Question: If data set A has a larger standard deviation than data set B, what would be different about their distributions? Data set A would have
If data set A has a larger standard deviation than data set B, what would be different about their distributions?
Data set A would have more data near the center of the distribution
Data set A would have most of its data to one side of the distribution
Data set A would have flatter distribution with more data in each tail
Data set A would have a larger mean
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