Consider the following sample of observations on coating

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Consider the following sample of observations on coating thickness for low-viscosity paint:

.83 .88 .88 1.04 1.09 1.12 1.29 1.31 1.48 1.49 1.59 1.62 1.65 1.71 1.76 1.83

Assume that the distribution of coating thickness is normal (a normal probability plot strongly supports this assumption).

a. Calculate a point estimate of the mean value of coating thickness, and state which estimator you used.

b. Calculate a point estimate of the median of the coating thickness distribution, and state which estimator you used. c. Calculate a point estimate of the value that separates the largest 10% of all values in the thickness distribution from the remaining 90%, and state which estimator you used. [Hint: Express what you are trying to estimate in terms of m and s.]

d. Estimate P(X < 1.5), i.e., the proportion of all thickness values less than 1.5. [Hint: If you knew the values of m and s, you could calculate this probability. These values are not available, but they can be estimated.]

e. What is the estimated standard error of the estimator that you used in part (b)?

Reference no: EM13625747

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