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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Answer key: Statistics worksheet — GCSE Foundation
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- (d) Only families with strong feelings bothered to reply. — Method: a survey has non-response bias when only some of the people asked actually reply, and those who do are not a typical cross-section of everyone who was asked. Working: only 30 of the 200 families sent back their questionnaire, and 27 of those 30 — the great majority — said they were unhappy. Families who feel strongly about an issue, particularly those with a complaint, are far more likely to make the effort to reply than families who are simply satisfied and see no need to say anything, so the 30 replies over-represent unhappy families. Saying the families who replied were picked at random by the school gets the sampling the wrong way round: nobody picked them — they picked themselves by deciding to reply, and that is precisely why they are not a typical cross-section of all 200. Saying postal surveys always have low response rates restates that the response was low without explaining why a low response rate, on its own, makes a result unrepresentative — it is the reason FOR the low response, not the low response itself, that causes the bias here. Saying that the 27 unhappy replies show most families are unhappy is exactly the mistake the question is warning against: it treats the loudest 30 replies as if they stood for the other 170 who never sent theirs back. A low response rate is a warning sign only because the people who bother to reply are rarely typical of everyone who was asked.
- (a) The means are equal, and Class B's marks are the more consistent because its range is smaller. — Method: comparing two distributions needs two things — a measure of average and a measure of spread — and each must be put into the context of the question. Working: both classes have a mean mark of 70, so on average the two classes scored the same; the range measures spread, and Class A's range of 30 marks is three times Class B's range of 10 marks, so Class B's marks sit closely around the mean while Class A's are far more spread out. Answer: the means are equal, and Class B's marks are the more consistent because its range is smaller. The distractors: the reply crediting Class A with more consistency reverses the meaning of the range, treating a larger range as tighter data when a larger range means more spread; the reply that Class A's mean mark is higher compares the wrong pair of figures, reading the range of 30 as an average; the reply that Class B's mean mark is higher reads the spread correctly but its claim about the means is false, since both means are 70.
- (c) 33 — Method: multiply the mean by the number of tests to get the total marks, then subtract the marks that are already known. Working: four tests with a mean of 29 give a total of 29 × 4 = 116 marks; the first three marks total 31 + 26 + 26 = 83; so the fourth mark is 116 − 83 = 33. Answer: 33, and checking, (31 + 26 + 26 + 33) ÷ 4 = 116 ÷ 4 = 29. The distractors: 116 comes from stopping at the total for all four tests; 29 comes from assuming the missing mark must be the mean itself; 4 comes from multiplying the mean by 3, the number of marks given, leaving 87 − 83 = 4.
- (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.
- (a) No correlation — Shoe size has no real relationship with spelling ability, and the points here are scattered with no rising or falling trend, so this is no correlation. A positive correlation would show the points rising together, and a negative correlation would show them falling as one increases; neither pattern is present here. Strong correlation is not correct either, since strength only applies once a positive or negative trend exists, and there isn't one.
- (d) The modal class, as the class with most pupils is shown — Method: a grouped frequency table records how many values fall into each class, but not the values themselves, so any average that needs the individual times can only be estimated from it. Working: the four frequencies are 8, 12, 6 and 4, and 8 + 12 + 6 + 4 = 30, so every pupil is counted. The largest frequency is 12, which belongs to the class 10 < t ≤ 20, and that class can be written down exactly, because finding it needs nothing but the counts the table already gives. Answer: the modal class, as the class with most pupils is shown. The distractors: the mean is said to use all 30 times, but the table does not hold them; the usual method replaces each class by its midpoint, 5, 15, 25 and 35, which gives an estimate of the mean and not its true value; the median is said to be shown, but the table locates only the class holding the 15th and 16th times, which is 10 < t ≤ 20, without saying what either time was; the range is said to be shown, but 0 and 40 are the boundaries of the first and last classes, not the fastest and slowest times actually recorded.
- (c) The frequency of that category — Method: a bar chart for categorical data has one bar for each category, and the vertical scale on which the bars are measured is a count. Working: a bar drawn twice as tall as another tells you that twice as many items of data fell into its category, so the height measures how many items of data belong to that one category, which is exactly what a frequency is. Answer: the height of each bar is the frequency of that category — a count of items of data. The distractors: the number of different categories comes from reading the vertical scale as though it counted the bars, which is shown along the horizontal axis instead; the total of all the data comes from treating one bar as though it stood for the whole data set rather than for one category; the mean of all the data comes from confusing a bar chart with a measure of average, which no single bar can show.
- (b) Positive correlation — Method: the type of correlation is named from the direction the points take as the scatter graph is read from left to right. Working: the points rise from left to right, so as the arm span read on the horizontal axis increases, the height read on the vertical axis increases as well; two quantities that increase together show positive correlation. Answer: positive correlation. The distractors: negative correlation comes from naming the direction the wrong way round, since a negative correlation needs the points to fall as the graph is read from left to right; no correlation comes from treating points that are spread out rather than sitting exactly on a line as though they showed no relationship; direct proportion comes from confusing a rising trend with proportion, which would additionally need the line through the points to pass through the origin and would mean doubling one quantity doubles the other.
- (a) A straight line sloping down from left to right — Method: a line of best fit is a straight line drawn to follow the trend of the points, so its slope is decided by the direction of the relationship between the two quantities. Working: as the price rises, the satisfaction score falls, so the points start high on the left of the graph and finish low on the right; the straight line that follows them therefore slopes downwards as the graph is read from left to right, which is the line of a negative correlation. Answer: a straight line sloping down from left to right. The distractors: a line sloping up comes from reading a falling relationship as a rising one; a horizontal line comes from expecting no correlation, since a horizontal line says the satisfaction score does not change as the price changes; a curve passing through every point comes from thinking a line of best fit has to touch all of the plotted points, when it is a single straight line drawn through the middle of them.
- (a) 1,400 and 1,240, so combine the samples for one estimate — Method: scale each sample up to the whole stock, then use the fact that a larger sample gives a more reliable estimate than a smaller one. Working: the first sample gives 35 ÷ 50 = 0.7 and 0.7 × 2,000 = 1,400 paperbacks; the second gives 31 ÷ 50 = 0.62 and 0.62 × 2,000 = 1,240 paperbacks. Two random samples of the same size are expected to differ a little, so neither estimate is wrong. Putting the two together gives 35 + 31 = 66 paperbacks in 100 books, and 66 ÷ 100 = 0.66 with 0.66 × 2,000 = 1,320, an estimate resting on twice as many books as either volunteer checked. Answer: 1,400 and 1,240, so combine the samples for one estimate. The distractors: keeping 1,400 because it is larger picks an estimate by its size, when both samples held 50 books and neither has a stronger claim; saying a volunteer must have miscounted assumes two random samples ought to agree exactly, which is precisely what random sampling does not promise; 1,750 and 1,550 come from 35 × 50 = 1,750 and 31 × 50 = 1,550, multiplying each count by the size of the sample instead of scaling by 2,000 ÷ 50.
- (c) 76 marks — Method: a mean of means only works when the groups are the same size, so rebuild each class's total mark, add the totals and divide by the number of pupils altogether. Working: Class A scored 30 × 72 = 2160 marks and Class B scored 20 × 82 = 1640 marks, giving 2160 + 1640 = 3800 marks between 50 pupils, so the overall mean is 3800 ÷ 50 = 76 marks. Answer: 76 marks. The distractors: 77 marks comes from averaging the two class means, (72 + 82) ÷ 2, which ignores the different class sizes; 78 marks comes from attaching each mean to the other class's size, (30 × 82 + 20 × 72) ÷ 50; 3800 marks comes from stopping at the combined total and never dividing by 50.
- (a) The modal size, 9, bought by more customers than any other — Method: work out both averages from the frequencies, then choose the one the shop can act on. Working: for the mean, multiply each size by the number of pairs sold at it and add: 6 × 4 + 7 × 5 + 8 × 8 + 9 × 13 + 10 × 10 = 340, and 340 ÷ 40 = 8.5, so the mean size is 8.5. The largest frequency is 13, which belongs to size 9, so the modal size is 9. The mean 8.5 is a size no customer in the record asked for, so 40 pairs of it would sit unsold, while 13 of the 40 customers wanted size 9, more than wanted any other size. Answer: the modal size, 9, bought by more customers than any other. The distractors: the mean size 8.5 does take account of all 40 pairs, but a mean of sizes is a summary figure and not a size the month's customers were buying; the mean size 8 comes from averaging the five sizes on sale, 6 + 7 + 8 + 9 + 10 = 40 and 40 ÷ 5 = 8, which ignores how many pairs were sold at each size and so treats the 4 pairs of size 6 as equal in weight to the 13 pairs of size 9; the range 4 comes from 10 − 6 and measures spread, so it says how wide a set of sizes the shop must stock, not which size to stock most of.
- (c) 10 — Method: work out the mean that can be found straight away, then use total = mean × number of values on the group of three to find the missing number. Working: the mean of 15 and 25 is (15 + 25) ÷ 2 = 40 ÷ 2 = 20, so the group of three must also have a mean of 20; three numbers with a mean of 20 have a total of 20 × 3 = 60, and 20 + 30 = 50 of that total is already accounted for, so x = 60 − 50 = 10. Answer: 10, and checking, (10 + 20 + 30) ÷ 3 = 20. The distractors: 20 comes from working out the mean the two groups share and writing that down as x; −10 comes from dividing the group of three by 2 instead of by 3, which gives x + 50 = 40; 70 comes from reading the total 15 + 25 = 40 as the mean of the pair, which sets the target total at 120 and leaves x = 70.
- (b) On average a plant grew 1.5 cm taller for each extra day — Method: in the equation of a line, the number multiplying x is the gradient, and a gradient states the change in y produced by an increase of 1 in x, read in the units of the two axes. Working: here x is measured in days and y in centimetres, so the gradient 1.5 carries the units centimetres per day. Testing it on the line, 5 days gives 1.5 × 5 + 4 = 11.5 cm and 6 days gives 1.5 × 6 + 4 = 13 cm, a rise of 1.5 cm for the one extra day. Answer: on average a plant grew 1.5 cm taller for each extra day of watering. The distractors: 1.5 cm as the height before any watering is the value of y when x is 0, which is the other number in the equation, 4 cm, so this swaps the gradient and the intercept; 1.5 cm as the gap between the tallest and the shortest plant reads the gradient as a range, when a range is a difference between two of the 16 plants and a gradient is a rate; 1.5 days for each extra centimetre inverts the rate, dividing days by centimetres instead of centimetres by days, and the line gives 1 cm of growth in two thirds of a day.
- (a) 1.24 — Method: for data given as a frequency table, the mean is Σfx ÷ Σf — multiply each value by its frequency, add the results, then divide by the total frequency. Working: 0 × 6 = 0. 1 × 10 = 10. 2 × 6 = 12. 3 × 3 = 9. So Σfx = 0 + 10 + 12 + 9 = 31. The total frequency is Σf = 6 + 10 + 6 + 3 = 25. Mean = 31 ÷ 25 = 1.24 siblings. Averaging the frequency column itself, (6 + 10 + 6 + 3) ÷ 4 = 6.25, mixes up the frequencies with the values they belong to. Writing down 1, the number of siblings with the highest frequency, gives the mode, not the mean. Writing down 31 stops after finding Σfx and forgets to divide by the total frequency, 25. Always divide Σfx by Σf — never stop at the top of the fraction.
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