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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- (c) 0.5 per gram — Method: turn the two known bars into frequencies using area, subtract from the total to find how many letters are left, then divide that frequency by the width of the last class to get its height. Working: the first bar covers 50 g at a frequency density of 1.2, giving 1.2 × 50 = 60 letters, and the second covers 50 g at 1.8, giving 1.8 × 50 = 90 letters; together that is 60 + 90 = 150 letters, so 200 − 150 = 50 letters remain; the class 100 ≤ m < 200 is 100 g wide, so its frequency density is 50 ÷ 100 = 0.5 per gram. Answer: 0.5 per gram. The distractors: 0.25 per gram comes from dividing the remaining 50 letters by the upper class boundary, 200, instead of by the class width of 100; 2 per gram comes from dividing the class width by the frequency, 100 ÷ 50, reversing the formula; 1.4 per gram comes from subtracting only the first bar's 60 letters, leaving 140, and then dividing by 100.
- (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) 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) The median, £160,000, as one very high price lifts the mean — Method: find both averages, then choose the one that sits closer to the bulk of the data. Working: in order the prices are 140,000, 150,000, 160,000, 170,000 and 580,000, so the median is the third of the five, £160,000. For the mean, 140,000 + 150,000 + 160,000 + 170,000 + 580,000 = 1,200,000 and 1,200,000 ÷ 5 = 240,000, so the mean is £240,000. Four of the five houses sold for £170,000 or less, so a reader told that a typical price is £240,000 would expect to pay at least £70,000 more than any of those four cost. Answer: the median, £160,000, as one very high price lifts the mean. The distractors: £580,000 is the middle value of the list as it is printed, which is the median only when the values have first been put in order; £240,000 is the mean, chosen on the ground that a median ignores three of the five prices, but a median uses all five to find which one is central and is then untroubled by how extreme the outer values are; £155,000 comes from deleting the £580,000 house and taking the mean of what is left, since 140,000 + 150,000 + 160,000 + 170,000 = 620,000 and 620,000 ÷ 4 = 155,000, but a real sale may not be thrown away merely for being large.
- (b) 5 ≤ m < 10 — Method: with 60 values the median is the 60 ÷ 2 = 30th value in order, so build a running total until it first reaches 30. Working: the running totals are 22 after the first class, 22 + 20 = 42 after the second, 51 after the third, 56 after the fourth and 60 after the fifth; the 30th parcel is past 22 but not past 42, so it lies in the second class. Answer: the median lies in the class 5 ≤ m < 10. The distractors: 0 ≤ m < 5 comes from giving the class with the greatest frequency, 22, which is the modal class and not the median class; 10 ≤ m < 20 comes from choosing the middle class in the list of five instead of counting to the middle value; 20 ≤ m < 30 comes from halving the range of the data, 50 ÷ 2 = 25, and giving the class that contains 25 kg rather than the class that contains the 30th parcel.
- (a) Minutes a candle has burned and length remaining — As a candle burns for longer, less of it remains, so these two variables move in opposite directions as one increases — that is negative correlation. A pupil's shoe size generally increases as they get older, so age and shoe size show positive correlation, not negative, since both rise together. A football team's shirt colour is not a numerical quantity linked to how many matches it wins, so shirt colour and number of wins show no correlation at all. The number of letters in a pupil's name has no real connection to their ability in maths, so that pair also shows no correlation.
- (d) 44 — Method: a cumulative frequency counts everything below a value, so the frequency of a class is the running total at the top of the class minus the running total at the bottom of it. Working: the running total below 20 kg is 96 and the running total below 10 kg is 52, so the number of boxes in the class 10 ≤ m < 20 is 96 − 52 = 44. Answer: 44 boxes. The distractors: 96 comes from quoting the running total at 20 kg itself, which counts every box below 20 kg rather than only those in this class; 34 comes from subtracting the wrong pair, 52 − 18, which gives the class 5 ≤ m < 10 instead; 54 comes from subtracting from the grand total, 150 − 96, which gives the boxes of 20 kg or more.
- (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) 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) 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.
- (c) No, 90 cm is far outside the heights on the graph — Method: a line of best fit describes the trend only across the stretch of data it was drawn through; predicting beyond that stretch is extrapolation, and nothing in the data supports it. Working: the heights used to draw this line run from 150 cm to 180 cm, all of them Year 10 pupils, while 90 cm is 60 cm below the shortest of them and belongs to a two-year-old child, whose build follows no trend the graph has measured. Substituting anyway gives 0.9 × 90 − 85 = −4, a mass of −4 kg, which cannot exist. Answer: no, because 90 cm is far outside the heights on the graph. The distractors: saying a line of best fit cannot be used to predict at all throws away its main purpose, since a prediction made between the plotted values is perfectly sound; saying the line passes through all 20 points misdescribes a line of best fit, which is drawn to follow the trend of the points and will normally pass through few of them; saying the equation works for any value put into it treats an equation fitted to Year 10 heights as a law of nature, and the mass of −4 kg shows what that assumption produces.
- (a) A vertical line chart (discrete numerical data) — The number of pets is discrete numerical data — whole-number values such as 0, 1, 2, 3 or 4 — recorded for one variable, so a vertical line chart is the chart specified for this kind of data. A bar chart is used for categorical data, such as favourite colour, not numerical values counted like this. A pie chart shows proportions of a whole and does not show the frequency of each separate value. A scatter graph compares two different variables against each other, and only one variable, the number of pets, is recorded here.
- (c) Route 2, because its interquartile range is smaller — Method: for a journey where turning up on time matters, what matters is not the typical (median) time but how predictable it is — a smaller interquartile range means the middle half of journeys cluster closer together. Working: Route 1's median, 34 minutes, is in fact lower than Route 2's, 41 minutes, so Route 1 is faster on average; but Route 1's interquartile range, 22 minutes, is far larger than Route 2's, 6 minutes, so Route 1's times are much less predictable. Answer: Priya should choose Route 2, because its interquartile range is smaller, even though it is slower on average. Watch which statistic answers the question actually asked: Route 1 does not have the smaller interquartile range, Route 2 does, so picking Route 1 for that reason misreads the table; Route 1's median genuinely is the lower one, but a lower median answers 'which is faster', not 'which is more reliable'; and Route 2's median is not the lower one, so that claim about Route 2 is simply false.
- (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) 15 — Method: the interquartile range is the upper quartile take away the lower quartile, IQR = Q3 − Q1. Working: n + 1 = 15 + 1 = 16, so the lower quartile sits at position 16 ÷ 4 = 4, the 4th value in the list, which is 12; the upper quartile sits at position 3 × 4 = 12, the 12th value, which is 27. So 27 − 12 = 15. Answer: the interquartile range is 15 minutes. Watch which values you use and which way round: taking the smallest time away from the largest, 34 − 5 = 29, finds the range, which uses every value between the extremes rather than just the middle half; taking the median away from the upper quartile instead of the lower quartile, 27 − 19 = 8, swaps the median in for the lower quartile; and reversing the subtraction, 12 − 27 = −15, finds the right two values but in the wrong order — an interquartile range is never negative.
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