The mean of a set of numbers is the sum divided by the number of terms.
Add and .
Divide by .
Step 2
Simplify each value in the list.
Convert to a decimal value.
Convert to a decimal value.
The simplified values are .
Step 3
Set up the formula for samplestandard deviation. The standard deviation of a set of values is a measure of the spread of its values.
Step 4
Set up the formula for standard deviation for this set of numbers.
Step 5
Simplify the result.
Subtract from .
Raise to the power of .
Subtract from .
Raise to the power of .
Add and .
Subtract from .
Divide by .
Rewrite as .
Factor out of .
Rewrite as .
Pull terms out from under the radical.
Step 6
The standard deviation should be rounded to one more decimal place than the original data. If the original data were mixed, round to one decimal place more than the least precise.