confidence interval for a difference in means μ1-μ2 given the relevant sample results. Give the best estimate for μ1-μ2, the margin of error, and the confidence interval. Assume the results come from random samples from populations that are approximately normally distributed. A 99% confidence interval for μ1-μ2 using the sample results x¯1=507, s1=112, n1=360 and x¯2=445, s2=96, n2=200 Enter the exact answer for the best estimate and round your answers for the margin of error and the confidence interval to two decimal places.

Glencoe Algebra 1, Student Edition, 9780079039897, 0079039898, 2018
18th Edition
ISBN:9780079039897
Author:Carter
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Chapter10: Statistics
Section10.3: Measures Of Spread
Problem 1GP
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Use the t-distribution to find a confidence interval for a difference in means μ1-μ2 given the relevant sample results. Give the best estimate for μ1-μ2, the margin of error, and the confidence interval. Assume the results come from random samples from populations that are approximately normally distributed.

A 99% confidence interval for μ1-μ2 using the sample results x¯1=507, s1=112, n1=360 and x¯2=445, s2=96, n2=200

Enter the exact answer for the best estimate and round your answers for the margin of error and the confidence interval to two decimal places.

Best estimate = 
Margin of error = 
Confidence interval :

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