Number and Algebra
Functions
Geometry and Trigonometry
Statistics and Probability
SL 4.1—Introduction to Statistics
SL 4.2—Presentation of data
SL 4.3—Mean, median, and mode
SL 4.4—Correlation of Data
SL 4.5—Trial and outcome
SL 4.6—Venn diagrams
SL 4.7—Discrete random variables
SL 4.8—Binomial distribution
SL 4.9—Normal distribution
SL 4.10—Spearman’s rank correlation coefficient
SL 4.11—Expected, observed, hypotheses, chi squared, gof, t-test
AHL 4.12—Data collection, reliability and validity tests
AHL 4.13—Non-linear regression
AHL 4.14—Linear transformation of a single RV, E(X) and VAR(X), unbiased estimators
AHL 4.15—Central limit theorem
AHL 4.16—Confidence intervals
AHL 4.17—Poisson distribution
AHL 4.18—T and Z test, type I and II errors
AHL 4.19—Transition matrices – Markov chains
Calculus
Video coming soon
Question Type 1: Finding the mean for a given set of data and distribution with known variance
Question Type 2: Finding the confidence interval for a given set of data and distribution for unknown variance
Question Type 3: Solving for the value of some parameters given the confidence interval