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Related Concept Videos

Calculating Standard Deviation01:08

Calculating Standard Deviation

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The standard deviation is the most common measure of variation. It is a value that tells us how far a data value is from the mean value in a dataset. Further, the standard deviation is always a positive value or zero.
The standard deviation value is small when all the data is concentrated close to the mean. Here the data exhibits low variation. The standard deviation value is larger when the data values are more spread out from the mean. Here, the data displays high...
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Testing a Claim about Standard Deviation01:19

Testing a Claim about Standard Deviation

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A complete procedure to test a claim about population standard deviation or population variance is explained here.
The hypothesis testing for the claim of population standard deviation (or variance) requires the data and samples to be random and unbiased. The population distribution also must be normal. There is no specific requirement on the sample size as the estimation is based on the chi-square distribution.
As a first step, the hypothesis (null and alternative) concerning the claim about...
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Standard Deviation of Calculated Results01:14

Standard Deviation of Calculated Results

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Standard deviation measures the spread of data around the mean value. Many large data sets follow a Gaussian distribution, also known as a normal distribution. This distribution is bell-shaped curved, with the most frequently observed value (mean or central value) in the middle. The farther away from the central value, the greater the deviation from the central value, and the lower the frequency.
A broad Gaussian distribution curve has a wider standard deviation, representing a data set with...
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Chebyshev's Theorem to Interpret Standard Deviation01:15

Chebyshev's Theorem to Interpret Standard Deviation

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Chebyshev’s theorem, also known as Chebyshev’s Inequality, states that the proportion of values of a dataset for K standard deviation is calculated using the equation:
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Standard Deviation01:10

Standard Deviation

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The most commonly used measure of variation is the standard deviation. It is a numerical value measuring how far data values are from their mean. The standard deviation value is small when the data are concentrated close to the mean, exhibiting slight variation or spread. The standard deviation value is never negative, it is either positive or zero. The standard deviation is larger when the data values are more spread out from the mean, which means the data values are exhibiting more...
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Standard Error of the Mean01:13

Standard Error of the Mean

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The sampling variability of a statistic is defined as how much the statistic varies from one sample to another. The sampling variability of a statistic is typically measured by measuring its standard error.The standard error of the mean is an example of a standard error. It is a unique standard deviation known as the standard deviation of the sampling distribution of the mean. The standard error of the mean is a statistic that calculates how correctly a sample distribution represents a...
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Problematic consequences of using standard errors rather than standard deviations: calculation of effect sizes

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No abstract available in PubMed .

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