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Could anybody explain to me what both the question is asking in a simple way. For a dummy.

Could anybody explain to me what both the question is asking in a simple way. For-example-1

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Question A is asking: Considering the distribution shape (i.e skewed left, right, or symmetrical), what measure of center would be used? Explain why that measure of center would be used.

Question B is asking: What measure of variability (or change, i.e range, interquartile range, or standard deviation) would be used for this graph? Explain why this measure would be used.
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