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- Consider a sample with data values of 53, 55, 70, 58, 64, 57, 53, 69, 57, 68, and 53. Compute the mean, median, and mode.Read the t statistic from the table of t distributions and circle the correct answer. A two-tailed test, a sample of 40 at a .01 level of significance; t = choice a,b,c,d as followed 2.708 1.328 1.96 2.567In a simple linear regression based on 20 observations, it is found b1 = 3.05 and se(b1) = 1.30. Consider the hypothesis : H0 : β1 = 0 and HA : β1 ≠ 0 . Calculate the value of the test statistic.
- The standard deviation of.alt=”f$ar{X},f$ “> is usually called the A.standard error of the sample B.randomized standard error C.standard error of the mean D.standard error of the populationRound each z-score to the nearest hundredth.A data set has a mean of x = 6.2 and a standard deviation of 2.2. Find the z-score for each of the following. (a) x = 6.2(b) x = 7.2(c) x = 9.0(d) x = 5.0The sample size of a test of controls varies inversely with: Expected Population Tolerable deviation rate Rate A. Yes Yes B. No No C. Yes No D. No Yes
- Assume the mean and standard deviation of sample returns are 8% and 10% respectively. Assuming that the returns are normally distributed, what is the probability of an actual return below 8%?Review each of the following independent sets of conditions. For each condition, calculatethe (1) sample rate of deviation, (2) ULRD, and (3) allowance for sampling risk (n = samplesize, d = deviations, ROO = risk of overreliance). What is your conclusion regarding therelationship of each of these factors to the ULRD based on comparing the ULRD across different combinations of these factors?a. n = 100, d = 8, ROO = 5%.b. n = 100, d = 4, ROO = 5%.c. n = 100, d = 8, ROO = 10%The __ __, denoted p hat is given by the formula p hat =. where x is the number of individuals with a specified characteristic in a sample of n individuals
- How do I find out standard deviation, mean and X for z score? Thank youq12- In the distribution of a variable, if the mean is much smaller than the median, the data distribution is: a. Uniform b. Right-skewed c. Left-skewed d. NormalThe following is a set of data from a sample of n =11items Complete parts (a) through left parenthesis c right parenthesis . X 6 36 27 54 21 39 24 9 39 39 33 Y 2 12 9 18 7 13 8 3 13 13 11 a. Compute the covariance. (Round to three decimal places as needed.) b. Compute the coefficient of correlation. (Do not round until the final answer. Then round to three decimal places as needed.) c. How strong is the relationship between X and Y? Explain. A. X and Y have no correlation. B. X and Y have a perfect positive correlation because all points fall on a straight line with a positive slope. C. X and Y have a perfect negative correlation because all points fall on a straight line with a negative slope. D. X and Y have a strong positive correlation because as X increases, Y tends to increase also.