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FAKULTI OF BUSINESS AND MANAGEMENT

SBST1303 ELEMENTARY STATISTICS

NO. MATRIKULASI

710624025377001

NO. KAD PENGNEALAN

710624025377

NO. TELEFON

019-4146812

E-MEL

sobri5377@gmail.com

PENSYARAH

LIM YAI FUNG

PUSAT PEMBELAJARAN

PPW KEDAH

QUESTION 1

A) I
AGE
Tally

23-26
IIII

Frequency(f)
4
RelativeFrequency 0.1
10
Relative
Frequency(%)

27-30
IIII I

31-34
IIII II

6
0.15
15

7
0.175
17.5

35-38
IIII
IIII
9
0.225
22.5

39-42
IIII
III
8
0.2
20

43-46
IIII

47-50
II

SUM

4
0.1
10

2
0.05
5

40
1
100

a) ii

Histogram of Frequency Distribution


10
9
8
7

Frequency

6
5
4
3
2
1
0
23-26

27-30

31-34

35-38

Age

39-42

43-46

47-50

a) iii

The Less-than or Equal Cumulative Distribution


Age

Frequency
(f)

23-26
27-30
31-34
35-38
39-42
43-46
47-50
Sum

4
6
7
9
8
4
2
f = 40

Upper
Boundar
y
26.5
30.5
34.5
38.5
42.5
46.5
50.5

Cumulating
Process

Cumulative
Frequency

4
4+6
10 + 7
17 + 9
26 + 8
34 + 4
38 + 2

0
10
17
26
34
38
40

Cumulative
Frequency
(%)
0
25
42.5
65
85
95
100

Cumulative frequency of type less than


polygon for age of OUM graduates
45
40

Cumulative frequency (Age)

35
30
25
20
15
10
5
0
26.5

30.5

34.5

38.5

42.5

46.5

50.5

Upper boundary (OUM graduate)

b)

Cumulative frequency of type less than


polygon for age of OUM graduates
45
40

Cumulative frequency (Age)

35

Q3

30
25

Q2
20
15

25%
Q1

25%

10
5

25%
25%

0
26.5

30.5

34.5

38.5

42.5

46.5

50.5

Upper boundary (OUM graduate)

First quartile,r = 1
The data size = 40
Position = r / 4 (n + 1)
= 1 / 4 (40 + 1)
= 10.25
= 10 + 0.25
Q1 is at the position between tenth and eleventh,and it is 0.25 above the tenth
position.

Second quartile,r = 2
The data size = 40
Position = 2/4 (40+ 1)
= 20.5
= 20 + 0.5
Q2 is at the position between twentieth and twenty first,and it is 0.5 above the
twentieth position.

Third quartile, r = 3
The data size = 40
Position = 3/4( 40 + 1)
= 30.75
= 30 + 0.75
Q3 is at the position between thirtieth and thirty first,and it is 0.75 above the thirtieth
position.

b)
Mean Market A
1=23+21+24+23+24+23+22+22+23
9
=22.77
Mean Market B

2=20+20+21+22+22+23+21+21+23
9
=21.44

Mean Market A and B

1+2 = 22.77 + 21.44

9+9
= 2.45

Standard deviation Market A


= (23-22.7)+(21.22.77)+(24-22.7)+(23-22.77)+(24-22.77)+(23.77)+(2222.77)+(22-22.77)+(23-22.77)
= 0.9718
Standard devition Market B
= (20-21.44)+(20-21.44)+(21-21.44)+(22-21.44)+(22-21.44)+(23-21.44)+(2121.44)+(21-21.44)+(23-21.44)
= 1.13

Ii. Coefficient of variation Market A = Standard of variation/ Mean


= 0.97 / 22.77
= 0.04
Coefficient of variation Market B = Standard of variation/ Mean
= 1.13 / 21.44
= 0.05

QUESTION 2
a)

i. Mean = 5.01 + 4.98 + 5.02 + 5.00 + 4.99 + 5.00 + 4.97 + 5.02 + 5.00 + 5.01 + 5.00
12
=5

ii. Mode = 5.00


iii. Median = 4.97,4.98,4.99,5.00,5.00,5.00,5.00,5.01,5.01,5.01,5.02,5.02
= (12+1)/2=6.5th
Median = 5.00
iv. Variance = 0
v. Standard deviation
= (5.01-5) +( 4.98 -5)+ (5.02 -5)+ (5.00 -5)+ (4.99-5) + 5.00-5) +( 4.97-5) +
(5.02 -5)+ (5.00-5) +( 5.01-5) + (5.00-5) = 0.01505

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