Normal Distribution of Data
A normal distribution is a common probability distribution . It has a shape often referred to as a "bell curve."
Many everyday data sets typically follow a normal distribution: for example, the heights of adult humans, the scores on a test given to a large class, errors in measurements.
The normal distribution is always symmetrical about the mean.
The standard deviation is the measure of how spread out a normally distributed set of data is. It is a statistic that tells you how closely all of the examples are gathered around the mean in a data set. The shape of a normal distribution is determined by the mean and the standard deviation. The steeper the bell curve, the smaller the standard deviation. If the examples are spread far apart, the bell curve will be much flatter, meaning the standard deviation is large.
In general, about of the area under a normal distribution curve lies within one standard deviation of the mean.
That is, if is the mean and is the standard deviation of the distribution, then of the values fall in the range between and . In the figure below, this corresponds to the region shaded pink.
About of the values lie within two standard deviations of the mean, that is, between and .
(In the figure, this is the sum of the pink and blue regions: .)
About of the values lie within three standard deviations of the mean, that is, between and .(The pink, blue, and green regions in the figure.)
(Note that these values are approximate.)
Example 1:
A set of data is normally distributed with a mean of . What percent of the data is less than ?
A normal distribution is symmetric about the mean. So, half of the data will be less than the mean and half of the data will be greater than the mean.
Therefore, percent of the data is less than .
Example 2:
The life of a fully-charged cell phone battery is normally distributed with a mean of hours with a standard deviation of hour. What is the probability that a battery lasts at least hours?
The mean is and the standard deviation is .
of the normal distribution lies to the right of the mean, so of the time, the battery will last longer than hours.
The interval from to hours represents one standard deviation to the left of the mean. So, about of time, the battery will last between and hours.
Therefore, the probability that the battery lasts at least hours is about or .
Example 3:
The average weight of a raspberry is gm with a standard deviation of gm. What is the probability that a randomly selected raspberry would weigh at least gm but not more than gm?
The mean is and the standard deviation is .
Note that
and
So, the interval is actually between one standard deviation below the mean and standard deviations above the mean.
In normally distributed data, about of the values lie between the mean and one standard deviation below the mean, and between the mean and one standard deviation above the mean.
In addition, of the values lie between the first and second standard deviations above the mean.
Adding the areas, we get .
Therefore, the probability that a randomly selected raspberry will weigh at least gm but not more than gm is or .
Example 4:
A town has adults. Their heights are normally distributed with a mean of cm and a variance of cm .How many people would you expect to be taller than cm?
The variance of the data set is given to be cm . So, the standard deviation is or cm.
Now, , so the number of people taller than cm corresponds to the subset of data which lies more than standard deviations above the mean.
The graph above shows that this represents about of the data. However, this percentage is approximate, and in this case, we need more precision. The actual percentage, correct to decimal places, is .
So, there will be about people in the town taller than cm.
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