Learner's Activity Sheet: Statistics and Probability (Quarter III - Week 2)
Learner's Activity Sheet: Statistics and Probability (Quarter III - Week 2)
Learner's Activity Sheet: Statistics and Probability (Quarter III - Week 2)
Dear Learner,
Good day!
Your Teacher
Activity 1.2 Instruction: Let’s find out if you are ready to learn this
new lesson. Write your answers on the space provided.
(5 points / 1 point each)
Given the values of the variables X and Y, evaluate the following summations.
X1 = 5, Y1 = 3 (1) ΣΧ _______________________________________________
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X3 = 3, Y3 = 1 (2) Σ(Χ + Y) _______________________________________________
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X2 = 4, Y2 = 2 (3) ΣΧY _______________________________________________
11
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X4 = 2, Y4 = 0 (4) Σ4ΧY _______________________________________________
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(5) ΣY _______________________________________________
1
Activity 1.3
Based on the data gathered, as shown in the table below, there are 5227 drug
users who have undergone treatment in an outpatient facility. Compute the
variance and the standard deviation of the probability distribution. (20 points)
1. How to compute the mean of a discrete random variable? State the 3 steps.
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2. How to find the variance and standard deviation of a discrete random variable?
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You and your friends have just measured the heights of your dogs (in millimeters):
The Mean 𝜇 of a discrete random variable is the central value or average of its
corresponding probability mass function. It is also called as the Expected
Value. It is computed using the formula:
𝜇 = Σ[𝑥 • 𝑃(𝑥)]
Where x is the outcome and P(x) is the probability of the outcome.
2
STEPS IN FINDING THE MEAN
Step 1: Construct the probability distribution for the random variable X
representing the height of each dog.
Step 2: Multiply the value of the random variable X by the corresponding
probability.
Step 3: Add the results obtained in Step 2. Results obtained is the mean of the
probability distribution.
Standard Deviation
Σ = √21,704
= 147.32...
Σ = 147 (to the nearest mm)
The good thing about the Standard Deviation is that it is useful. Now we can show
which heights are within one Standard Deviation (147mm) of the Mean:
So, using the Standard Deviation we have a "standard" way of knowing what is
normal, and what is extra-large or extra small.
Rottweilers are tall dogs, and Dachshunds are a bit short, right?
The variance and standard deviation are two values that describe how scattered
or spread out the scores are from the mean value of the random variable.
σ² = ∑(x − µ)²•P(x)
3
STEPS IN FINDING THE VARIANCE AND STANDARD DEVIATION
1. Find the mean of the probability distribution.
2. Subtract the mean from each value of the random variable X.
3. Square the result obtained in Step 2.
4. Multiply the results obtained in Step 3 by the corresponding probability.
5. Get the sum of the results obtained in Step 4. Results obtained is the value of
the variance of probability distribution.
X P(x) x•P(x)
5 50%
10 12%
20 38%
Σ[𝑥 • 𝑃(𝑥)] = 𝜇 =
4
Activity 4.2
Determine the Variance and Standard Deviation of each random variable. Write
your answer in the table. (Write your solution on the space provided below).
(20 points)
5
References:
• Alternative Delivery Mode – SDM Bataan
Published by the Department of Education
Secretary: Leonor Magtolis Briones
Undersecretary: Diosdado M. San Antonio
• Website
CERTIFICATION
____________________________________________ ______________________
Name and Signature of the Parent Date