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Σ(𝑋 − 𝜇)2
𝜎=
𝑁
Compute for the Mean and Variance of Sampling
Distribution of the Sample Means
• Complete the table below:
ഥ
𝑿 ഥ)
𝑷(𝑿 ഥ 𝑷(𝑿
𝑿 ഥ) ഥ−𝝁
𝑿 ഥ − 𝝁)𝟐
(𝑿 ഥ )(𝑿
𝑷(𝑿 ഥ − 𝝁)𝟐
Variance: ഥ )(𝑿
𝜎 2𝑋ത = Σ𝑷(𝑿 ഥ − 𝝁)𝟐
Σ𝑋 ഥ 𝑷(𝑿
ഥ)
Mean 𝜇= 𝜇𝑋ത = 𝑿
𝑁
2
Σ(𝑋 − 𝜇) ഥ )(𝑿
ഥ − 𝝁)𝟐
Variance 𝜎2 = 𝜎 2𝑋ത = Σ𝑷(𝑿
𝑁
Σ(𝑋 − 𝜇)2
Standard Deviation 𝜎= 𝜎𝑋ത = ഥ )(𝑿
Σ𝑷(𝑿 ഥ − 𝝁)𝟐
𝑁
Practice
𝜎2 𝑁−𝑟
a) 𝜎 2
𝑋ത = ∙ for finite population; and
𝑟 𝑁−1
𝜎2
b) 𝜎 2𝑋ത = for infinite population
𝑟
Properties of Sampling Distribution of Sample
Mean
𝜎 𝑁−𝑟 𝑁−𝑟
a) 𝜎𝑋ത = ∙ for finite population where is the finite
𝑟 𝑁−1 𝑁−1
population correction factor
𝜎
b) 𝜎𝑋ത = for infinite population
𝑟
Central Limit Theorem
a) N=200, r=10
b) N=2000, r=10
c) N=400, r=40