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The length of similar components produced by a company are approximated by a normal distribution model with a mean of 8 cm and a standard deviation of 0.04 cm . Let the random variable X represent the length of one component chosen at random. Without using the normalcdf(...) function, evaluate \( P(X>7.88) \) 99.85 0.003 0.4985 0.997 0.9985

Ask by Stewart Ayala. in the United States
Mar 09,2025

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The probability that a randomly chosen component is longer than 7.88 cm is approximately 0.9985.

Solución

1. The component lengths are normally distributed with mean \( \mu = 8 \) cm and standard deviation \( \sigma = 0.04 \) cm. 2. Standardize the variable for \( X = 7.88 \): \[ Z = \frac{X - \mu}{\sigma} = \frac{7.88 - 8}{0.04} = \frac{-0.12}{0.04} = -3. \] 3. We need to evaluate \( P(X > 7.88) \), which is equivalent to \( P(Z > -3) \). 4. Using the symmetry of the normal distribution, we have: \[ P(Z > -3) = 1 - P(Z < -3) = 1 - (1 - P(Z < 3)) = P(Z < 3). \] 5. The probability \( P(Z < 3) \) is approximately \( 0.9985 \). 6. Therefore, \[ P(X > 7.88) \approx 0.9985. \] Thus, the correct answer is \( 0.9985 \).

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To find \( P(X > 7.88) \), we first standardize the variable using the Z-score formula: \[ Z = \frac{X - \mu}{\sigma} \] Here, \( \mu = 8 \) cm and \( \sigma = 0.04 \) cm. For \( X = 7.88 \): \[ Z = \frac{7.88 - 8}{0.04} = \frac{-0.12}{0.04} = -3 \] Now, we look for \( P(Z > -3) \). Using Z-tables, the area to the left of \( Z = -3 \) is approximately 0.00135. Therefore, \[ P(Z > -3) = 1 - 0.00135 = 0.99865 \] This is approximately \( 0.9985 \). So, the correct answer is: \( 0.9985 \). Now, let's explore some extra fun facts! The concept of a Z-score allows statisticians to compare scores from different normal distributions. It transforms raw scores into a standard scale where we can easily interpret probabilities! Another interesting note is that about 68% of data falls within one standard deviation of the mean in a normal distribution, while about 95% falls within two standard deviations, and a whopping 99.7% falls within three! This properties make normal distribution incredibly useful in various real-world applications such as quality control and risk assessment.

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Question 12(Mulliple Choice Warth 5 points) \[ (04.06 \mathrm{HC}) \] A researcher wants to test the claim that the proportion of juniors who watch television regularly is greater than the proportion of seniors who watch television regularly She finds that 56 of 70 randomly selected juniors and 47 of 85 randomly selected seniors report watching television regularly. Construct \( 95 \% \) confidence intervals for each population proportion. Which of the statemente gives the correct outcome of the research or's tert of the dalim? The \( 95 \% \) confidence interval for juniors is (706, 894), and the \( 95 \% \) confidence interval for seniors is ( 447,659 ). Since the intervals overlap, there is not enough evidence to say the proportion of juniors who watch television regularly may be higher than that of seniors. The \( 95 \% \) confidence interval for juniors is (721, 879), and the \( 95 \% \) confidence interval for seniors is (464, 642). Since the interval for juniors is higher than the interval for seniors, there is evidence to say the proportion of juniors who watch television regularly may be higher than that of seniors. The \( 95 \% \) confidence interval for juniors is ( 706,894 ), and the \( 95 \% \) confidence interval for seniors is ( 447,659 ). Since the interval for juniors is higher than the interval for seniors, there is evidence to say the proportion of juniors who watch television regularly may be higher than that of seniors. The \( 95 \% \) confidence interval for juniors is ( \( 721, .879 \) ), and the \( 95 \% \) confidence interval for seniors is (464, 642). Since the intervals overlap, there is not enough evidence to say the proportion of juniors who watch television regularly may be higher than that of seniors.

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