Random Variables: Mean, Variance and Standard Deviation

Random Variables: Mean, Variance and Standard Deviation

Random Variables: Mean, Variance and Standard Deviation 150 150 SchoolTutoring Academy

When determining characteristics of a variable, there are a variety of data points that can be determined. For all of our examples shown today, we will let X be the random variable with the possible values xi, for i=1,2,…..,n with the corresponding probabilities P(X=xi), i=1,2,,…..n.
Mean:

The mean of a random variable is the average of all the possible values of the random variable.

The series if exists is called the mean of random variable X and it is denoted by ‘µ’ .

i.e. Mean, µ =

Variance :

The variance of a random variable measures the variability (or spread) of the distribution.

The series if exists is called the variance of a random  variable X and is denoted by   .

i.e. Variance,

Standard deviation:  The non negative number which is the square root of variance is called  standard deviation and is denoted by .

i.e standard deviation,

Example:  When 3 coins are tossed, the probability distribution of X where X denotes the number of heads is,

X = r

0

1

2

3

P(X =r)

1/8

3/8

3/8

1/8

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