Answer:
Standard deviation of a normal data distribution is a measure of data dispersion.
Step-by-step explanation:
Standard deviation is used to measure dispersion which is present around the mean data.
The value of standard deviation will never be negative.
The greater the spread, the greater the standard deviation.
Steps-
1. At first, the mean value should be discovered.
2.Then find out the square of it's distance to mean value.
3.Then total the values
4.Then divide the number of data point.
5.the square root have to be taken.
Formula-
SD=
Advantage-
It is used to measure dispersion when mean is used as measure of central tendency.
Answer:
-8/1 or -8
Step-by-step explanation:
when you subtract a negative, it means add. so first lets add the one. we get -8 1/3. then we can add the 1/3. our final answer is -8
Answer:
Part A - the independant variable is the monthly allowance, and the dependent amount is the one that he has to get As for in order to receive it.
Part B - y = 30x + 20
Step-by-step explanation:
Yes, they are equivalent. Another equivalent fraction would be any fraction that equals to 1. Eg. 9/9
I believe Murray is 22 end his mother 44
59-15=44
44÷2=22