Mean = \(\frac{4+5+6+6+7+8+x+y}{8}=6\)
\(∴ x + y = 12 …(i)\)
And variance
=\(\frac{2^2+1^2+0^2+0^2+1^2+2^2+(x−6)^2+(y−6)^2}8\)
=\(\frac{9}{4}\)
\(∴ (x – 6)^2 + (y – 6)^2 = 8 …(ii)\)
From (i) and (ii)
\(x = 4\) and \(y = 8\)
\(∴ x^4 +y^2 = 320\)
If the mean and the variance of 6, 4, a, 8, b, 12, 10, 13 are 9 and 9.25 respectively, then \(a + b + ab\) is equal to:
MX is a sparingly soluble salt that follows the given solubility equilibrium at 298 K.
MX(s) $\rightleftharpoons M^{+(aq) }+ X^{-}(aq)$; $K_{sp} = 10^{-10}$
If the standard reduction potential for $M^{+}(aq) + e^{-} \rightarrow M(s)$ is $(E^{\circ}_{M^{+}/M}) = 0.79$ V, then the value of the standard reduction potential for the metal/metal insoluble salt electrode $E^{\circ}_{X^{-}/MX(s)/M}$ is ____________ mV. (nearest integer)
[Given : $\frac{2.303 RT}{F} = 0.059$ V]
An infinitely long straight wire carrying current $I$ is bent in a planar shape as shown in the diagram. The radius of the circular part is $r$. The magnetic field at the centre $O$ of the circular loop is :

According to layman’s words, the variance is a measure of how far a set of data are dispersed out from their mean or average value. It is denoted as ‘σ2’.

Read More: Difference Between Variance and Standard Deviation
The spread of statistical data is measured by the standard deviation. Distribution measures the deviation of data from its mean or average position. The degree of dispersion is computed by the method of estimating the deviation of data points. It is denoted by the symbol, ‘σ’.
1. Population Standard Deviation

2. Sample Standard Deviation
