Suppose a simple random sample of size n is obtained from a population with and . ​(a) What must be true regarding the distribution of the population in order to use the normal model to compute probabilities regarding the sample​ mean? Assuming the normal model can be​ used, describe the sampling distribution . ​(b) Assuming the normal model can be​ used, determine ​P(​). ​(c) Assuming the normal model can be​ used, determine ​P(​).



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