Business Statistics: A First Course (7th Edition)
Business Statistics: A First Course (7th Edition)
7th Edition
ISBN: 9780321979018
Author: David M. Levine, Kathryn A. Szabat, David F. Stephan
Publisher: PEARSON
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Chapter 3, Problem 3.34AC

Consider a population of 1,024 mutual funds that primarily invest in large companies. You have determined that μ , the mean one-year total percentage return achieved by all the funds, is 8.20 and that σ , the standard deviation, is 2.75.

  1. According to the empirical rule, what percentage of these funds is expected to be within ± 1 standard deviation of the mean?
  2. According to the empirical rule, what percentage of these funds is expected to be within ± 2 standard deviations of the mean?
  3. According to the Chebyshev rule, what percentage of these funds is expected to be within ± 1 , ± 2 , or ± 3 standard deviations of the mean?
  4. According to the Chebyshev rule, at least 93.75% of these funds are expected to have one-year total returns between what two amounts?

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Chapter 3 Solutions

Business Statistics: A First Course (7th Edition)

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