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Quantitative Techniques-II



                      Notes         If we measure only the mean of these two distributions, we will miss an important difference
                                    between A and B. To increase our understanding of the pattern of the data, we must also measure
                                    its dispersion.
                                    Range: It is the difference between the highest and lowest observed values.
                                    i.e                      range = H – L, H = Highest, L = Lowest.
                                    Note:
                                    1.   Range is the crudest measure of dispersion.
                                           
                                          H L
                                    2.         is called the coefficient of range.
                                          H L
                                           
                                    Semi-Inter Quartile Range (Quartile deviation): Semi-Inter quartile range Q.
                                                                     Q  Q
                                    Q is given by               Q =    3   1
                                                                        2
                                    Note:

                                          Q  Q  1
                                           3
                                    1.           is called the coefficient of quartile deviation.
                                          Q  Q  1
                                           3
                                    2.   Quartile deviation is not a true measure of dispersion but only a distance of scale.
                                         Mean Deviation (MD): If A is any average then mean deviation about A is given by:
                                                                      f |x   A|
                                                                        i
                                                                          i
                                                            MD(A) =
                                                                         N
                                    Note:
                                                                          f |x   x|
                                                                              i
                                                                           i
                                    1.   Mean deviation about mean MD( x ) =
                                                                             N
                                    2.   Of all the mean deviations taken about different averages mean derivation about the
                                         median is the least.
                                          MD(A)
                                    3.           is called the coefficient of mean deviation.
                                            A

                                    Variance and Standard Deviation

                                              2
                                    Variance (s  ): A measure of the average squared distance between the mean and each term in
                                    the population.
                                                           1         2
                                                     s 2  =   f (x   x)
                                                                 i
                                                               i
                                                          N
                                    Standard deviation (s) is the positive square root of the variance:
                                                            1          2
                                                     s =       f (x   x)
                                                                   i
                                                                 i
                                                            N
                                                           1     2    2
                                                     s 2  =   f (x  (x)
                                                                 i
                                                               i
                                                          N
                                    Note:  Combined variance of two sets of data of N  and N  items with means x  and x  and
                                                                              1      2                1     2
                                    standard deviations s  and s  respectively is obtained by:
                                                      1
                                                            2
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