
MATLAB: A Practical Introduction to Programming and Problem Solving 
5th Edition
ISBN: 9780128154793
Author: Stormy Attaway Ph.D.  Boston University
Publisher: Elsevier Science
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Chapter 9, Problem 11E
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You may want to use the Excel Two Means Calculator found in the Course to complete this problem.
You want to estimate the difference between the mean GPA of day students (Group 1) and the mean GPA of
night students (Group 2) with a 94% confidence.
A random sample of 13 day students and 14 night students and their GPA's are recorded below.
It is reasonable to assume samples represent populations with normal distributions.
Click this button to reveal the data. Click again to collapse it.
GPA-Day
GPA-Night
3.22
3.19
3.36
3.19
3.6
3.1
2.97
3.09
3.11
3.36
2.57
3.18
3.46
3.43
3.01
3.13
3.06
3.15
3.31
3.12
3.22
3.4
3.06
3.27
2.97
3.18
3.38
Click Download CSV to download csv file of data or copy/paste the data into Excel. After downloading the
file, you may want to save it as an Excel Workbook.
All conditions are met for inference using Two-Sample T-Confidence Interval because there are two
independent random samples and populations have normal distributions.
Round answers properly to 2…
Proctor
ents
An economist wants to compare average hourly rate charged by automobile mechanics in two suburbs. She
randomly selects auto repair facilities from both suburbs and records their hourly rates (in dollars). The
data are as follows:
Click this button to reveal the data. Click again to collapse it.
Suburb1
Suburb2
39.5
44.6
33.3
39.5
43.9
29.6
37.7
31.2
42
44.3
32.9
46.3
33.5
46.4
46
47.3
41.6
20.1
43.4
33.9
ources
34.1
45.6
44.3
44.1
esources
43.1
35.8
36.5
36.6
42.1
32.5
Note:
If using Excel, after copying the given data, use Paste Special and select "Unicode Text" to paste the data
properly. After pasting, double check the number of data in each column to make sure those are pasted
properly.
If using Ti calculator, check sum of the data before analyzing: 593.9 for Suburb 1 and 577.8 for Suburb 2
Use 3% level of significance to decide whether there is sufficient evidence that the average hourly rate
charged by automobile mechanics in suburb 1 is greater than the average…
3:51
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סוי
A school administrator wants to see if there is a
difference in the number of students per class for the
Portland Public School district (Group 1) compared to
the Beaverton School district (Group 2).
Let μ₁ be the average number of students per class
for the Portland Public School district.
Let u₂ be the average number of students per class
for the Beaverton School district. Assume the
populations are normally distributed.
A random sample of 28 Portland classes found a mean
of 33 students per class with a standard deviation of
6.
A random sample of 27 Beaverton classes found a
mean of 38 students per class with a standard
deviation of 4.
a. Find a 98% confidence interval for the
difference of the means. Use Excel Two Means
Calculator found in the Course and round
answers to 2 decimal places.
<11-12 <
b. Select the correct conclusion based on the
<
above confidence interval.
Since the above dencente…
Chapter 9 Solutions
MATLAB: A Practical Introduction to Programming and Problem Solving
Chapter 9, Problem 9.1PChapter 9, Problem 9.2PChapter 9, Problem 9.4PChapter 9, Problem 1EChapter 9, Problem 3EChapter 9, Problem 4EChapter 9, Problem 5EChapter 9, Problem 6EChapter 9, Problem 7EChapter 9, Problem 8E
Chapter 9, Problem 10EChapter 9, Problem 11EChapter 9, Problem 12EChapter 9, Problem 13EChapter 9, Problem 14EChapter 9, Problem 16EChapter 9, Problem 17EChapter 9, Problem 18EChapter 9, Problem 19EChapter 9, Problem 20EChapter 9, Problem 21EChapter 9, Problem 22EChapter 9, Problem 23EChapter 9, Problem 24EChapter 9, Problem 25EChapter 9, Problem 26EChapter 9, Problem 27EChapter 9, Problem 29EChapter 9, Problem 31EChapter 9, Problem 33E
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- please give correct answer of this statistics and probability question.arrow_forwardCould you please help me answer parts b and c. Thanksarrow_forwardSuppose that we have data y = (1,...,n). Each data point y; is assumed to be generated by a distribution with the following probability density function: P(yi | n)=3nye, y; ≥0. The unknown parameter is >0. (a) Write down the likelihood for n given y, and find an expression for the maximum likelihood estimate (MLE) of n. (b) A Gamma(a, 3) distribution is chosen as the prior distribution for 7, where a > 0 and > 0 are known. Show that the posterior distribution of n, denoted p(n | A), is also a gamma distribution with updated parameters that you should determine.arrow_forward
 - Do the data provide compelling evidence (at α=0.05) for concluding that true average strength for the 1078 grade exceeds that for the 1064 grade? Show all your work. Estimate the difference between true average strengths for the two grades with a 95% confidence interval for the previous problem.arrow_forwardUse Minitab and the GPA data (GPAData.xlsx) to answer the following. a) (15 points) Is there a mean difference in High School GPA and a person's GPA following their first year of college? State the relevant hypotheses and provide the p-value from the output. Include a decision and interpretation at a 10% level of significance. b) (5 points) Is the assumption of normality satisfied? Include any plots you make to check the normality assumption and comments on your observations.arrow_forwardA researcher wants to perform a hypothesis test to see if the mean salary of the faculty in private and public institutions are different. Random samples of 36 faculty from private and public institutions were selected. Salaries of the selected faculty from private and public institutions are provided to you in facultysalary.csv file. 1. Make side-by-side boxplots of the salaries for faculty in private and public institutions (In MINITAB, go to Graphs-- >Boxplot-->and explore the available options to see how to make a side-by-side boxplot of the data). 2. Comment on your observations from the side-by-side boxplot made in part 1. 3. Calculate the descriptive statistics: mean, standard deviation for the two samples and attach the MINITAB output. 4. When carrying out a hypothesis test to achieve the aforementioned goal, would you recommend using pooled variance approach or unpooled variance approach? Provide reasoning for your choice. 5. Regardless what you recommend in part 4, carry out…arrow_forward
 
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