Printable · GCSE Higher · ages 14-16
Statistics worksheet — GCSE Higher
Fifteen questions across the statistics statements at Higher 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 Higher
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- (b) 74 marks — Method: the two groups are different sizes, so their means cannot simply be averaged — rebuild each group's total mark, add the totals and divide by all 50 pupils. Working: Group A scored 20 × 80 = 1600 marks and Group B scored 30 × 70 = 2100 marks, giving 1600 + 2100 = 3700 marks altogether, so the overall mean is 3700 ÷ 50 = 74 marks. Answer: 74 marks, which sits nearer to 70 than to 80 because the larger group scored 70. The distractors: 75 marks comes from averaging the two group means, (80 + 70) ÷ 2, as though the groups were the same size; 76 marks comes from attaching each mean to the other group's size, (20 × 70 + 30 × 80) ÷ 50; 150 marks comes from adding the two means together and never dividing at all.
- (d) Route 1, as its times vary by 6 minutes rather than 20 — Method: work out an average and a measure of spread for each route, then decide which matters to a commuter who must arrive on time every day. Working: for Route 1, 22 + 23 + 24 + 24 + 25 + 25 + 26 + 26 + 27 + 28 = 250 and 250 ÷ 10 = 25, so the mean is 25 minutes, and the range is 28 − 22 = 6 minutes. For Route 2, 18 + 19 + 20 + 20 + 21 + 22 + 26 + 30 + 36 + 38 = 250 and 250 ÷ 10 = 25, so the mean is also 25 minutes, but the range is 38 − 18 = 20 minutes. The means give no reason to prefer either route; the spreads do, because a commuter who must never be late has to allow for the worst day, which is 28 minutes on Route 1 and 38 minutes on Route 2. Answer: Route 1, as its times vary by 6 minutes rather than 20. The distractors: saying Route 2 has the lower mean assumes that its quicker-looking early times must pull the average down, when both routes total 250 minutes over the ten days; choosing Route 2 for its fastest journey of 18 minutes judges a route by its best day, and the commuter has to survive its worst; saying either route will do uses the equal means and ignores the spread altogether, which is the one thing that separates the two routes.
- (a) 150 bulbs — Method: assume the proportion faulty in a random sample is the proportion faulty in the whole day's output, and scale the sample up to the population. Working: the sample of 80 has to be scaled up to 4,000 bulbs, and 4,000 ÷ 80 = 50, so the day's output is 50 sample-sized batches. Each batch is expected to contain the same 3 faulty bulbs, so the estimate is 3 × 50 = 150. Answer: 150 bulbs, and it is an estimate, because another sample of 80 would probably contain a different number of faulty bulbs. The distractors: 50 bulbs is the scale factor 4,000 ÷ 80 written down as though it were the answer, so it reports how many batches there are rather than how many faulty bulbs; 120 bulbs comes from reading 3 out of 80 as 3%, then taking 0.03 × 4,000 = 120, but 3 out of 80 is 3.75%; 240 bulbs comes from 3 × 80 = 240, multiplying the faulty bulbs by the size of the sample instead of by the scale factor, which uses the 80 twice and the 4,000 not at all.
- (a) No, the size of the fire affects both of the quantities — Method: correlation says that two quantities change together; a claim that one of them produces the other is a further claim, and it needs evidence that a scatter graph on its own cannot give. Working: the graph does show strong positive correlation, so more engines did go with greater damage. But neither quantity was set by the researchers: both were decided by how large the fire was. A large blaze brings many appliances and also destroys a great deal, while a small one brings few and destroys little, so a third quantity is driving both of the recorded ones. Answer: no, because the size of the fire affects both of the quantities. The distractors: saying the correlation is negative contradicts the graph, which shows the two quantities rising together, and reaching the right verdict from a false reading of the data is not the reason the mark is for; saying that strong positive correlation shows one quantity causes the other is the assumption the question exists to test, and no strength of correlation can establish cause; saying the points lie close to the line of best fit describes how strong the correlation is, and strength and cause are different matters entirely.
- (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.
- (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.
- (a) No, 150 pupils are a tenth of the school, chosen at random — Method: judge a sample on two things, whether every member of the population had the same chance of being chosen, and whether the sample is large enough to carry a pattern. Working: the 150 pupils were drawn from the register of every pupil in the school, so no year group or set is shut out and no pupil chooses to take part; and 150 ÷ 1,500 = 0.1, so one pupil in ten has been asked. A random sample of that share is ample for an estimate of how long the school's pupils spend on homework. Answer: no, because 150 pupils are a tenth of the school and were chosen at random. The distractors: saying a random sample always gives the exact school figure reaches the same verdict for a reason that is false, since a second random sample of 150 would give a slightly different mean; saying 150 pupils cannot be picked at random from 1,500 treats randomness as something only a whole population can have, when drawing names from the register is exactly how a random sample is taken; saying that only asking all 1,500 could show anything rejects sampling altogether, which would leave no way to study any population too large to count.
- (c) 22 kg — Method: multiply the mean by the number of parcels to rebuild the total mass, then subtract the masses that are known. Working: four parcels with a mean mass of 17 kg have a total mass of 17 × 4 = 68 kg; the three known parcels total 12 + 16 + 18 = 46 kg; so the fourth parcel has mass 68 − 46 = 22 kg. Answer: 22 kg. The distractors: 68 kg comes from stopping at the total mass of all four parcels; 17 kg comes from assuming the missing parcel must have the mean mass; 5 kg comes from multiplying the mean by 3, the number of parcels whose mass is given, leaving 51 − 46 = 5.
- (a) 62.5 — Method: a mean cannot be averaged with a new value — rebuild the total, add the new value to it, then divide by the new count. Working: three numbers with a mean of 50 have a total of 50 × 3 = 150; adding 100 makes the total 150 + 100 = 250; there are now 4 numbers, so the new mean is 250 ÷ 4 = 62.5. Answer: 62.5. The distractors: 75 comes from averaging the old mean with the new value, (50 + 100) ÷ 2, which ignores that three numbers pull against one; 50 comes from assuming an extra value leaves the mean unchanged; 37.5 comes from dividing the old total of 150 by the new count of 4, adding the new value to the count but not to the total.
- (a) 49 — Method: add the frequencies of the classes that lie wholly below 35 seconds, then use linear interpolation for the class that 35 cuts through, assuming the calls in that class are spread evenly across it. Working: below 30 seconds there are 15 + 24 = 39 calls; the value 35 lies in the class 30 ≤ t < 50, which is 20 seconds wide and holds 40 calls, and 35 is 35 − 30 = 5 seconds into it, so the estimated share is (5 ÷ 20) × 40 = 10 calls; the estimate is 39 + 10 = 49. Answer: about 49 calls met the target. The distractors: 79 comes from adding the whole of the class 30 ≤ t < 50, 39 + 40, and so counting calls of up to 50 seconds as being under 35; 39 comes from stopping at the class boundary 30 and ignoring the part class altogether; 69 comes from measuring the part of the class from 35 up to 50 instead of from 30 up to 35, giving (15 ÷ 20) × 40 = 30 and then 39 + 30.
- (b) 13 — The total is 50, and the two known parts are 22 (tea) and 15 (coffee), so 50 − 22 − 15 = 13 hot chocolates. Choosing 28 comes from 50 − 22, subtracting only the tea and forgetting the coffee. Choosing 35 comes from 50 − 15, subtracting only the coffee and forgetting the tea. Choosing 37 comes from 22 + 15, which finds how many drinks were tea or coffee, not the number left over for hot chocolate.
- (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.
- (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) 1,400 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) Branch A waits longer, and Branch A is more consistent — Method: compare the two branches using a measure of location (the median) for who waits longer, and a measure of spread (the interquartile range) for who is more consistent — a smaller interquartile range means more consistent. Working: Branch A's median, 12 minutes, is higher than Branch B's, 9 minutes, so Branch A's customers wait longer on average. Branch A's interquartile range, 5 minutes, is smaller than Branch B's, 11 minutes, so Branch A's waiting times vary less. Answer: Branch A waits longer, and Branch A is also the more consistent of the two. Watch that each half of the comparison uses the right statistic and reads it correctly: swapping both readings gives Branch B the longer wait and the greater consistency, when neither is true; keeping the median comparison right but reading a larger interquartile range as 'more consistent' has the direction of spread backwards; and swapping only the median comparison keeps the correct branch for consistency but gives the wrong branch the longer wait.
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