Independent random samples from two populations with standard deviations σ1=2andσ2=8, respectively, are selected. The sample sizes and the sample means are recorded in the following table:

Sample 1

Sample 2

n1=58x¯1=17.5

n2=62x¯2=16.23

a. Calculate the standard error of the sampling distribution for Sample 1.

b. Calculate the standard error of the sampling distribution for Sample 2.

c. Suppose you were to calculate the difference between the sample means (x1x2). Find the mean and standard error of the sampling distribution (x1x2).

d. Will the statistic (x1x2) be normally distributed?

Short Answer

Expert verified

The sample means distribution is described as the collection of averages from all feasible randomly selected of a certain size (n) drawn from a particular population.

Step by step solution

01

Step-by-Step Solution Step 1: Central Limit Theorem.

According to theCentral Limit Theorem,the sampling distribution of the sample means approaches a normal distribution, irrespective of the shape of population distribution if the sample size is over 30.

A statistic's standard error is the estimated standard deviation of a statistics population sample.

02

(a) Find the standard error for Sample 1.

It is given that,x¯1=17.5, σ1=2, and n1=58.

The standard error is localid="1652760610266" σnand localid="1652760613813" μ1=x¯1

So,

μ1=17.5

Standard error for Sample 1 =localid="1652760584440" σ1n1

=258=0.26

Therefore, the standard error of the sampling distribution for Sample 1 is 0.26.

03

(b) Find the interval extending standard deviations x¯2 on each side μ2. 

It is given that, x¯1=16.23,σ1=8, and n1=62.

The standard error is σnandμ2=x¯2

So,

μ2=16.23

The standard error for Sample 2 =role="math" localid="1652760921438" σ2n2

=862=1.02

Therefore, the standard error of the sampling distribution for Sample 2 is 1.02.

04

(c) Find the mean as well as the standard error of the sampling distribution (x¯1− x¯2).

It is given that, μ1=17.5, μ2=16.23, σ1=2, σ2=8,n1=58, and n2=62

x¯1x¯2=μ1μ2=17.516.23=1.27

role="math" localid="1652761176006" σx¯1x¯2=σ12n1+σ22n2=458+6462=1.1012=1.05

Therefore, the mean and standard deviation of the sampling distribution(x¯1x¯2) are1.27 and 1.05respectively.

05

(d) State the distribution of (x¯1− x¯2)

The difference in sample means will be normally distributed according to the Central Limit Theorem as n>30.

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Most popular questions from this chapter

Question: Refer to the Journal of Business Logistics (Vol. 36, 2015) study of the factors that lead to successful performance-based logistics projects, Exercise 2.45 (p. 95). Recall that the opinions of a sample of Department of Defense (DOD) employees and suppliers were solicited during interviews. Data on years of experience for the 6 commercial suppliers interviewed and the 11 government employees interviewed are listed in the accompanying table. Assume these samples were randomly and independently selected from the populations of DOD employees and commercial suppliers. Consider the following claim: “On average, commercial suppliers of the DOD have less experience than government employees.”

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a. Determine the values zfor which the null hypothesis μ1μ2=0would be rejected in favor of the alternative hypothesis μ1μ2<0 Use .role="math" localid="1652704322912" α=.10

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x

10

12

18

20

p

.2

.3

.1

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c. Calculate μ±2σ .

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