書P408-Module 6-Practice Problems-(1)第3題的B選項,錯在哪兒?(2)第4題的A選項,C選項,錯在哪兒?(3)第5題,C選項,如果是雙尾檢驗的話,there is a 2.5% rejection region in one tail of the distribution.
Q40:為什么我不可以先算85%情況下的收益是7.65,15%情況下收益0.45,然后輸入計算器DATA,再導出STAT的值標準差然后再平方呢?
k=n-1,這個地方?jīng)]看懂,麻煩再幫我講解一下,謝謝!
我看1觀點說給定了置信水平,那A錯的原因應該是置信區(qū)間應該還受到us cpi consensus 的影響吧?
Module 5-Example 11
書P330-倒數(shù)第二段,為什么standard error減少,置信區(qū)間的寬度也減少?
在假設檢驗這節(jié),Confidence Interval Estimate的公式如圖,①這里可否理解為是用區(qū)間估計的方式的來估測b1? ②這里的tc和Sb1又是代表什么?
為什么b不選?
Module 1-官網(wǎng)習題-第36題-(1)我按照答案中給出的步驟,N = 60, I/Y = 8/12, PV = 30000, FV = 0, and compute PMT. 依次按照上述步驟在texas instruments 計算器中輸入上述的數(shù)值,最后顯示的數(shù)字是PMT=-608.29 請問608.29前面的負號,怎么理解?(2)另外,答案中所說的FV=0,應該怎么理解?為什么FV會等于0?不是很理解,用計算器時,PV 和 FV的正負號,是站在哪一方的角度而言的現(xiàn)金流入還是現(xiàn)金流出?,還是同時統(tǒng)一考慮的?
數(shù)量第478頁,第12題可以講解一下?感覺理解起來有點難度
Find the reliability factors based on the t-distribution for the following confidence intervals for the population mean (df = degrees of freedom, n = sample size): A.A 99% confidence interval, df = 20 A 90% confidence interval, df = 20 C. A 95% confidence interval, n = 25 D. A 95% confidence interval, n = 16 A. For a 99% confidence interval, the reliability factor we use is t0.005; for df = 20, this factor is 2.845. B. For a 90% confidence interval, the reliability factor we use is t0.05; for df = 20, this factor is 1.725. C. Degrees of freedom equals n ? 1, or in this case 25 ? 1 = 24. For a 95% confidence interval, the reliability factor we use is t0.025; for df = 24, this factor is 2.064. D. Degrees of freedom equals 16 ? 1 = 15. For a 95% confidence interval, the reliability factor we use is t0.025; for df = 15, this factor is 2.13 課后答案中的t0.005 t0.05 t.0.025 t0.025這幾個數(shù)是怎么來的?
答疑題目,請見截圖1
答題疑問請見截圖1
不理解為什么第一題選C >145000
我真是服了,三個選項顯示小數(shù)點后4位都是0.0618,隨便試一個都會直接選啊
程寶問答