"Give the mean and standard deviation for the coin variable and compare these to the mean and standard deviation for the binomial distribution that was calculated in question 5" Essays and Research Papers

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    a graph when using a frequency distribution method for a set of data‚ splitting the mean symmetrically. There is a big difference between standard deviation and the bell curve! Standard deviation shows the difference in variation from the average; the bell curve‚ also normal distribution or Gaussian distribution‚ shows the standard deviation and is created by the normal or equal distribution of the mean among either half. The bell curve is an important distribution pattern occurring in many different

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    Question 1. (Descriptive Statistics) Investment Returns: These data are the annual returns on shareholders’ funds of 97 of Australian’s top 100 companies for the years 1990 and 1998. (i) Produce a histogram of the 1990 returns. (ii) Produce a histogram of the 1998 returns. (iii) Find the mean‚ median‚ range and standard deviation for the 1990 returns. Annual Returns % (1990) Mean 12.91865979 Median 11.38 Standard Deviation 9.297513067 Range 75.01 (iv) Repeat part (iii) for

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    in recent years greater product variety and more intense competition had made accurate predictions increasingly difficult. Also‚ another issue Sport Obermeyer faced was how to allocate production between factories in Hong Kong and China. They need consider all aspects in a short-term period and also a long-term period. Questions: 1. Using the sample data given in Table 2-20‚ make a recommendation for how many units of each style Wally should make during the initial phase of production.

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    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 bank itself. Banks expected profit is also

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    1.0 Introduction This report will cover the distribution of final exam results for BSB123 and what factors influence the results. Factors that will be considered are the gender of the student‚ whether the student is studying a double or single degree‚ the results from the weekly quiz’s and the grade achieved on the mid semester report. The presence of outliers will be determined to help analyse the accuracy of the data. There are an infinite number of internal and external factors that contribute

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    tobacco company indicates that the relative frequency distribution of tar content of its newly developed low-tar cigarette has a mean equal to 3.9 milligrams of tar per cigarette and a standard deviation equal to 1.0 milligram. Suppose a sample of 100 low-tar cigarettes is randomly selected from a day’s production and the tar content is measured in each. Assuming that the tobacco company’s claim is true‚ what is the probability that the mean tar content of the sample is greater than 4.15 milligrams

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    examination. The distribution of marks is shown in the following grouped frequency table. Marks|1–10|11–20|21–30|31–40|41–50|51–60|61–70|71–80|81–90|91–100| Number of candidates|15|50|100|170|260|220|90|45|30|20| (a) Copy and complete the following table‚ which presents the above data as a cumulative frequency distribution. (3) Mark|£10|£20|£30|£40|£50|£60|£70|£80|£90|£100| Number of candidates|15|65|||||905|||| (b) Draw a cumulative frequency graph of the distribution‚ using a scale of

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    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 | |P(X=x)

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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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    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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