1 3 11 4 5 -2 9. x-3-1 6 y 19 14 12 16 and standard deviations for x and y are given below The 2= 1.5 9=9.7 a) Calculate the correlation coefficient (r). (Use the table to organize your work) means, S=3.028 Sy5.736 %3D b) Find the formula of the linear regression line.
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- 8)Suppose that Y is normal and we have three explanatory unknowns which are also normal, and we have an independent random sample of 11 members of the population, where for each member, the value of Y as well as the values of the three explanatory unknowns were observed. The data is entered into a computer using linear regression software and the output summary tells us that R-square is 0.86, the linear model coefficient of the first explanatory unknown is 7 with standard error estimate 2.5, the coefficient for the second explanatory unknown is 11 with standard error 2, and the coefficient for the third explanatory unknown is 15 with standard error 4. The regression intercept is reported as 28. The sum of squares in regression (SSR) is reported as 86000 and the sum of squared errors (SSE) is 14000. From this information, what is MSE/MST? .5000 NONE OF THE OTHERS .2000 .3000 .40009)Suppose that Y is normal and we have three explanatory unknowns which are also normal, and we have an independent random sample of 11 members of the population, where for each member, the value of Y as well as the values of the three explanatory unknowns were observed. The data is entered into a computer using linear regression software and the output summary tells us that R-square is 0.79, the linear model coefficient of the first explanatory unknown is 7 with standard error estimate 2.5, the coefficient for the second explanatory unknown is 11 with standard error 2, and the coefficient for the third explanatory unknown is 15 with standard error 4. The regression intercept is reported as 28. The sum of squares in regression (SSR) is reported as 79000 and the sum of squared errors (SSE) is 21000. From this information, what is the adjusted R-square? .8 .7 NONE OF THE OTHERS .6 .517) Suppose that Y is normal and we have three explanatory unknowns which are also normal, and we have an independent random sample of 41 members of the population, where for each member, the value of Y as well as the values of the three explanatory unknowns were observed. The data is entered into a computer using linear regression software and the output summary tells us that R-square is 0.9, the linear model coefficient of the first explanatory unknown is 7 with standard error estimate 2.5, the coefficient for the second explanatory unknown is 11 with standard error 2, and the coefficient for the third explanatory unknown is 15 with standard error 4. The regression intercept is reported as 28. The sum of squares in regression (SSR) is reported as 90000 and the sum of squared errors (SSE) is 10000. From this information, what is the number of degrees of freedom for the t-distribution used to compute critical values for hypothesis tests and confidence intervals for the individual…
- Using 25 observations on each variable, a computer program generated the following multiple regression model: yhat=69.2+2.87x1+5.81x21.83x3 If the standard errors of the coefficients of the independent variables are, respectively, 1.34, 4.84, and 0.70, can you conclude that the independent variable x1 is needed in the regression model? Let β1, β2, and β3 denote the coefficients of the 3 variables in this model, and use a two-sided hypothesis test and significance level of 0.05 to determine your answer. Carry your intermediate computations to at least three decimal places and round your answers as specified in the table. The null hypothesis: H0: The alternative hypothesis: H1: The type of test statistic: (Choose one)ZtChi squareF The value of the test statistic:(Round to at least two decimal places.) The two critical values at the 0.05 level of significance:(Round to at least two decimal places.) and Can you…(1) For neighborhoods with more than 66% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(0) - 19.20521(0) = 142.5737 - 1.9215(Prop_change_income) (2) For neighborhoods with 33% to 66% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(0) - 19.20521(1) = 123.36849 - 1.9215(Prop_change_income) (3) For neighborhoods with less than 33% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(1) - 19.20521(0) = 103.69959 - 1.9215(Prop_change_income) Questions: 1. What is difference between models in 1,2,and 3? 2. Which estimated model 1,2, or 3 results in the line with the highest estimated crime rates (the highest positioned line)?(1) For neighborhoods with more than 66% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(0) - 19.20521(0) = 142.5737 - 1.9215(Prop_change_income) (2) For neighborhoods with 33% to 66% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(0) - 19.20521(1) = 123.36849 - 1.9215(Prop_change_income) (3) For neighborhoods with less than 33% of schools participating in free school lunch program, the estimated regression model is: crime_rate = 142.5737 - 1.9215(Prop_change_income) - 38.8741(1) - 19.20521(0) = 103.69959 - 1.9215(Prop_change_income) Questions: 1. What is difference between models in 1,2,and 3? 2. Which estimated model 1,2, or 3 results in the line with the highest estimated crime rates (the highest positioned line)? 3. Test whether the crime rate in neighborhoods with 33% to 66% of…
- Suppose the simple linear regression model, Yi = β0 + β1 xi + Ei, is used to explain the relationship between x and y. A random sample of n = 12 values for the explanatory variable (x) was selected and the corresponding values of the response variable (y) were observed. A summary of the statistics is presented in the photo attached. Let b1 denote the least squares estimator of the slope coefficient, β1. What is the value of b1?1. Plot the data points on a scatter diagram. 2. Determine the equation of the regression line and find Pearson product-moment correlation coefficient. 3. Determine the point estimate of y at x = 5.5The least-squares regression equation is y=761.7x+13,208 where y is the median income and x is the percentage of 25 years and older with at least a bachelor's degree in the region. The scatter diagram indicates a linear relation between the two variables with a correlation coefficient of 0.7483. Predict the median income of a region in which 20% of adults 25 years and older have at least a bachelor's degree.
- Years of Work Experience and number of Job Offers of 10 job-seekers were as follows: Work Exp. 4 2 5 3 7 12 2 5 4 9 No. of Offers 7 1 8 4 13 19 3 11 9 15 a. Fit the regression equation of No. of Job Offers on Years of Work Experience. b. What will be the predicted number of offers for an applicant with 6 years of experience? c. Verify the relationship between the number of job offers and years of work experience using at least two relevant methodsAn urban community wants to show that the incidence of breast cancer is higher in their locality than in a neighboring rural area. (PCB levels were found to be higher in the soil of the urban community). If you find that in the urban community 20 out of 200 adult women have breast cancer and that in the rural community 10 out of 150 adult women have it, could you conclude, at a significance level of 0.05, that breast cancer is more prevalent in the urban community?1. The parameter of interest is:2. The hypotheses for this test are:3. The calculated test statistic is:4. The critical region is:5. Draw the critical region (make decision):6. It can be concluded that:Suppose that a regression relationship is given by the following:Y = β0 + β1X1 + β2X2 + εIf the simple linear regression of Y on X1 is estimated from a sample of n observations, the resulting slope estimate is generally biased for β1. However, in the special case where the sample correlation between X1 and X2 is 0, this will not be so. In fact, in that case the same estimate results whether or not X2 is included in the regression equation.a. Explain verbally why this statement is true.b. Show algebraically that this statement is true.