/*! This file is auto-generated */ .wp-block-button__link{color:#fff;background-color:#32373c;border-radius:9999px;box-shadow:none;text-decoration:none;padding:calc(.667em + 2px) calc(1.333em + 2px);font-size:1.125em}.wp-block-file__button{background:#32373c;color:#fff;text-decoration:none} Q 8.12RP. A random sample of size 17 is t... [FREE SOLUTION] | 91Ó°ÊÓ

91Ó°ÊÓ

A random sample of size 17is taken from a population. A normal probability plot of the sample data is found to be very close to linear (straight line). The population standard deviation is unknown.

Short Answer

Expert verified

It is clear that the applying t-interval procedure to obtain a confidence interval for the population mean is appropriate.

Step by step solution

01

Given information

A 17-person's random sample is collected from a population. The sample data's normal probability plot is determined to be very close to linear (straight line).

02

Concept

The formula used: z-interval procedure and t-interval procedure

03

Explanation

Check whether the z-interval process, the t-interval procedure, or neither is the best way for determining the confidence interval.

The following are the conditions for using the z-interval procedure:

Small Sample size:

When the sample size is less than 15, and the variable has a regularly distributed or nearly normal distribution, the z-interval technique is used.

Moderate Sample size:

When the sample size is between 15and 30and the variable is not normally distributed or there is no outlier in the data, the z-interval technique is performed.

Large Sample size:

The z-interval technique is utilized without restriction if the sample size is bigger than 30

04

Explanation

The following are the conditions for using the t-interval procedure:

The sample size is small:

  • From the population, samples are drawn at random.
  • The sample size is higher or the population follows a normal distribution.
  • The standard deviation has not been determined.

The sample size is minimal and the sample is drawn from the population. Furthermore, the standard deviation of the population is unknown. The application of the t-interval approach to creating a confidence interval for the population mean is clearly appropriate given the preceding parameters.

Unlock Step-by-Step Solutions & Ace Your Exams!

  • Full Textbook Solutions

    Get detailed explanations and key concepts

  • Unlimited Al creation

    Al flashcards, explanations, exams and more...

  • Ads-free access

    To over 500 millions flashcards

  • Money-back guarantee

    We refund you if you fail your exam.

Over 30 million students worldwide already upgrade their learning with 91Ó°ÊÓ!

One App. One Place for Learning.

All the tools & learning materials you need for study success - in one app.

Get started for free

Most popular questions from this chapter

Shoe and Apparel E-Tailers. In the special report "Mousetrap: The Most-Visited Shoe and Apparel E-tailers" (Foonucar News, Vol. 58 . No. 3. p. 18), we found the following data on the average time, in minutes, spent per user per month from January to June of one year for a sample of 15 shoe and apparel retail websites.

A confidence interval for a population mean has a margin of error of 0.047

a. Determine the length of the confidence interval.

b. If the sample mean is 0.205, obtain the confidence interval.

c. Construct a graph that illustrates your results.

Prices of New Mobile Homes. Recall that a simple random sample of 36 new mobile homes yielded the prices, in thousands of dollars, shown in Table 8.1on page 315 . We found the mean of those prices to be \(63.28thousand.

a. Use this information and Procedure 8.1on page 322 to find a 95%confidence interval for the mean price of all new mobile homes. Recall that σ=\)7.2thousand.

b. Compare your 95%confidence interval in part (a) to the one found in Example 8.2(c) on page 317 and explain any discrepancy that you observe.

Explain the effect on the margin of error and hence the effect on the accuracy of estimating a population mean by a sample mean.

Decreasing the sample size while keeping the same confidence level.

Northeast Commutes. Refer to Exercise 8.129.

a. Determine and interpret a 90% upper confidence bound for the mean commute time of all commuters in Washington, DC.

b. Compare your one-sided confidence interval in part (a) to the (twosided) confidence interval found in Exercise 8.129.

See all solutions

Recommended explanations on Math Textbooks

View all explanations

What do you think about this solution?

We value your feedback to improve our textbook solutions.

Study anywhere. Anytime. Across all devices.