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Find the value that is 1 standard deviation above the mean. Find .
Find the value that is two standard deviations below the mean. Find .
Find the values that are 1.5 standard deviations from (below and above) the mean.
The variance is a squared measure and does not have the same units as the data. Taking the square root solves the problem. The standard deviation measures the spread in the same units as the data.
Notice that instead of dividing by n=20, the calculation divided by n-1=20-1=19 because the data is a sample. For the sample variance, we divide by the sample size minus one ( ). Why not divide by ? The answer has to do with the population variance. The sample variance is an estimate of the population variance. Based on the theoretical mathematics that lies behind these calculations, dividing by gives a better estimate of the population variance.
The standard deviation, or , is either zero or larger than zero. When the standard deviation is 0, there is no spread; that is, the all the data values are equal to each other. The standard deviation is small when the data are all concentrated close to the mean, and is larger when the data values show more variation from the mean. When the standard deviation is a lot larger than zero, the data values are very spread out about the mean; outliers can make or very large.
The standard deviation, when first presented, can seem unclear. By graphing your data, you can get a better "feel" for the deviations and the standard deviation. You will find that in symmetrical distributions, the standard deviation can be very helpful but in skewed distributions, the standard deviation may not be much help. The reason is that the two sides of a skewed distribution have different spreads. In a skewed distribution, it is better to look at the first quartile, the median, the third quartile, the smallest value, and the largest value. Because numbers can be confusing, always graph your data .
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