4.4
The standard error of the mean is a statistic that calculates how accurately a sample distribution represents a population using standard deviation.
Consider a group of feral cats in a neighborhood. Randomly sample five cats and note the mean weight and standard deviation. Repeating this a few more times with different cats from the same neighborhood, one can see each random sampling yields a slightly different mean and standard deviation.
The standard deviation of all these sample means is the standard error of the mean, expressed as sigma x bar. It represents the variation between the mean weight of the cats among different random samples.
The standard error of the sample means is calculated using this formula. Here, n represents the sample size and sigma is the population standard deviation.
Although the terms standard deviation and standard error are related, the standard deviation measures the variation within a sample. In contrast, the standard error of the mean measures the variation between the means of two or more samples from the same population.
De steekproefvariabiliteit van een statistische maat wordt gedefinieerd als de mate waarin deze maat varieert tussen verschillende steekproeven. De st…
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