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Polygon MNOPQ is dilated by a scale factor of 5.4 with point M as the center of dilation, resulting in the image M'N'O'P'Q'. Which sentence correctly compares N'O' and NO ?
O N'O' does not pass through point M but has the same slope as NO.
N'O' passes through point M and has the same slope as NO.
O N'O' does not pass through point M and has a different slope than NO
N'O' passes through point M but has a different slope than NO.
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Please explain the questions below:
Chapter 5:
What can you say about the probability of a certain event if (a) the ...
Hialeah High School Normal Distribution Statistics Discussion
Please explain the questions below:
Chapter 5:
What can you say about the probability of a certain event if (a) the probability is 1, (b) the probability is 0.
Chapter 6:
Explain how a nonstandard normal distribution differs from the standard normal distribution. Describe the process for finding probabilities for nonstandard normal distributions. Illustrate with examples
1) Directly and completely post the requested information.
2) Respond to another student's post explaining the reason for your agreement or disagreement or why you think the post is important.
3) Respond to two or more posts explaining the reason for your agreement or disagreement or why you think the post is important.
Student réponses 2
------------------------------------------------------------------------------------------------------------------------------------
Chapter 6: STUDENT REPONSE
Both are bell-shaped distributions. The mean of a standard distribution is zero, while the standard deviation is one. The mean and standard deviation of a nonstandard distribution might have different values. (SD numbers are, of course, positive) (Das & Geisler, 2021). Sketch the plot, feature the x-score of the plot, ascertain the fitting z-score, conceal the comparing area of interest, find in the table the region relating to the z-score (region among mean and z - result) and utilize this region to track down the area of interest which are concealed which ought to be important for the cycle.
The mean and variance are the two parameters that define a normal distribution. We regularly utilize the expression "arbitrary random distribution" in measurements to allude to information gathered from a normal distribution to gauge this perimeter. The standard normal distribution has a mean of 0 and a variance of 1. This is the dispersion used to make the normal distribution table.If X has a normal distribution with mean M and variance S2, we can easily define
Z=X - M/s.
The usual normal distribution is then applied to Z. So, using the tables for Z, we may compute probabilities of the type P [a< X < b] for any specified normal distribution. This is due to the fact that we may write X= sZ+m. In comparison to the overall family of normal distributions, the standard normal performs a unique function.
----------------------------------------------------------------------------------------------------------------------------------------------
Chapter 6:
A nonstandard normal distribution has two parameters: the mean and the variance. Now the standard normal distribution with a specific mean 0 and variance 1. This is the distribution that is used to construct probability tables of the normal distribution. If a random variable X follow nonstandard normal distribution with mean "m" and standard deviation "s" then, follow standard normal distribution.
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Complete the following end of chapter exercises for Chapter 3. Submit your response in an MS Word document or Pdf after in ...
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Most Popular Content
STAT Weight Loss by Low Card Diet & Low Fat Diet Statistics Questions
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both the questions and instructions are attached.Please read them carefully and make sure the instructions are followed.
Hialeah High School Normal Distribution Statistics Discussion
Please explain the questions below:
Chapter 5:
What can you say about the probability of a certain event if (a) the ...
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Please explain the questions below:
Chapter 5:
What can you say about the probability of a certain event if (a) the probability is 1, (b) the probability is 0.
Chapter 6:
Explain how a nonstandard normal distribution differs from the standard normal distribution. Describe the process for finding probabilities for nonstandard normal distributions. Illustrate with examples
1) Directly and completely post the requested information.
2) Respond to another student's post explaining the reason for your agreement or disagreement or why you think the post is important.
3) Respond to two or more posts explaining the reason for your agreement or disagreement or why you think the post is important.
Student réponses 2
------------------------------------------------------------------------------------------------------------------------------------
Chapter 6: STUDENT REPONSE
Both are bell-shaped distributions. The mean of a standard distribution is zero, while the standard deviation is one. The mean and standard deviation of a nonstandard distribution might have different values. (SD numbers are, of course, positive) (Das & Geisler, 2021). Sketch the plot, feature the x-score of the plot, ascertain the fitting z-score, conceal the comparing area of interest, find in the table the region relating to the z-score (region among mean and z - result) and utilize this region to track down the area of interest which are concealed which ought to be important for the cycle.
The mean and variance are the two parameters that define a normal distribution. We regularly utilize the expression "arbitrary random distribution" in measurements to allude to information gathered from a normal distribution to gauge this perimeter. The standard normal distribution has a mean of 0 and a variance of 1. This is the dispersion used to make the normal distribution table.If X has a normal distribution with mean M and variance S2, we can easily define
Z=X - M/s.
The usual normal distribution is then applied to Z. So, using the tables for Z, we may compute probabilities of the type P [a< X < b] for any specified normal distribution. This is due to the fact that we may write X= sZ+m. In comparison to the overall family of normal distributions, the standard normal performs a unique function.
----------------------------------------------------------------------------------------------------------------------------------------------
Chapter 6:
A nonstandard normal distribution has two parameters: the mean and the variance. Now the standard normal distribution with a specific mean 0 and variance 1. This is the distribution that is used to construct probability tables of the normal distribution. If a random variable X follow nonstandard normal distribution with mean "m" and standard deviation "s" then, follow standard normal distribution.
Abraham Lincoln University Statistical Questions
Complete the following end of chapter exercises for Chapter 3. Submit your response in an MS Word document or Pdf after in ...
Abraham Lincoln University Statistical Questions
Complete the following end of chapter exercises for Chapter 3. Submit your response in an MS Word document or Pdf after inserting the results from SPSS Output into your document. This exercise utilizes the data set schools-a.sav, which can be downloaded from chapter data sources referenced above. 1- You are interested in investigating if being above or below the median income (medloinc) impacts ACT means (act94) for schools. Complete the necessary steps to examine univariate grouped data in order to respond to the questions below. Although deletions and/or transformations may be implied from your examination, all steps will examine original variables. a. How many participants have missing values for medloinc and act94? b. Is there a severe split in frequencies between groups? c. What are the cutoff values for outliers in each group? d. Which outlying cases should be deleted for each group? e. Analyzing histograms, normal Q-Q plots, and tests of normality, what is your conclusion regarding normality? If a transformation is necessary, which one would you use?
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