Module 5 - Measures of Variability
Module 5 - Measures of Variability
In the previous chapters, we discovered how valuable frequency tables and graphs are in discerning
patterns of variations and certain important features of a mass of data. We also realized how general and
inadequate these characteristics are. In this chapter, we shall consider some descriptive measures that will
allow us to make more specific quantitative statements concerning a set of data. Among such measures are
the Measures of Central Tendency, which are generally referred to as “averages” and the Measures of
Variability or “spread”. These measures are intended to describe precisely the center or middle as well as the
distribution of the data from the center.
Learning Content
1. Range, Variance and Standard Deviation of Ungrouped Data
2. Range, Variance and Standard Deviation of Grouped Data
Learning Outcomes
1. Solve for the measures of central tendency and variability in a given set of data.
2. Analyze a given data using the information from the measures of variability.
3. Discuss the importance of the measures of variability.
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5.1 MEASURES OF VARIABILITY OF UNGROUPED DATA
The measures of central tendency are not enough to provide complete and useful data and
information. There is a need to support them with other computational measures of description,
commonly known as the measures of variability.
The measures of variability indicate the degree or extent to which numerical values are
dispersed or spread out about the average value in a distribution. The more popularly used measures
of variability, such as the range, variance and standard deviation, will be discussed in this lesson.
Solution:
A. R = 24 – 15 = 9
B. R = 40 – 3 = 37
We observed that the range merely measures how far the highest value is from the lowest
value. The fact that it does not tell anything about the scores between these two values makes
it a very weak measure of variation. The only advantage it has over the other two measures is
that it is easily determined.
∑(𝑋−𝜇)2 ∑(𝑋−𝑥̅ )2
𝜎2 = for population data and 𝑠2 = for sample data.
𝑁 𝑛−1
Note: For the sake of learning, we are going to use the formula for population data in solving
the variance and standard deviation from hereon.
1. Find the mean of the data. (round off to the nearest whole number)
2. Subtract the mean from each value.
3. Square each deviation of the mean.
4. Find the sum of the squares.
5. Substitute in the formula.
Note: For the sake of learning, we are going to use the formula for population data in solving
the variance and standard deviation from hereon.
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Example 1: Calculate the variance of the following data:
8, 9, 10, 12, 17, 18, 18, 19, 20, 21
Solution:
8 + 9 + 10 + 12 + 17 + 18 + 18 + 19 + 20 + 21
𝑋̅ = = 15.2 ≈ 15
10
Step 2 – 4:
X ̅)
(𝑿 − 𝑿 ̅ )𝟐
(𝑿 − 𝑿 Substituting the value in our formula:
8 -7 49 ∑(𝑋−𝑋̅ )2 218
𝜎2 = = = 𝟐𝟏. 𝟖
10 10
9 -6 36
10 -5 25
12 -3 9
17 2 4
18 3 9
18 3 9
19 4 16
20 5 25
21 6 36
∑(𝑋 − 𝑋̅)2
= 218
Example 2: Which of the following data is more variable? Hint: higher value for Variance
means more variability.
∑(𝑋−𝜇)2 ∑(𝑋−𝑥̅ )2
𝜎=√ and 𝑠 = √
𝑁 𝑛−1
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In example 1 in variance, the computed variance is 21.8. To find for the standard deviation,
we simply take the square root of 21.8 to get 4.67. Thus, the standard deviation of the data set
is 4.67.
More Examples: Solve for the standard deviation of the following data:
Let’s try to solve for the range of the test scores found on table 1.1.
TABLE 1.1
FREQUENCY DISTRIBUTION OF THE TEST SCORES
OF FIFTY (50) STUDENTS IN STATISTICS
R = UBh – LBl
= 54.5 – 19.5
= 35
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4. Multiply each squared deviation by the corresponding frequency.
5. Take the sum of the results in step 4.
6. Divide the sum in step 5 by n – 1 if the values constitute a sample, or by N if they
constitute a population.
Symbolically, we get
Note: Just like in ungrouped data, we will make use of the first formula in order for us to
arrive with the same answers.
Example: Find the variance of the test scores found in Table 1.1
Solution:
𝜎 = √𝜎 2 = √62.3 = 𝟕. 𝟖𝟗
TRY THIS!
Compute for the range, variance and standard deviation of the table on the daily allowances of 70
students enrolled in LORMA Colleges.
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Daily Allowance of
BS Nursing Students
500 – 549 2
450 – 499 3
400 – 449 1
350 – 399 3
300 – 349 4
250 – 299 14
200 – 249 12
150 – 199 21
100 – 149 10
References
Febre, F. (1987). Introduction to Statistics. Quezon City. Phoenix Publishing House.
Selvamuthu, D. and Das, D. (2018). Introduction to Statistical Methods, Design of Experiments and
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