Printable · GCSE Foundation · ages 14-16
Statistics worksheet — GCSE Foundation
Fifteen questions across the statistics statements at Foundation tier. Choose the non-calculator filter to rehearse Paper 1, which counts for a third of the marks.
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Statistics worksheet — GCSE Foundation
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- 1.The numbers 2, 4, 6, 8, 10 and 12 have a mean of 7 and a median of 7. The value 100 is now added to the list. Which measure is changed more by adding 100, and why?
- 2.The age, in years, and the score in a reaction test are recorded for eight members of a sports club: (14, 92), (18, 88), (23, 85), (27, 80), (31, 78), (36, 74), (42, 70), (49, 65). The eight pairs are plotted on a scatter graph. Describe the correlation between age and score.
- 3.Two classes at a school in Coventry sit the same maths test, out of 20 marks. Class A has a mean mark of 14 and a range of 6. Class B has a mean mark of 14 and a range of 14. Write a sentence comparing the two classes, using the mean and the range.
- 4.A garden centre records its total sales, in pounds, at the end of each of the twelve months of one year, to see how sales change over time. Write down the most suitable type of chart to show this time series data.
- 5.A scatter graph shows the midday temperature, x °C, and the number of ice creams sold at a seaside kiosk, y. The line of best fit is y = 3x − 20. Give a reason why the y-intercept of this line of best fit is not a sensible estimate of the number of ice creams sold.y = 3x − 20
- 6.Four pairs of variables are listed below. Write down the pair that you would expect to show no correlation.
- 7.A scatter graph shows the number of years of experience, x, of 18 sales assistants and their monthly sales, y hundred pounds. The plotted points run from x = 1 to x = 12 years, and the line of best fit is y = 4x + 20. A new assistant has 25 years of experience. Use the line of best fit to estimate a value of y for this assistant, and decide whether the estimate would be reliable.y = 4x + 20
- 8.A school has 1200 pupils. A teacher wants to take a random sample of 60 of them. Write down which of these methods gives a random sample.
- 9.A scatter graph plots the number of years, x, that 20 employees have worked at a company against their salary, y. All the plotted points lie between x = 1 and x = 15. Write down the word used to describe an estimate for y made using a value of x that lies between 1 and 15.
- 10.A company makes 50,000 light bulbs a day and wants to check how long they last before they fail. Testing a bulb to find out how long it lasts destroys it. Give a reason why the company should test a sample of bulbs rather than every bulb it makes.
- 11.A scatter graph shows the number of hours of sunshine, x, and the number of visitors, y, at an outdoor swimming pool in Torquay on each of 15 days. The line of best fit passes through the points (5, 150) and (15, 350). Work out the estimated number of visitors on a day with 8 hours of sunshine, using the line of best fit.
- 12.A vet records the masses, m kg, of 30 dogs at a clinic in Preston: 0 < m ≤ 10 — 11 dogs, 10 < m ≤ 20 — 5 dogs, 20 < m ≤ 30 — 5 dogs, 30 < m ≤ 40 — 9 dogs. Work out an estimate for the mean mass, in kg, using the midpoint of each class interval.
- 13.A café in York counts the number of customers in each of the nine hours it is open on one day: 4, 4, 4, 11, 13, 15, 18, 22 and 25. The owner says that a typical hour has about 4 customers, because 4 is the mode. Is the owner right? Give a reason for your answer.
- 14.A factory makes a batch of 4,000 circuit boards. It checks a random sample of 50 boards and finds that 4 are faulty. The factory will scrap the whole batch if the estimated number of faulty boards in the batch is more than 250. Should the factory scrap the batch?
- 15.There are 10,000 pupils in a city. A researcher picks a sample of 500 of them by drawing names at random from a list of every pupil in the city. Give the reason why this method gives a representative sample.
Answer key
- (c) The mean, because every value counts towards it, so 100 pulls it from 7 up to about 20.3. — Method: work each measure out before the extra value is added and again afterwards, then compare the size of the two changes. Working: before, the six values total 42, so the mean is 42 ÷ 6 = 7, and the middle pair 6 and 8 give a median of (6 + 8) ÷ 2 = 7; after, the seven values total 142, so the mean is 142 ÷ 7 = 20.29 to 2 decimal places, while the median is now the 4th of the seven ordered values, which is 8; the mean has moved by about 13.3 and the median by 1. Answer: the mean, because every value counts towards it, so 100 pulls it from 7 up to about 20.3 — this is why the median is often preferred when a data set contains an outlier. The distractors: the reply that the mean rises by 100 adds the extra value to the mean instead of adding it to the total; the reply that the median moves to 12 takes the largest of the original values as the new middle instead of counting to the 4th of the seven values; the reply about even and odd counts quotes a rule that does not exist, since the median moved because a very large value was added, not because the count of values changed.
- (c) Strong negative correlation — Method: correlation is described by two things — the direction the points take as the graph is read from left to right, and how closely the points lie to a single straight line. Working: reading the pairs in order of age, the ages rise 14, 18, 23, 27, 31, 36, 42, 49 while the scores fall 92, 88, 85, 80, 78, 74, 70, 65; the score falls at every single step, with no reversal anywhere, so the points fall from left to right and lie close to a straight line. Answer: strong negative correlation — negative for the falling direction, strong because every point follows the pattern. The distractors: strong positive correlation comes from noticing a clear pattern and calling any clear pattern positive, without checking the direction; weak negative correlation comes from reading the direction correctly but judging points that do not lie exactly on a straight line to be only loosely related, when these eight fall without a single exception; no correlation comes from reading a falling trend as though it showed no relationship at all, when a falling trend is itself a relationship.
- (a) Equal means; Class A is more consistent, smaller range. — Method: when two data sets share a measure of location, compare a measure of spread to say more about consistency. Working: both classes have the same mean mark, 14, so on average they performed equally well. Class A has the smaller range, 6, so its marks are more tightly grouped around 14 than Class B's marks, which vary by as much as 14. So Class A's marks were more consistent, even though neither class did better on average. Saying Class B did better because it has the bigger range confuses a wide spread with a high score — a big range describes variability, not performance. Saying Class A did better because it has the smaller range makes the same mistake in the other direction: the two classes are tied on the mean, so neither one 'did better'. Saying the classes cannot be compared because their means are equal misses the whole point of also comparing the range. Always compare both an average AND a spread before describing two data sets — either one alone tells only half the story.
- (b) A line graph — Sales recorded at the end of each of the twelve months are time series data, and a line graph is the chart built to show how a value changes over time, with the points usually joined in order. A pie chart is for showing categorical data as shares of a whole, not a trend over time. A pictogram shows a frequency for separate categories using symbols, not a continuous trend. A scatter graph is for comparing two different variables against each other, not one variable over time.
- (a) x = 0 gives y = −20: a negative number sold — The y-intercept is the value the line predicts when x = 0: y = 3 × 0 − 20 = −20. A kiosk cannot sell a negative number of ice creams, so this is not a sensible estimate. The 3 in the equation is the gradient, not the intercept, so an option claiming x = 0 gives y = 3 has swapped the two numbers around — substituting x = 0 makes the 3x term equal 0, leaving −20, not 3. The danger of extrapolating to very high temperatures is a real issue with this line, but it is a different issue from the y-intercept, so it does not answer this question. And whether x = 0 could occur on a trading day is beside the point: the model still makes that prediction, and it is the prediction itself, −20, that is impossible.
- (b) A person's shoe size and their favourite colour — A person's shoe size is not linked to which colour they prefer, so these two show no correlation. The other three pairs are all genuinely correlated: distance travelled and fuel used rise together, which is positive correlation; hours of revision and test score generally rise together, which is also positive correlation; and as outdoor temperature rises, fewer woolly hats are sold, which is negative correlation. Negative correlation is still a real relationship between two variables — it is not the same thing as no relationship at all, so the temperature and hats pair is not the answer to this question.
- (b) 120, unreliable — x = 25 is outside 1 to 12 — The line of best fit is y = 4x + 20. 4 × 25 = 100, and 100 + 20 = 120, so the estimate is y = 120. But x = 25 lies far outside the plotted range of 1 to 12 years, so this is an extrapolation, and the estimate is not reliable. Reaching 100 instead of 120 comes from 4 × 25 = 100 with the intercept of 20 left out — still correctly flagged as unreliable, but the wrong value. Calling the estimate reliable simply because it was calculated correctly, giving 120, wrongly assumes that a correct calculation is automatically trustworthy, ignoring that x = 25 lies far beyond the data actually collected. Reaching 68, from 4 × 12 = 48 and 48 + 20 = 68, substitutes x = 12, the top of the plotted range, instead of the assistant's actual x = 25, and wrongly calls that reliable because 12 lies inside the range.
- (a) Drawing 60 names at random from a list of all 1200 pupils — Method: a sample is random when every member of the population has the same chance of being chosen and nobody, including the pupils themselves, can influence who ends up in it; test each method against that. Working: drawing names from a list of all 1200 pupils gives each pupil the same chance, 60 out of 1200, whatever their year group, class or opinion, so the method is random. Answer: drawing 60 names at random from a list of all 1200 pupils. The distractors: asking the pupils who volunteer is self-selection, and the pupils with the strongest views volunteer first, so they decide the sample; asking the pupils nearest the door is convenience sampling, which reaches only those who happen to be in one place at one time; asking two Year 10 classes samples a cluster, so every pupil in the other year groups has no chance of being chosen at all.
- (b) Interpolation — The salary is being estimated for a value of x between 1 and 15, which is inside the range of x-values that were actually plotted, so this is interpolation. Extrapolation would apply if the estimate used a value of x below 1 or above 15, outside the plotted range. Correlation describes the relationship between the two variables, not the reliability of an estimate, and causation describes one variable actually causing a change in the other, which is a different idea altogether — neither is the word being asked for here.
- (d) Testing destroys bulbs, so testing all leaves none to sell. — Method: testing every item in a population instead of a sample is a census — sensible only when testing does not use up or destroy what is being tested. Working: here, testing a bulb to find its lifespan destroys it, so testing all 50,000 bulbs would leave nothing left to sell — a sample lets the company estimate the typical lifespan without destroying its whole stock. Extra electricity used in testing is not the real reason a census is avoided here — it is the destruction of the product that matters. Saying a sample is always more accurate than a full census is the wrong way round: a census, if it could be carried out, gives the exact figure for the whole population — it is testing being destructive, not a lack of accuracy, that rules it out here. There is no law against testing every item a company makes — nothing in the question suggests that. When testing destroys the item being tested, sampling is necessary, not just convenient.
- (d) 210 — 350 − 150 = 200. 200 ÷ 10 = 20, so the gradient is 20. Using the point (5, 150): 20 × 5 = 100, so 150 − 100 = 50 is the intercept, giving the line y = 20x + 50. At x = 8: 20 × 8 = 160, and 160 + 50 = 210, so the estimated number of visitors is 210. Choosing 160 stops after 20 × 8 = 160 and forgets to add the intercept of 50. Choosing 250 comes from averaging the two given y-values: 150 + 350 = 500, and 500 ÷ 2 = 250, instead of using the line's equation. Choosing 240 assumes the visitors are directly proportional to the hours of sunshine using the first point, 150 × 8 ÷ 5 = 240, which ignores that the line does not pass through the origin.
- (d) 19 kg — Method: estimate the mean of grouped data by multiplying each class's midpoint by its frequency, adding the four totals, then dividing by the total frequency. Working: the midpoints are 5, 15, 25 and 35 kg. The weighted totals are 11 × 5 = 55, 5 × 15 = 75, 5 × 25 = 125 and 9 × 35 = 315, which add to 570. Dividing by the 30 dogs gives an estimate of 570 ÷ 30 = 19 kg. Giving 5 kg reads off the midpoint of the modal class, 0 < m ≤ 10, the class with the most dogs — but the class with the most dogs is not where the mean falls, and neither is a substitute for actually calculating it. Giving 20 kg averages the four midpoints, (5 + 15 + 25 + 35) ÷ 4, treating every class as equally likely and ignoring that far more dogs are in the lightest and heaviest classes than in the middle two. Giving 570 kg stops after finding the correct weighted total and forgets the final division by the 30 dogs. Always weight each midpoint by its own frequency, and always finish by dividing by the total frequency, not the number of classes.
- (c) No, the mode here is the lowest value of the nine — Method: an average is meant to stand for the data as a whole, so test any proposed average by asking how many values it sits near. Working: the value 4 appears three times and every other count appears once, so 4 is indeed the mode. But those three hours are the quiet ones at the start of the day, and the other six counts run from 11 up to 25; putting the nine counts in order, the middle one is the fifth, which is 13. So the mode sits at the very bottom of the data, with six of the nine hours far above it. Answer: no, because the mode here is the lowest value of the nine, so it describes the quiet opening hours rather than a typical hour. The distractors: saying the mode can only be used when no value repeats reverses the definition, since a mode exists only because a value does repeat; saying the mode is the value that occurs most often is a correct definition, but being the commonest value does not make a value typical when it lies at one end of the data; saying the mode is the best average for any list of numbers ignores the fact that mean, median and mode each describe a population well in different circumstances.
- (c) Yes — with an estimate of 320, above the 250 limit. — Method: scale the sample proportion up to the whole batch to get an estimate, then compare that estimate with the 250 limit to reach a decision. Working: in the sample, 4 out of 50 boards are faulty, a proportion of 4 ÷ 50 = 0.08. Applying that proportion to the batch of 4,000 gives an estimate of 0.08 × 4000 = 320 faulty boards. Since 320 is more than 250, the factory should scrap the batch. Inverting the proportion, 50 ÷ 4 = 12.5, and treating that as a percentage of the batch, 12.5% × 4000 = 500, still gives 'yes' but from the wrong fraction, so it overstates the estimate. Comparing the raw number of faulty boards found in the sample, 4, directly with the 250 limit skips the scaling up to the batch altogether, and 4 is nowhere near 250, so that route wrongly says 'no'. Dividing the batch by the sample size, 4000 ÷ 50 = 80, finds how many samples of 50 fit into the batch but stops before multiplying by the 4 faulty boards found, so it also wrongly says 'no'. Always find the proportion in the sample first, scale it up to the whole batch, and only then compare the estimate with the limit given.
- (c) Because every pupil has an equal chance of being picked — Method: whether a sample represents its population is decided by the selection method, not by the size of the sample, so ask whether the method gives every member of the population the same chance of being chosen. Working: the names are drawn at random from a list of all 10,000 pupils, so each pupil has the same chance, 500 out of 10,000, of being drawn, and no group of pupils is more likely to appear than any other; that is what keeps bias out of the sample. Answer: because every pupil has an equal chance of being picked. The distractors: the reply about 5% treats the sampling fraction as the test of fairness, but a badly chosen 5% is still biased and a well chosen 1% is not; the reply about 500 being large enough makes size the test instead, which is the same mistake in another form, since a large sample drawn from one school would still misrepresent the city; the reply about the most willing pupils describes self-selection, which hands the choice of who is in the sample to the pupils who feel most strongly about the question.
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