Project Description:

need the following questions answered.

8.6 why can yo never really have 100% confidence of correctly estimating the population characteristics of intrest?

8.61 when are you able to use the "t" distribution to develope the confidence interval estimated for the mean?

8.62 why is it true that for a given sample size, "n", an increase in condidence is achieved by widening (and making less precise) the confidence interval?

8.63 under what circumstance do you use a one-sided confidence interval instead of a two-sided confidence interval?

8.64 when would you want to estimate the population total instead of the population mean?

8.65 how does difference estimation differ from estimation of the mean?
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