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Not all univariate data will be normally distributed. Graphing the data will help you determine if you got the kind of distribution you were expecting, and if not, what kinds of tests will be appropriate for what you got. A strange distribution when you had reason to expect, say, a normal distribution would help you uncover possible problems with data collection.

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Q: Why do univariate distributions matter in terms of social science and statistics why should we graph univariate distribution before we numerically summarize them?
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