问题如下:
Here is a table discribing sample statistics from two bonds' rate of return which are both normally distributed over the past decades. If an investor is considering whether the mean of bond B is greater than 26%,
which of the following conclusion is least appropriate (significant level=5%) ?
选项:
A.It is approptiate to use the Z-test.
B.The mean of bond B is not significant greater than 26%.
C.It is a one-tailed test.
解释:
B is correct.
It is appropraite to ues the one-tailed Z-test because the sample size of bond B is bigger than 30.
The null hypothesis is: ≤
The test statistic:
α= 5% indicates the critical value is equal to ±1.65.
Because 1.91>1.65, therefore, we should reject the null hypothesis.
The test statistic:Z=X-μSxn =(0.32-0.26)0.2249=1.91
α= 5% indicates the critical value is equal to ±1.65.
问题一:z分布的公式讲义位置?
问题二:z分布查数据的讲义位置?
学得有点晕,忘了位置在哪来