With regards to a failure, FMEA looks towards the future but FTA towards the past. O True False
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![With regards to a failure, FMEA looks towards the future but FTA towards the past.
O True
O False](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2F3feeca30-7ee7-4ee7-a0bd-7f4117ef3648%2F1c70e06a-c06f-4432-9109-06fbc4d8762e%2Fzl2pcsq_processed.jpeg&w=3840&q=75)
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True
False](/v2/_next/image?url=https%3A%2F%2Fcontent.bartleby.com%2Fqna-images%2Fquestion%2F3feeca30-7ee7-4ee7-a0bd-7f4117ef3648%2F1c70e06a-c06f-4432-9109-06fbc4d8762e%2Fx7clmy_processed.jpeg&w=3840&q=75)
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- can you help me answer this questions: 1-A moving average is the average of the observations in the past few periods, where the number of terms in the average is the span. True False 2- All nominal data may be treated as ordinal data. False True 3 - Phone numbers, Social Security numbers, and zip codes are typically treated as numerical variables. True False 4 - Correlation is useful only for: a.measuring the strength of a linear relationship. b.conveying the same information in a simpler format than a scatterplot. c.measuring the strength of a nonlinear relationship. d.assessing the weakness of a linear relationship. 5 - Which of the following will give the value for the third quartile? a. QUARTILE.INC(array, 0.25) b.QUARTILE.INC(array, 0.75) c. PERCENTILE.INC(array, 0.75) d.DECILE.INC(array, 0.30) 6 - _______ sampling applies to populations that are divided into natural subsets and allocates the appropriate proportion of samples to each subset.…When will you use scatter diagram?a. For 2 variables that have relationshipb. For 2 variables that have no relationshipc. For data that are inversely proportionald. For data that are directly proportionale. None of the aboveGiven a normal distribution with μ= 105 and σ = 20, and given you select a sample of n = 16, complete parts (a) through (d). a. What is the probability that X is less than 92? P(X<92) 0.0047 (Type an integer or decimal rounded to four decimal places as needed.) b. What is the probability that X is between 92 and 93.5? P(92 X 93.5)= 0.0061 (Type an integer or decimal rounded to four decimal places as needed.) c. What is the probability that X is above 105.2? P(X 105.2)= 0.4840 (Type an integer or decimal rounded to four decimal places as needed.) d. There is a 67% chance that X is above what value? X = (Type an integer or decimal rounded to two decimal places as needed.)
- What is the F, df, and p values for each dependent variable mean? Describe the results in nontechnical terms for visualization and grades.The mean annual earning for U.S. workers with advanced degrees is $80,977 with a standard deviation of $100,895; the distribution is highly right-skewed. Use this information to answer questions 7 to 10 below. A random sample of n = 86 workers is drawn, and their annual earnings recorded. What is the expected value of the sample mean of their annual earnings? What is the standard deviation of the sample mean of their annual earnings? what is the probability that the sample mean is at least $100,000? The actual sample mean earnings for the random sample of 86 workers with advanced degrees was $82,105. What is the sampling error?4.1 TYPES OF RANDOM VARIABLES. Which of the following describe continuous random variables? Which describe discrete random variables? The number of newspapers sold by the New York Times each month The amount of ink used in printing a Sunday edition of the New York Times The actual number of ounces in a 1-gallon bottle of laundry detergent The number of defective parts in a shipment of nuts and bolts The number of people collecting unemployment insurance each month
- We can use the methods below to control extraneous variables except O Manual control O Design control O Statistical control Randomization O Matching44. Which one of the following methods eliminates short term and random fluctuations in a time series? a. Moving Average b. Neither moving average nor semi average c. Both moving average and semi-average d. Semi-Average8.
- The time to deliver packaged containers by a logistics company is found fromsamples of size 4. The mean and standard deviation of delivery times is estimated tobe 140 hours and 6 hours, respectively.(a) Find the 2 sigma and 3 sigma control limits for the average delivery time.(b) Explain a type I and type II error specifically in this context.(c) If the mean delivery time shifts to 145 hours, what is the probability of notdetecting this by the second sample after the shift?(d) What is the ARL? ExplainSTAR Co. provides paper to smaller companies with volumes that are not large enough to warrant dealing directly with the paper mill. STAR receives 100-feet-wide paper rolls from the mill and cuts the rolls into smaller rolls of widths 12, 15, and 30 feet. The demands for these widths vary from week to week. The following cutting patterns have been established. Pattern Number 12‐ft 15‐ft 30‐ft Trim Loss (ft) 1 0 6 0 10 2 0 0 3 10 3 8 0 0 4 4 3 0 2 4 5 7 1 0 1 Trim loss is the leftover paper from a pattern (e.g., for pattern 4, 3(12) + 0(15) + 2(30) = 96 feet used results in 100 − 96 = 4 foot of trim loss). Orders in hand for the coming week are 5,680 12-foot rolls, 1,670 15-foot rolls, and 3,340 30-foot rolls. Any of the three types of rolls produced in excess of the orders in hand will be sold on the open market at the selling price. No inventory is held. (a) Formulate an integer programming model that will determine how many 100-foot rolls to cut into each of the…The error measurement that gives weight based on the relative error is: O Bias Residual MSE MAD O MAPE
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