Assignment 3
Assignment 3
Engineering
Unit 3: Applied Mathematics for Construction and the Built
environment
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Contents
Introduction Page 3
Task 2 Page 14
Task 3 Page 14
Task 4 Page 14
Task 5 Pages 15
Conclusion Page
Appendix Pages
Bibliography Page
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Introduction
3
Statistics
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Statistics is considered by some to be a mathematical science
pertaining to the collection, analysis, interpretation or explanation,
and presentation of data, while others consider it a branch of
mathematics concerned with collecting and interpreting data.
Because of its empirical roots and its focus on applications,
statistics is usually considered to be a distinct mathematical
science rather than a branch of mathematics.
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of the overall group. Data collected about this kind of "population"
constitutes what is called a time series.
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conclusions can be safely extended from the sample to the
population as a whole. A major problem lies in determining the
extent to which the sample chosen is actually representative.
Statistics offers methods to estimate and correct for any random
trending within the sample and data collection procedures. There
are also methods for designing experiments that can lessen these
issues at the outset of a study, strengthening its capability to
discern truths about the population.
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contrast, an observational study does not involve experimental
manipulation. Instead, data are gathered and correlations between
predictors and response are investigated.
Experiments
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a meaningful order to those values. Nominal measurements
have no meaningful rank order among values.
Standard deviation
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Technically, the standard deviation of a statistical population, data
set, or probability distribution is the square root of its variance. It is
algebraically simpler though practically less robust than the
average absolute deviation. A useful property of standard deviation
is that, unlike variance, it is expressed in the same units as the
data. Note, however, that for measurements with percentage as
unit, the standard deviation will have percentage points as unit.
There are other statistical measures that use samples that some
people confuse with averages - including 'median' and 'mode'.
Other simple statistical analyses use measures of spread, such as
range, interquartile range, or standard deviation. For a real-valued
random variable X, the mean is the expectation of X. Note that not
every probability distribution has a defined mean (or variance); see
the Cauchy distribution for an example.
For a data set, the mean is the sum of the values divided by the
number of values. The mean of a set of numbers x1, x2, ..., xn is
typically denoted by , pronounced "x bar". This mean is a type of
arithmetic mean. If the data set was based on a series of
observations obtained by sampling a statistical population, this
mean is termed the "sample mean" to distinguish it from the
"population mean". The mean is often quoted along with the
standard deviation: the mean describes the central location of the
data, and the standard deviation describes the spread. An
alternative measure of dispersion is the mean deviation, equivalent
to the average absolute deviation from the mean. It is less
sensitive to outliers, but less mathematically tractable.
The sample mean may differ from the population mean, especially
for small samples, but the law of large numbers dictates that the
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larger the size of the sample, the more likely it is that the sample
mean will be close to the population mean.
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Task 1
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Again we must work backwards from this percentage to give an
actual number
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100 − 82 = 18 ×18 = 9.36
100
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Task 2
Task 3
Density tests on 30 timber specimens produce the following data.
Draw the histogram and calculate the arithmetic mean.
Density(kg/m³) Frequency
570 2
580 3
590 5
600 9
610 6
620 2
630 3
Task 4
The crushing strengths of 60 insulation blocks were determined
and the results are recorded below. Draw the histogram and the
frequency polygon.
Determine the mean and standard deviation for the cube crushing
strength results at 7 days.
∑ xcf
xc = = 1 = 0.027
∑f 36
x = 25 + 0.027 × 2 = 25 .054
2
∑ xc f
σc = − ( xc ) 2 =
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− (0.027 ) 2 =1.166
∑f 36
σ = 1.166 × 2 = 2.333
Task 6
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b) A mix sampled producing a cube strength result at 14 days
less than 36N/mm²and then a cube strength result less than
50N/mm².
a)
∑ xcf
xc = = − 26 = −0.5
∑f 52
2
∑ xc f
σc = − ( xc ) 2 =
148
− (0.5) 2 =1.611
Standard Deviation= ∑f 52
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Class X Xc F XcF Xc²F
40-45 42.5 -2 2 -4 8
45-50 47.5 -1 2 -2 2
50-55 52.5 0 4 0 0
55-60 57.5 1 8 8 8
60-65 62.5 2 2 4 8
Total 18 6 26
2
∑ xc f
σc = − ( xc ) 2 =
26
− (0.333 ) 2 =1.155
∑f 18
54 .167 − 50 4.167
= = 0.722
5.77 5.77
Using the probability table to find the probability value for strength
of greater that 50 N/mm²
0.722 = 0.2642 = 26.42 % chance.
As the question asks for probability of greater than 50N/mm² we
must add this figure to the rest of the probability curve.
Slump Results
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A slump of less than 50mm would fall in all columns in and below
45- 50
25 14
So 52for a slump of less than 5omm and 18 for cube strength at
28 days greater than 50N/mm
b)
Using this simpler method we can see that the cube strength at 14
days of less than 36N/mm² is
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Crushing 40-45 45-50 50-55 55-60 60-65
strength
N/mm²
Number 2 2 4 8 2
18 4 1
× = 0.5 × 0.2 = = 0.1111 = 11 .11 %
36 18 9
Estimated Mean = 35
∑ xcf
xc = = 19 = 0.527
∑f 36
Corrected Mean x = 35 + (0.527 * 2) = 36.05
2
∑ xc f
σc = − ( xc ) 2 =
55
− (0.527 ) 2 = 1.527 − 0.277729 =1.118
∑f 36
Using this figure for the standard deviation we can then calculate
the probability from the difference from mean ÷ Standard deviation
36 .05 − 36
= 0.02236
So 2.236
We must then calculate the result for cube strength less than
50N/mm² at 28 days.
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Estimated Mean = 52.5
∑ xcf 6
xc = = = 0.333
∑f 18
2
∑ xc f 26
σc = − ( xc ) 2 = − (0.333) 2 = 1.155
∑f 18
54 .167 − 50
= 0.722
= 5.77
Using this figure in the probability table we get a figure of
0.722=0.2642.
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Task 7
∑ xcf
xc = = 46 = 0.383
∑f 120
So corrected mean is
x = 29 .6 + (0.383 ×0.1) = 29 .6383 N / mm 2
2
∑ xc f
σc = − ( xc ) 2 =
198
− (0.383 ) 2 =1.2261
∑f 120
a) To work out the limits at which the values are likely to lay we
must calculate the upper and lower limits from the mean. We do
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this by taking the value for the mean and adding or subtracting 3
σ
So we can see that the upper limit and lower limit for this data is
as follows.
29 .6 +3σ = 29 .6 + (0.1×3) = 29 .96
Upper Limit
a)
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Task 9
Calculate the mean and the standard deviation from the mean.
For a full run of 3000, calculate the limits between which all the
diameters are likely to lie. Also calculate the number of bolts with
diameters less than 24.45mm.
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∑ xc f 119
σc = − ( xc ) 2 = − (0.283) 2 = 1.379
∑f 60
So the limits at which all diameters are likely to lay are calculated
by adding or subtracting 3 standard deviations to the mean
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25 .1415 + (0.6895 ×3) = 25 .1415 + 2.0685 = 27 .21 Upper Limit
So the limits at which all diameters are likely to lie are 23.073mm
and 27.021mm
So from this we can see that in 3000 blocks 15.87 % will have a
diameter less than 24.45mm
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Task 10
Evaluate the methods used in tasks 1 through to 9 and their
suitability within the construction industry.
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Bibliography
Virdi, 2006. Construction Mathematics. Butterworth-Heinemann.
http://en.wikipedia.org/
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