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1. Using the S-PLUS function cmanova, apply the Choi-Marden method to the data in given Table 1 and verify that the significance level is less than .01.
2. Apply the S-PLUS function bwrank to the data in Table 1. Verify that the significance level associated with the main effect for factor A is less than .001 but that you get a highly non-significant result for factor B and the hypothesis of no interaction.
Superior Construction Pte Ltd is a successful company dealing with many mmajor projects in Singapore. What is the probability that the company: will secure Project A or B but not both
Is there a statistically significant difference between the bowling averages of male nurses and those of businessmen, if last year's league play produced the following data
The trend line y = 0.70 + 0.005t was calculated from quarterly data for 1999 -2003, where t = 1 for the first quarter of 1999. The seasonal indexes computed from the trend line for the four quarters of the year 2004 were .85, 1.05, 1.15, and .80, ..
Confirm that these statements are accurate by finding the geometric mean rate of increase.
the medical college admission test. almost all medical schools in the united states require applicants to take the
A certain map is drawn so that a distance of 0.5 inch on the map represents 12.5 miles of actual distance. If the distance between two towns is 4.5 inches on the map, what is the actual distance, in miles, between the two towns?
A researchers wish to estimate, with 95% confidence, the proportion of people who own a home computer. A previous study shows the 40% of those interviewed had a computer at home.
If you arbitrarily grab 2 socks out of drawer determine the probability that you grab a matching pair?
The State Transportation Department is interested in estimating the proportion of vehicle owners that are operating vehicles without the required liability insurance.
Perform a MANOVA. data set perform a MANOVA. "Group" is your fixed factor, and LDL and HDL are your dependent variables - Exploratory Data Analysis.
in the last quarter of 2007 a group of 64 mutual funds had a mean return of 1.2 with a standard deviation of 6.5.
The median of 1.50 is a better measure of the center than the mean of 34.83 because of the outlier value of 414 seconds. What is the sample variance and standard deviation for these 30 numbers?
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