In: Statistics and Probability
Find the appropriate center of the data (mean or median) and the appropriate measure of variability (standard deviation or interquartile range).
Explain in your own words why you chose these measures.
Describe the shape of the data distribution and explain why you chose that shape. Include any information that will help your readers understand or visualize your data set.
DATA SET B
302.4 262.8 255.6 214.2 230.4 345.6 237.6 253.8 370.8 333.0
271.8 266.4 280.8 271.8 358.2 354.6 228.6 302.4 270.0 266.4
361.8 273.6 252.0 307.8 295.2 297.0 313.2 295.2 183.6 320.4
252.0 279.0 304.2 289.8 280.8 372.6 288.0 289.8 320.4 288.0