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Liono4ka [1.6K]
3 years ago
5

A team of dermatological researchers were studying skin cancer among 60-70 year old American men. Suppose you were a part of the

research team and take a sample of n =70 men from this age group and calculate the mean number of skin cancer spots in the sample. Also suppose that it is known that the distribution of the number of cancer spots is right-skewed.1. How is the standard deviation of the distribution of sample means related to the population standard deviation of the number of cancer spots?a. The standard deviation of the distribution of sample means is less than the population standard deviation of the number of cancer spots.b. The standard deviation of the distribution of sample means is equal to the population standard deviation of the number of cancer spots.c. The standard deviation of the distribution of sample means is greater than the population standard deviation of the number of cancer spots.
d. We cannot be sure of any of the above answers until we examine the data.
Mathematics
1 answer:
Lostsunrise [7]3 years ago
3 0

Answer:

The correct answer is Option A.) The standard deviation of the distribution of sample means is less than the population standard deviation of the number of cancer spots.

Step-by-step explanation:

The standard deviation of the distribution of sample means is less than the population standard deviation of the number of cancer spots.

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Need help ASAP, will mark brainliest if you can check my answer:
ki77a [65]

According to the <em>compound interest</em> model, we find the following results: I) x ≈ 11.5 yr, C' = $ 101317.36, II) r ≈ 7.4 %, x ≈ 9.8 yr, III) C = $ 7626.38, x ≈ 8.6 yr, IV) r ≈ 6.5 %, C = $ 12801.61

<h3>How to determined all the variables associated with compound interest</h3>

<em>Compound</em> interest describes the <em>capital</em> gain in term of <em>deposited</em> capital and the consideration that such capital is increased continuously in time. The compound interest model is shown below:

C' = C · (1 + r/100)ˣ     (1)

Where:

  • C - Initial capital
  • C' - Current capital
  • r - Interest rate, in percentage.
  • t - Time, in years

The <em>doubling</em> time (x) is the period needed for a capital to be doubled. It is described by the following expression based on (1):

x = (㏒ 2)/[㏒ (1 + r/100)]     (2)

Now we proceed to calculate each missing variable:

Case I - Doubling time

x = (㏒ 2)/[㏒ (1 + 6.2/100)]

x ≈ 11.5

Case I - Current capital

C' = 75000 · (1 + 6.2/100)⁵

C' = 101317.36

Case II - Interest rate

r = 100\cdot \left(\sqrt [5] {\frac{7130.90}{5000} }-1\right)

r ≈ 7.4

Case II - Doubling time

x = (㏒ 2)/[㏒ (1 + 7.3/100)]

x ≈ 9.8

Case III - Initial capital

C = 11414.71/(1 + 8.4/100)⁵

C = 7626.38

Case III - Doubling time

x = (㏒ 2)/[㏒ (1 + 8.4/100)]

x ≈ 8.6

Case IV - Interest rate

r = 100\cdot \left(\sqrt [11] {2 }-1\right)

r ≈ 6.5

Case IV - Initial capital

C = 17539.32/(1 + 6.5/100)⁵

C = 12801.61

To learn more on compound interest: brainly.com/question/14295570

#SPJ1

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