"Exercise 16 mean and standard deviation" Essays and Research Papers

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    Executive Summary: This report talks about a Company is called Corvette‚ which sells luxury sports cars in twelve months from now. There is a table shows the order of five customers and in which currencies. Using those data I will find out meanstandard deviation and some probability for analysis. In addition‚ these is a case involves an offer was given to Corvette by HSBC for estimating whether it is risk or not. Furthermore‚ we also thought about what role banks plays in the case‚ and analyzed the

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    Chapter 12 Problems 1. Cash flow (LO2) Assume a corporation has earnings before depreciation and taxes of $100‚000‚ depreciation of $50‚000‚ and that it has a 30 percent tax bracket. Compute its cash flow using the format below. Earnings before depreciation and taxes _____ Depreciation _____ Earnings before taxes _____ Taxes @ 30% _____ Earnings after taxes _____ Depreciation _____

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    Standard Deviation in the Business World QRB/501 Abstract On Standard Deviations in Job Performance The purpose of this study was to compare the expected payoffs from personnel programs based on standard deviation of job performances in dollars‚ the Global Estimation model‚ and the CREPID procedure. The study was done for route salesmen of a large soft drink bottling company. The Global Estimation model and the CREPID procedure were behaviorally based‚ where the standard deviation of job performance

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    13. Variance and Standard Deviation (expected). Using the data from problem 13‚ calculate the variance and standard deviation of the three investments‚ stock‚ corporate bond‚ and government bond. If the estimates for both the probabilities of the economy and the returns in each state of the economy are correct‚ which investment would you choose considering both risk and return? Why? ANSWER Variance of Stock = 0.10 x (0.25 – 0.033)2 + 0.15 x (0.12 – 0.033)2 + 0.50 x (0.04 – 0.033)2 + 0

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    in analysing the data is determining if outliers exists within the data. The presence of outliers must be evaluated because their existence could distort the data and make it inaccurate. In order to determine if outliers exist the average and standard deviation must be calculated in order to calculate the Z score‚ which will show‚ wither or not outliers exist. In this instance to outliers where found present in the data set as all of the data fell within the +3‚-3 range‚ the largest positive outlier

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    62.499 + (-0.347) x. This least squares line indicates that the estimated mean work-life balance score decreases by -0.347 average number of hours per week. Next‚ we have to interpret the random error component ( ) of the least squares line. The estimate of error standard deviation for this particular data set is 12.28455 which suggests that the work-life balance score (y) values should be two times of the standard deviation. This can be best expressed as in the equation of 2s = 2(12.28455) which

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    Accounting Standard 16

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    302 Accounting Standard (AS) 16 (issued 2000) Borrowing Costs Contents OBJECTIVE SCOPE DEFINITIONS RECOGNITION Borrowing Costs Eligible for Capitalisation Excess of the Carrying Amount of the Qualifying Asset over Recoverable Amount Commencement of Capitalisation Suspension of Capitalisation Cessation of Capitalisation DISCLOSURE Paragraphs 1-2 3-5 6-22 8-12 13 14-16 17-18 19-22 23 The following Accounting Standards Interpretations (ASIs) relate to AS 16:   ASI 1- Substantial Period

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    sample of size 100 from a discrete distribution in this manner: A green die and a red die are thrown simultaneously 100 times and let Xi denote the sum of the spots on the two dice on the ith throw‚ i = 1‚ 2‚...100. Find the probability that the sample mean number of spots on the two dice is less than 7.5. n = 100 µ = 7 µ[pic] = 7 σ = 2.41 σ[pic] = 2.41 /[pic] |X |2 |3 |4 |5

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    main components‚ which component should get it to obtain the highest overall reliability? 17. A major television manufacturer has determined that its 19-inch color TV picture tubes have a mean service life that can be modeled by a normal distribution with a mean of six years and a standard deviation of one-half year. a. What probability can you assign to service lives of at least (1) Five years? (2) Six years? (3) Seven and one-half years? b. If the manufacturer offers service contracts

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    Statistics Exercise 16

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    _Statistics____________Date: □ EXERCISE 16 Questions to be Graded 1. The researchers analyzed the data they collected as though it were at what level of measurement? d. Experimental 2. What was the mean posttest empowerment score for the control group? The mean posttest empowerment score was 97.12 3. Compare the mean baseline and posttest depression scores of the experimental group. Was this an expected finding? Provide a rationale for your answer. The mean baseline depression score of the

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