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Thbuoi 3
Thbuoi 3
Câu 1:
a/
b/
-Mean: Giá trị trung bình mẫu =8,308
-Standard Deviation: độ lệch chuẩn=0,031552
-Count:cở mẫu n=10
-Độ tin cậy 95%
=>e=CONFIDENCE(0.05,0.031552,10)= 0.019556
Bài 2:
Nhận thấy mẫu n=90>30, p gạch =16/90=0.09879 ; np gạch= 16>5; n(1-p gạch)=74>5.Nên khoảng tin
cậy 95% cho p là: (p gạch-e,p gạch + e)
p gạch là tỉ lệ mẫu
=SQRT(((16/90)*(1-(16/90)))/90)= 0.040300653
e=1.959963985*0.040300653=0.078987829
=>( 0.09879,0.25677)
Câu 3:
B2:
B3: -2.279060894
B6: Vậy chấp nhận trung bình của biến FVC là bằng 3.0 lít
b/
Variabl
Variable 1 e2
2.89685039
Mean 4 3
0.26015190
Variance 6 0
Observations 127 126
Hypothesized Mean Difference 0
df 126
-
2.27906089
t Stat 4
0.01217292
P(T<=t) one-tail 9
2.35630735
t Critical one-tail 9
0.02434585
P(T<=t) two-tail 7
2.61541212
t Critical two-tail 7
=T.DIST(-2.279,126,TRUE) =0.012172929
c/
FVC FVC
3.13929577 2.58946
Mean 5 4
0.21161235 0.15457
Variance 4 6
Observations 71 56
Hypothesized Mean
Difference 0
df 124
7.25680691
t Stat 7
1.89566E-
P(T<=t) one-tail 11
2.35679659
t Critical one-tail 3
3.79131E-
P(T<=t) two-tail 11
2.61605988
t Critical two-tail 3
Cau 4:
A/
Variable
Variable 1 2
4.84545
Mean 2.75 5
7.46259259 21.6907
Variance 3 3
Observations 28 11
Hypothesized Mean
Difference 0
df 13
-
t Stat 1.40058305
P(T<=t) one-tail 0.09237668
2.65030883
t Critical one-tail 8
0.18475336
P(T<=t) two-tail 1
3.01227583
t Critical two-tail 9
B/
Variable
Variable 1 2
17.1892857 17.7272
Mean 1 7
68.8181
Variance 76.2180291 8
Observations 28 11
Hypothesized Mean
Difference 0
df 19
-
0.17954587
t Stat 9
0.42970501
P(T<=t) one-tail 4
2.53948319
t Critical one-tail 1
0.85941002
P(T<=t) two-tail 9
2.86093460
t Critical two-tail 6
Cau 5:
Variable
Variable 1 2
Mean 74.1 75.1
52.9888
Variance 41.65555556 9
Observations 10 10
Pearson Correlation 0.841698603
Hypothesized Mean
Difference 0
df 9
t Stat -0.801783726
P(T<=t) one-tail 0.221665925
t Critical one-tail 1.833112933
P(T<=t) two-tail 0.44333185
t Critical two-tail 2.262157163