin index, heparin tolerance, recalcification time (P=0.000-0.038). Neural networks, genetic algorithm selection and bootstrap simulation revealed relationships between 5YS and PT early-invasive LC (rank=1), PT N0—N12 (rank=2), thrombocytes/CC (3), erythrocytes/CC (4), eosinophils/CC (5), healthy cells/CC (6), lymphocytes/CC (7), segmented neutrophils/CC (8), stick neutrophils/CC (9), monocytes/CC (10); leucocytes/CC (11). Correct prediction of 5YS was 100% by neural networks computing (area under ROC curve=1.0; error=0.0).
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2. Measures of dispersion• Presented by
Dr.S.D.Shekde
JR 2
• Guided by
MR.Atul Wadagale
Assist. Professor.
Dept Of Comm. Medicine
G.M.C. LATUR
Date-5/08/14
3.
4. contents
Introduction Of measures of dispersion.
Definition of Dispersion.
Range
Quartile deviation.
Mean deviation.
Standard deviation.
Variance.
Coefficient of variance.
Summary.
References.
5. INTRODUCTION
The Measures of central tendency gives us a birds
eye view of the entire data they are called averages
of the first order,
it serve to locate the centre of the distribution
but they do not reveal how the items are spread
out on either side of the central value.
The measure of the scattering of items in a
distribution about the average is called dispersion.
5
6. The measures of dispersion are also called averages of
the second order because they are based on the
deviations of the different values from the mean or
other measures of central tendency which are called
averages of the first order.
7. Introduction
So far we have looked at ways of summarising data by
showing some sort of average (central tendency).
But it is often useful to show how much these figures
differ from the average.
This measure is called dispersion.
8. DEFINITION
In the words of Bowley “Dispersion is the measure of
the variation of the items”
According to Conar “Dispersion is a measure of the
extent to which the individual items vary”
8
9. Purpose of Measuring Dispersion
A measure of dispersion appears to serve two
purposes.
First, it is one of the most important quantities used
to characterize a frequency distribution.
Second, it affords a basis of comparison between two
or more frequency distributions.
The study of dispersion bears its importance from the
fact that various distributions may have exactly the
same averages, but substantial differences in their
variability.
10. Measures of dispersion are descriptive
statistics that describe how similar a
set of scores are to each other
The more similar the scores are to each other, the lower
the measure of dispersion will be
The less similar the scores are to each other, the higher
the measure of dispersion will be
In general, the more spread out a distribution is, the
larger the measure of dispersion will be
11. Measures of dispersion
There are ways of showing dispersion:
Range
Inter-quartile range
Semi- interquartile range (quartile deviation)
Coefficient of quratile deviation
Mean deviation
Standard deviation
Variance
Coefficient of variation
12. The Range
The range is defined as the difference between the
largest score in the set of data and the smallest score
in the set of data, XL – XS
What is the range of the following data:
4 8 1 6 6 2 9 3 6 9
The largest score (XL) is 9; the smallest score (XS) is 1;
the range is XL - XS = 9 - 1 = 8
12
13. When To Use the Range
The range is used when
you have ordinal data or
you are presenting your results to people with little or
no knowledge of statistics
The range is rarely used in scientific work as it is
fairly insensitive
It depends on only two scores in the set of data, XL and
XS
Two very different sets of data can have the same range:
1 1 1 1 9 vs 1 3 5 7 9
14. The Inter-Quartile Range
The inter-quartile range is the range of the middle
half of the values.
It is a better measurement to use than the range
because it only refers to the middle half of the results.
Basically, the extremes are omitted and cannot affect
the answer.
15. To calculate the inter-quartile range we must first
find the quartiles.
There are three quartiles, called Q1, Q2 & Q3. We do
not need to worry about Q2 (this is just the median).
Q1 is simply the middle value of the bottom half of
the data and Q3 is the middle value of the top half of
the data.
16. We calculate the inter quartile range by taking Q1
away from Q3 (Q3 – Q1).
10 – 25 – 45 – 47 – 49 – 51 – 52 – 52 – 54 – 56 – 57 – 58 – 60 – 62 – 66 – 68 – 70 - 90
Remember data must be placed in order
Because there is an even number of values (18) we
can split them into two groups of 9.
Q1
Q3
IR = Q3 – Q1 , IR = 62 – 49. IR = 13
17. QUARTILE DEVIATION
It is the second measure of dispersion, no
doubt improved version over the range. It is
based on the quartiles so while calculating this
may require upper quartile (Q3) and lower
quartile (Q1) and then is divided by 2. Hence it
is half of the deference between two quartiles it
is also a semi inter quartile range.
The formula of Quartile Deviation is
(Q D) = Q3 - Q1
2
17
18. The Semi-Interquartile Range
The semi-interquartile range (or SIR) is defined as the
difference of the first and third quartiles divided by
two
The first quartile is the 25th
percentile
The third quartile is the 75th
percentile
SIR = (Q3 - Q1) / 2
18
19. COFFICIENT OF QURATILE
DEVIATIONThe relative measure of dispersion corrsponding to
quartile deviation is known as the cofficent of quartile
deviation.
QD =Q3-Q1/Q3+Q1
This will be always less than one and will be positive
as Q3>Q1.
Smaller value of cofficient of QD indicates lesser
variability.
20. MEAN DEVIATION
Mean Deviation is also known as average deviation.
In this case deviation taken from any average
especially Mean, Median or Mode. While taking
deviation we have to ignore negative items and
consider all of them as positive. The formula is given
below
20
21. MEAN DEVIATION
The formula of MD is given below
MD = Σd
N (deviation taken from mean)
MD = Σm
N (deviation taken from median)
MD = Σz
N (deviation taken from mode)
21
22. STANDARD DEVIATION
The concept of standard deviation was first
introduced by Karl Pearson in 1893. The standard
deviation is the most useful and the most popular
measure of dispersion. Just as the arithmetic mean is
the most of all the averages, the standard deviation is
the best of all measures of dispersion.
22
23. STANDARD DEVIATION
The standard deviation is represented by the
Greek letter (sigma). It is always calculated from
the arithmetic mean, median and mode is not
considered. While looking at the earlier measures
of dispersion all of them suffer from one or the
other demerit i.e.
Range –it suffer from a serious drawback
considers only 2 values and neglects all the other
values of the series.
23
24. STANDARD DEVIATION
Quartile deviation considers only 50% of the item and
ignores the other 50% of items in the series.
Mean deviation no doubt an improved measure but
ignores negative signs without any basis.
Karl Pearson after observing all these things has given us a
more scientific formula for calculating or measuring
dispersion. While calculating SD we take deviations of
individual observations from their AM and then each
squares. The sum of the squares is divided by the number
of observations. The square root of this sum is knows as
standard deviation.
24
25. MERITS OF STANDARD DEVIATION
Very popular scientific measure of dispersion
From SD we can calculate Skewness, Correlation
etc
It considers all the items of the series
The squaring of deviations make them positive
and the difficulty about algebraic signs which was
expressed in case of mean deviation is not found
here.
25
27. Standard Deviation
The standard deviation is one of the most important
measures of dispersion. It is much more accurate than
the range or inter quartile range.
It takes into account all values and is not unduly
affected by extreme values.
28. What does it measure?
It measures the dispersion (or spread) of figures
around the mean.
A large number for the standard deviation means
there is a wide spread of values around the mean,
whereas a small number for the standard deviation
implies that the values are grouped close together
around the mean.
29. The formula
σ = √{∑ (x - )ẍ 2
/ n}
This is the symbol for
the standard deviation
30. Standard Deviation
Standard deviation is the positive square root of
the mean-square deviations of the observations
from their arithmetic mean.
variance=SD
( )
1
2
−
−
=
∑
N
xx
s
i( )
N
xi∑ −
=
2
µ
σ
Population Sample
31. Standard Deviation for Group Data
SD is :
Simplified formula
22
−=
∑∑
N
fx
N
fx
s
( )
N
xxf
s
ii∑ −
=
2
∑
∑=
i
ii
f
xf
xWhere
32. exampleWe are going to try and find the standard deviation of
the minimum temperatures of 10 weather stations in
Britain on a winters day.
The temperatures are:
5, 9, 3, 2, 7, 9, 8, 2, 2, 3 (˚Centigrade)
33. To calculate the standard deviation we construct a table like this
one:
(x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
There should be enough space
here to fit in the number of
values. Eg: there are 10
temperatures so leave 10 lines.
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
34. x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
To calculate the standard deviation we construct a table like this
one:
(x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
Next we write the values (temperatures) in
column x (they can be in any order).
5
9
3
2
7
9
8
2
2
3
35. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
Add them up (∑x)
5
9
3
2
7
9
8
2
2
3
Calculate the mean (ẍ)
50/10 = 5
50
36. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
Write the mean temperature ( ) inẍ
every row in the second column.
37. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
Subtract each value (temperature) from the mean. It
does not matter if you obtain a negative number.
0
4
-2
-3
2
4
3
-3
-3
-2
38. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
0
4
-2
-3
2
4
3
-3
-3
-2
Square (2
) all of the figures you obtained in
column 3 to get rid of the negative numbers.
0
16
4
9
4
16
9
9
9
4
39. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
0
4
-2
-3
2
4
3
-3
-3
-2
0
16
4
9
4
16
9
9
9
4
Add up all of the figures that you
calculated in column 4 to get ∑ (x - )ẍ 2
.
80
40. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
0
4
-2
-3
2
4
3
-3
-3
-2
0
16
4
9
4
16
9
9
9
4
80
Divide ∑(x - )ẍ 2
by the total number of
values (in this case 10 – weather stations)
8
41. (x - )ẍ 2
∑(x - )ẍ 2
=
∑(x - )ẍ 2
/n =
√∑(x - )ẍ 2
/n =
(x - )ẍẍx
∑x =
= ∑x/n =ẍ
x = temperature --- = mean temperature --- √ = square rootẍ
∑ = total of --- 2
= squared --- n = number of values
5
9
3
2
7
9
8
2
2
3
50/10 = 5
50
5
5
5
5
5
5
5
5
5
5
0
4
-2
-3
2
4
3
-3
-3
-2
0
16
4
9
4
16
9
9
9
4
80
Take the square root (√) of the figure to obtain the
standard deviation. (Round your answer to the nearest
decimal place)
8
43. Why?
Standard deviation is much more useful.
For example our 2.8 means that there is a 68%
chance of the temperature falling within ± 2.8°C
of the mean temperature of 5°C.
That is one standard deviation away from the
mean. Normally, values are said to lie between
one, two or three standard deviations from the
mean.
44. Where did the 68% come from?
This is a normal distribution curve. It is a bell-shaped
curve with most of the data cluster around the mean value
and where the data gradually declines the further you get
from the mean until very few data appears at the extremes.
45. Most people are near
average height.
Some are short Some are tall
But few are
very short
And few are
very tall.
46.
47. If you look at the graph you can see that most of the data (68%) is
located within 1 standard deviation on either side of the mean,
even more (95%) is located within 2 standard deviations on either
side of the mean, and almost all (99%) of the data is located
within 3 standard deviations on either side of the mean.
48. Example-1: Find Standard Deviation of
Ungroup Data
Family
No.
1 2 3 4 5 6 7 8 9 10
Size (xi) 3 3 4 4 5 5 6 6 7 7
49. ix
xxi −
( )2
xxi −
2
ix
Family No. 1 2 3 4 5 6 7 8 9 10 Total
3 3 4 4 5 5 6 6 7 7 50
-2 -2 -1 -1 0 0 1 1 2 2 0
4 4 1 1 0 0 1 1 4 4 20
9 9 16 16 25 25 36 36 49 49 270
5
10
50
===
∑
n
x
x
i
( )
,2.2
9
20
1
2
2
==
−
−
=
∑
n
xx
s
i
48.12.2 ==s
Here,
50. Example-2: Find Standard Deviation of
Group Data
2
ii xf
3 2 6 18 -3 9 18
5 3 15 75 -1 1 3
7 2 14 98 1 1 2
8 2 16 128 2 4 8
9 1 9 81 3 9 9
Total 10 60 400 - - 40
( )2
xxf ii −( )2
xxi −xxi −ii xfifix
( )
44.4
9
40
1
2
2
==
−
−
=
∑
n
xxf
s
ii
6
10
60
===
∑
∑
i
ii
f
xf
x
51. Variance
Variance is defined as the average of the square
deviations or square of standared deviation of set
of observation
( )
N
X
2
2 ∑ µ−
=σ
52. What Does the Variance Formula
Mean?
Variance is the mean of the squared deviation scores
The larger the variance is, the more the scores
deviate, on average, away from the mean
The smaller the variance is, the less the scores
deviate, on average, from the mean
52
54. Coefficient of variation
The coefficient of variation indicates the spread of
values around the mean by a percentage.
Coefficient of variation =
Standard Deviation x 100
mean
55. Things you need to know
The higher the Coefficient of Variation the more
widely spread the values are around the mean.
The purpose of the Coefficient of Variation is to let us
compare the spread of values between different data
sets.
56. Example-: Comments on Children in a
community
Since the coefficient of variation for weight is greater
than that of height, we would tend to conclude that
weight has more variability than height in the
population.
Height weight
Mean 40 inch 10 kg
SD 5 inch 2 kg
CV 0.125 0.20
57. SUMMARY
The measures of variations are useful for further
treatment of the Data collected during the study.
The study of Measures of Dispersion can serve as the
foundation for comparison between two or more
frequency distributions.
Standard deviation or variance is never negative.
When all observations are equal, standared deviation
is zero.
when all observations in the data are increased or
decreased by constant, standared deviation remains
the same.
58. REFERENCES
Text book of principles and practical of biostatistics,
by dr. j.v. DIXIT. fifth edition. Page no 49-62.
Textbook of community medicine.dr j. p. baride and
dr a. p. kulkarni. Third edition, page no-177-186
Basic statistics and epidemiology practical guide.by
antony stewart. Page no-27-35.