Why are variance and standard deviation the most popular measures of variability.
Answer: Variance and standard deviation are the most popular measures of variability because they are both mathematically rigorous and relatively easy to calculate. Here are some reasons why:
Reflects the spread of data: Variance and standard deviation both provide an indication of how much the data points deviate from the mean of the distribution. They take into account all the data points in the distribution, and give greater weight to data points that are further away from the mean.
Sensitive to outliers: Variance and standard deviation are both sensitive to outliers, or extreme values that are far away from the bulk of the data. This sensitivity can be both an advantage and a disadvantage, depending on the situation.
Useful in statistical inference: Variance and standard deviation are used in many statistical tests and models to assess the variability of data and make inferences about the population from which the data was sampled.
Easily interpretable: Although variance is expressed in squared units, its square root, the standard deviation, is expressed in the same units as the original data. This makes it easier to interpret and compare the variability of data across different populations or variables.
Overall, variance and standard deviation are popular measures of variability because they are both mathematically rigorous and easily interpretable, and are sensitive to outliers and useful in statistical inference.