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X Y X*Y X-MX (X-MX)2 Y-MY (Y-MY)2

7 8 56 7-7,71 -0.71 0.51 8-6,86 1.14 1.31


1 10 10 1-7,71 -6.71 45.08 10-6,86 3.14 9.88
10 3 30 10-7,71 2.29 5.22 3-6,86 -3.86 14.88
11 5 55 11-7,71 3.29 10.80 5-6,86 -1.86 3.45
9 10 90 9-7,71 1.29 1.65 10-6,86 3.14 9.88
10 4 40 10-7,71 2.29 5.22 4-6,86 -2.86 8.16
6 8 48 6-7,71 -1.71 2.94 8-6,86 1.14 1.31
329 71.43 48.86

N= 7

X= Exi = 54 = 7.71
N 7

Y= Ey = 48 = 6.86
N 7

Sxy= Ex*y - Mx*My = 329 - (7,71)(6,86)


N 7

Sxy= 47 - 52.89796 = -5.89796 COVARIANZA


Sx= ⬚ − 2 Sx=√ 71.43
N-1 7-1

Sx=√ 71.43 Sx=√ 11.90476 VARIANZA


6

Sx= 3.45

Sy= ⬚ − 2 Sy=√ 48.86


N-1 7-1

Sy=√ 48.86 Sy=√ 8.142857 VARIANZA


6

Sy= 2.85

r= coeficiente correlacion linea

r= Sxy = -5.89796 r= -5.89796


sx*sy 3,45*2,85 9.845749

r= -0.60

ECUACION DE REGRESION

y= mx+b

y-My= Sxy (x-Mx) y-6,86= -5.89796 (x-7,71)


Sx2 11.90476

y-6,86= -0.49543 (x-7,71) y-6,86= -0.49543 x - -3.82

y= -0.49543 x -3.82 + 6.86

y= -0.49543 x + 3.04

y(7)= -0.49543 7 + 3.04 = -0.43 8 7.57


y(1)= -0.49543 1 + 3.04 = 2.54 10 7.46

y(10)= -0.49543 10 + 3.04 = -1.92 3 1.08

y(11)= -0.49543 11 + 3.04 = -2.41 5 2.59

y(9)= -0.49543 9 + 3.04 = -1.42 10 8.58

y(10)= -0.49543 10 + 3.04 = -1.92 4 2.08

y(6)= -0.49543 6 + 3.04 = 0.07 8 7.93

GRAFICA DE DISPERSION
12

10

0
0 2 4 6 8 10 12

y= -0.49543 x + 3.04

y(8)= -0.49543 8 + 3.04 = -0.93

Se espera que la persona lleve menos de un año trabajando en la compañía

y= -0.49543 x + 3.04

y(12)= -0.49543 12 + 3.04 = -2.91


Se espera que tenga un retraso de 2 minutos y 91 segundos
X Y X*Y X-MX (X-MX)2 Y-MY (Y-MY)2
2 8 16 2-8,25 -6.25 39.06 8-12,0 -4.00 16.00
4 9 36 4-8,25 -4.25 18.06 9-12,0 -3.00 9.00
5 11 55 5-8,25 -3.25 10.56 11-12,0 -1.00 1.00
7 11 77 7-8,25 -1.25 1.56 11-12,0 -1.00 1.00
10 12 120 10-8,25 1.75 3.06 12-12,0 0.00 0.00
11 14 154 11-8,25 2.75 7.56 14-12,0 2.00 4.00
12 15 180 12-8,25 3.75 14.06 15-12,0 3.00 9.00
15 16 240 15-8,25 6.75 45.56 16-12,0 4.00 16.00
878 139.50 56.00

N= 8
X= Exi = 66 = 8.25
N 8

Y= Ey = 96 = 12
N 8

Sxy= Ex*y - Mx*My = 878 - (8,25)(12)


N 8

Sxy= 109.75 - 99 = 10.75 COVARIANZA

Sx= ⬚ − 2 Sx=√ 139.50


N-1 8-1

Sx=√ 139.50 Sx=√ 19.92857 VARIANZA


7

Sx= 4.46

Sy= ⬚ − 2 Sy=√ 56.00


N-1 8-1

Sy=√ 56.00 Sy=√ 8 VARIANZA


7

Sy= 2.83

r= coeficiente correlacion linea

r= Sxy = 10.75 r= 10.75


sx*sy 4,46*2,83 12.6265

r= 0.85

ECUACION DE REGRESION

y= mx+b

y-My= Sxy (x-Mx) y-12= 10.75 (x-8,25)


Sx2 19.92857

y-12= 0.539427 (x-8,25) y-12= 0.539427 x - 4.45

y= 0.539427 x 4.45 + 12

y= 0.539427 x + 16.45

y(2)= 0.539427 2 + 16.45 = 17.53 8 9.53

y(4)= 0.539427 4 + 16.45 = 18.61 9 9.61

y(5)= 0.539427 5 + 16.45 = 19.15 11 8.15

y(7)= 0.539427 7 + 16.45 = 20.23 11 9.23

y(10)= 0.539427 10 + 16.45 = 21.84 12 9.84

y(11)= 0.539427 11 + 16.45 = 22.38 14 8.38

y(12)= 0.539427 12 + 16.45 = 22.92 15 7.92

y(15)= 0.539427 15 + 16.45 = 24.54 16 8.54

Grafico de dispersion
18
16
14
12
10
8
6
4
2
0
0 2 4 6 8 10 12 14 16
y= 0.539427 x + 16.45

y(13)= 0.539427 13 + 16.45 = 23.46

Se estima que con 13 libras de fertilizante se tendra una produccion de trigo de 23,46 toneladas

y= 0.539427 x + 16.45

y(10)= 0.539427 10 + 16.45 = 21.84

Se estima que con 10 toneladas de trigo se ha podido emplear 21,84 libras de fertilizantes
X Y X*Y X-MX (X-MX)2 Y-MY (Y-MY)2
7 8 56 7-6,50 0.50 0.25 8-8,0 0.00 0.00
6 7 42 6-6,50 -0.50 0.25 7-8,0 -1.00 1.00
5 6 30 5-6,50 -1.50 2.25 6-8,0 -2.00 4.00
4 6 24 4-6,50 -2.50 6.25 6-8,0 -2.00 4.00
5 7 35 5-6,50 -1.50 2.25 7-8,0 -1.00 1.00
8 10 80 8-6,50 1.50 2.25 10-8,0 2.00 4.00
7 9 63 7-6,50 0.50 0.25 9-8,0 1.00 1.00
8 9 72 8-6,50 1.50 2.25 9-8,0 1.00 1.00
9 10 90 9-6,50 2.50 6.25 10-8,0 2.00 4.00
6 8 48 6-6,50 -0.50 0.25 8-8,0 0.00 0.00
540 22.5 20.00

N= 10

X= Exi = 65 = 6.50
N 10

Y= Ey = 80 = 8
N 10

Sxy= Ex*y - Mx*My = 540 - (6,50)(8)


N 10

Sxy= 54 - 52 = 2 COVARIANZA

Sx= ⬚ − 2 Sx=√ 22.50


⬚ − 2
N-1 (10-1)

Sx=√ 22.50 Sx=√ 2.5 VARIANZA


9

Sx= 1.58

Sy= ⬚ − 2 Sy=√ 20.00


N-1 (10-1)

Sy=√ 20.00 Sy=√ 2.222222 VARIANZA


9

Sy= 1.49

r= coeficiente correlacion linea

r= Sxy = 2 r= 2
sx*sy 1,58*1,49 2.357023

r= 0.85

ECUACION DE REGRESION

y= mx+b

y-My= Sxy (x-Mx) y-8= 2 (x-6,50)


Sx2 2.5

y-8= 0.8 (x-6,50) y-8= 0.8 x - 5.20

y= 0.8 x 5.20 + 8

y= 0.8 x + 13.20

y(7)= 0.8 7 + 13.20 = 18.80 8 10.80

y(6)= 0.8 6 + 13.20 = 18.00 7 11.00

y(5)= 0.8 5 + 13.20 = 17.20 6 11.20


y(4)= 0.8 4 + 13.20 = 16.40 6 10.40

y(5)= 0.8 5 + 13.20 = 17.20 7 10.20

y(8)= 0.8 8 + 13.20 = 19.60 10 9.60

y(7)= 0.8 7 + 13.20 = 18.80 9 9.80

y(8)= 0.8 8 + 13.20 = 19.60 9 10.60

y(9)= 0.8 9 + 13.20 = 20.40 10 10.40

y(6)= 0.8 6 + 13.20 = 18.00 8 10.00

Grafico de dispersion
12

10

0
0 1 2 3 4 5 6 7 8 9 10

y= 0.8 x + 13.20

y(10)= 0.8 10 + 13.20 = 21.20

Se estima que cometera cerca de 21,20 errores


X Y X*Y X-MX (X-MX)2 Y-MY (Y-MY)2
3.6 120 432 3,6-4,04 -0.44 0.19 120-125 -4.80 23.04
3.7 130 481 3,7-4,04 -0.34 0.12 130-125 5.20 27.04
3.8 125 475 3,8-4,04 -0.24 0.06 125-125 0.20 0.04
4.6 120 552 4,6-5,04 0.56 0.31 120-125 -4.80 23.04
4.9 135 661.5 4,9-6,04 0.86 0.74 135-125 10.20 104.04
4.4 130 572 4,4-5,04 0.36 0.13 130-125 5.20 27.04
4.4 125 550 4,4-5,04 0.36 0.13 125-125 0.20 0.04
4.2 128 537.6 4,2-5,24 0.16 0.03 128-125 3.20 10.24
3.6 115 414 3,6-4,04 -0.44 0.19 115-125 -9.80 96.04
3.2 120 384 3,2-3,04 -0.84 0.71 120-125 -4.80 23.04
5059.1 2.604 333.60

N= 10

X= Exi = 40.4 = 4.04


N 10

Y= Ey = 1248 = 125
N 10

Sxy= Ex*y - Mx*My = 5059.1 - (4,04)(125)


N 10

Sxy= 505.91 - 504.192 = 1.718 COVARIANZA


Sx= ⬚ − 2 Sx=√ 2.60
N-1 (10-1)

Sx=√ 2.60 Sx=√ 0.289333 VARIANZA


9

Sx= 0.54

Sy= ⬚ − 2 Sy=√ 333.60


N-1 (10-1)

Sy=√ 333.60 Sy=√ 37.06667 VARIANZA


9

Sy= 6.09

r= coeficiente correlacion linea

r= Sxy = 1.718 r= 1.718


sx*sy 0,54*6,09 3.274847

r= 0.52

ECUACION DE REGRESION

y= mx+b

y-My= Sxy (x-Mx) y-125= 1.718 (x-4,04)


Sx2 0.289333

y-125= 5.937788 (x-4,04) y-125= 5.937788 x - 23.99

y= 5.937788 x 23.99 + 125

y= 5.937788 x + 148.99

y(3,6)= 5.937788 3.6 + 148.99 = 170.36 120 50.36


y(3,7)= 5.937788 3.7 + 148.99 = 170.96 130 40.96

y(3,8)= 5.937788 3.8 + 148.99 = 171.55 125 46.55

y(4,6)= 5.937788 4.6 + 148.99 = 176.30 120 56.30

y(4,9)= 5.937788 4.9 + 148.99 = 178.08 135 43.08

y(4,4)= 5.937788 4.4 + 148.99 = 175.11 130 45.11

y(4,4)= 5.937788 4.4 + 148.99 = 175.11 125 50.11

y(4,2)= 5.937788 4.2 + 148.99 = 173.93 128 45.93

y(3,6)= 5.937788 3.6 + 148.99 = 170.36 115 55.36

y(3,2)= 5.937788 3.2 + 148.99 = 167.99 120 47.99

ECUACION DE REGRESION

x= my+b

x-Mx= Sxy (y-My) x-4,04= 1.718 (y-125)


Sx2 0.289333

x-4,04= 5.937788 (y-125) x-4,04= 5.937788 x - 741.04

x= 5.937788 y 741.04 + 4.04

x= 5.937788 y + 745.08

x(3,6)= 5.937788 120 + 745.08 = 1457.61 3.6 1454.01

x(3,7)= 5.937788 130 + 745.08 = 1516.99 3.7 1513.29

x(3,8)= 5.937788 125 + 745.08 = 1487.30 3.8 1483.50

x(4,6)= 5.937788 120 + 745.08 = 1457.61 4.6 1453.01


x(4,9)= 5.937788 135 + 745.08 = 1546.68 4.9 1541.78

x(4,4)= 5.937788 130 + 745.08 = 1516.99 4.4 1512.59

x(4,4)= 5.937788 125 + 745.08 = 1487.30 4.4 1482.90

x(4,2)= 5.937788 128 + 745.08 = 1505.11 4.2 1500.91

x(3,6)= 5.937788 115 + 745.08 = 1427.92 3.6 1424.32

x(3,2)= 5.937788 120 + 745.08 = 1457.61 3.2 1454.41

Grafico de dispersion
140

135

130

125

120

115

110
0 1 2 3 4 5 6

x= 5.937788 y + 745.08

x(118)= 5.937788 118 + 745.08 = 1445.73

Se estima que el rendimiento academico seria de 1445,73

y= 5.937788 x + 148.99

y(4,8)= 5.937788 4 + 148.99 = 172.74

Se estima que tenga un coeficiente intelectual de 172,74

Histograma
140

135

130

125

120

115

110

105
3.6 3.7 3.8 4.6 4.9 4.4 4.4 4.2 3.6 3.2
X Y X*Y X-MX (X-MX)2 Y-MY (Y-MY)2
20 25 500 20-10,10 9.90 98.01 25-40 -14.70 216.09
5 50 250 5-10,10 -5.10 26.01 50-40 10.30 106.09
10 35 350 10-10,10 -0.10 0.01 35-40 -4.70 22.09
20 20 400 20-10,10 9.90 98.01 20-40 -19.70 388.09
8 45 360 8-10,10 -2.10 4.41 45-40 5.30 28.09
2 50 100 2-10,10 -8.10 65.61 50-40 10.30 106.09
15 30 450 15-10,10 4.90 24.01 30-40 -9.70 94.09
12 40 480 12-10,10 1.90 3.61 40-40 0.30 0.09
1 62 62 1-10,1 -9.10 82.81 62-40 22.30 497.29
8 40 320 8-10,10 -2.10 4.41 40-40 0.30 0.09
3272 406.9 1458.10

N= 10

X= Exi = 101 = 10.10


N 10

Y= Ey = 397 = 40
N 10

Sxy= Ex*y - Mx*My = 3272 - (10,10)(40)


N 10

Sxy= 327.2 - 400.97 = -73.77 COVARIANZA

Sx= ⬚ − 2 Sx=√ 406.90


⬚ − 2
N-1 (10-1)

Sx=√ 406.90 Sx=√ 45.21111 VARIANZA


9

Sx= 6.72

Sy= ⬚ − 2 Sy=√ 1458.10


N-1 (10-1)

Sy=√ 1458.10 Sy=√ 162.0111 VARIANZA


9

Sy= 12.73

r= coeficiente correlacion linea

r= Sxy = -73.77 r= -73.77


sx*sy 12,73*6,72 85.58447

r= -0.86

ECUACION DE REGRESION

y= mx+b

y-My= Sxy (x-Mx) y-10= -73.77 (x-39,70)


Sx2 45.21111

y-10= -1.63168 (x-4,04) y-10= -1.63168 x - -16.48

y= -1.63168 x -16.48 + 10

y= -1.63168 x + -6.48

y(20)= -1.63168 20 + -6.48 = -39.11 25 -14.11

y(5)= -1.63168 5 + -6.48 = -14.64 50 35.36

y(10)= -1.63168 10 + -6.48 = -22.80 35 12.20


y(20)= -1.63168 20 + -6.48 = -39.11 20 -19.11

y(8)= -1.63168 8 + -6.48 = -19.53 45 25.47

y(2)= -1.63168 2 + -6.48 = -9.74 50 40.26

y(15)= -1.63168 15 + -6.48 = -30.96 30 -0.96

y(12)= -1.63168 12 + -6.48 = -26.06 40 13.94

y(1)= -1.63168 1 + -6.48 = -8.11 62 53.89

y(8)= -1.63168 8 + -6.48 = -19.53 40 20.47

Grafico de dispersion
70

60

50

40

30

20

10

0
0 5 10 15 20 25

y= -1.63168 x + -6.48

y(38)= -1.63168 38 + -6.48 = -68.48

Se estima que un trabajador faltaria menos de 68 dias al año

y= -1.63168 x + -6.48
y(3)= -1.63168 3 + -6.48 = -11.37

Se estima que tendra menos de 11 años

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