For normal distributions, all measures can be used. The standard deviation and variance are preferred because they take your whole data set into account, but this also means that they are easily influenced by outliers. For skewed distributions or data sets with outliers,
the interquartile range
is the best measure.
What are the advantages of interquartile range over standard deviation?
The important advantage of interquartile range is that
it can be used as a measure of variability if the extreme values are not being recorded exactly
(as in case of open-ended class intervals in the frequency distribution). [2] Other advantageous feature is that it is not affected by extreme values.
Which measure of variability is most accurate?
The standard deviation
is the most commonly used and the most important measure of variability. Standard deviation uses the mean of the distribution as a reference point and measures variability by considering the distance between each score and the mean.
Why is the IQR preferred over the range as a measure of variability?
The interquartile range is not affected by extreme values. Therefore, when the distribution of data is highly skewed or contains extreme observations, it is best to use the interquartile range as the measure of dispersion
because it is resistant
.
Which is the best measure of variability and why?
The interquartile range
is the best measure of variability for skewed distributions or data sets with outliers. Because it’s based on values that come from the middle half of the distribution, it’s unlikely to be influenced by outliers.
Why is standard deviation considered to be the most reliable measure of variability?
When the values in a dataset are grouped closer together, you have a smaller standard deviation. On the other hand, when the values are spread out more, the standard deviation is
larger because the standard distance is greater
. … Consequently, the standard deviation is the most widely used measure of variability.
Which measure of variability is the simplest to use?
The range
, another measure ofspread, is simply the difference between the largest and smallest data values. The range is the simplest measure of variability to compute.
Does higher standard deviation mean more variability?
Explanation: Standard deviation measures how much your entire data set differs from the mean. The larger your standard deviation, the more spread or variation in your data. …
There is greater variability in
the test scores.
What are two problems with range as a measure of variability?
The problem with using the range as a measure of variability is that
it is completely determined by two extreme values and ignore the other scores in the distribution
. Thus, a distribution with one unusually large score has a large range even if the other scores are all clustered together.
Why is the range not a good measure of variability?
The range is a poor measure of
variability because it is very insensitive
. By insensitive, we mean the range is unaffected by changes to any of the middle scores. As long as the highest score (i.e., 6) and the lowest score (i.e., 0) do not change, the range does not change.
Which is better interquartile range or standard deviation?
When to Use Each. You should use the interquartile range to measure the spread of values in a dataset when there are extreme outliers present. Conversely, you should use
the standard deviation
to measure the spread of values when there are no extreme outliers present.
Which is a better summary of the Spread the IQR of the standard deviation?
The IQR is often seen as a better measure of spread than the range as it is not affected by outliers. The
variance
and the standard deviation are measures of the spread of the data around the mean. They summarise how close each observed data value is to the mean value.
Why would someone analyze these data using the median and interquartile range instead of the mean and standard deviation?
If
there are outliers it is better
to use the median and IQR to measure the center and spread. If there isn’t much variability and there are not any outliers then it may be better to use the mean and the standard deviation. … I will use median if there is any outliers but I will use mean if there is no outlier.
Does a higher IQR mean more variability?
The interquartile range is the third quartile (Q3) minus the first quartile (Q1). … But the IQR is less affected by outliers: the 2 values come from the middle half of the data set, so they are unlikely to be extreme scores. The IQR gives
a consistent measure of variability for skewed
as well as normal distributions.
Why is the standard deviation usually preferred over the ranges?
(a) The standard deviation s is generally preferred over the range
because it is calculated from all of the data and will not be impacted as much as the range when there are outliers
.
Is the IQR the middle 50%?
The IQR describes the
middle 50% of values when ordered from lowest to highest
. To find the interquartile range (IQR), first find the median (middle value) of the lower and upper half of the data. These values are quartile 1 (Q1) and quartile 3 (Q3). The IQR is the difference between Q3 and Q1.