Normal distribution of fish lengths

Assignment Help Finance Basics
Reference no: EM131332644

Use the normal distribution of fish lengths for which the mean is 8 inches and the standard deviation is 5 inches. Assume the variable x is normally distributed.

What percent of the fish are longer than 11 inches?

If 500 fish are randomly selected, about how many would you expect to be shorter than 6 inches?

Reference no: EM131332644

Questions Cloud

Write a two-page essay comparing reinvestment risk : Write a two-page essay comparing reinvestment risk and interest rate risk and how an investor can protect his or her portfolio from those risks. Please be sure to discuss duration in your paper.
Confidence interval for the percentage : In a random sample of 63 students in 2000, 3 got first class honours. A random sample of 42 is conducted in 2009 and 7 got firsts. (a) Give a 95 percent confidence interval for the percentage who got firsts in 2000.
Create at least five interview questions related to racism : Choose a person to interview. This person should have experience with race, gender, and/or occupational stratification, either as a human resources manager, a hiring manager, or someone similar, OR you may choose someone who personally experienced..
What kind of data different user groups would likely require : Why the reports should be integrated, using the very same data? What kinds of data different user groups would likely require? What system features will be needed specifically to address e-business needs?
Normal distribution of fish lengths : Use the normal distribution of fish lengths for which the mean is 8 inches and the standard deviation is 5 inches. Assume the variable x is normally distributed.
Build a chat programme using socket level programming : NET202 Assignment: Network Programming. Build a chat programme using socket level programming. This can be done at various levels of sophistication and the marks available at each level are indicated below
Group of organic pollutants found in variety of products : Polychlorinated biphenyl (PCB) is among a group of organic pollutants found in a variety of products, such as coolants, insulating materials, and lubricants in electrical equipment. Disposal of items containing less than 50 parts per million (ppm)..
Discuss about the questions given below : involves allocating ownership of the risk to another party. A project manager can chart the probability and impact of risks on a.
Suit of hearts and the second card : Consider selecting one card at a time from a 52-card deck. What is the probability that the first card is from the suit of hearts and the second card is also from the suit of hearts? (Note there are 13 cards from the suit f hearts in a deck of ca..

Reviews

Write a Review

Finance Basics Questions & Answers

  Research a company from which you regularly purchase service

Use the internet to research a company from which you regularly purchase services, with a focus on that company's marketing strategy. Be prepared to discuss. From the e-Activity, assess the company's marketing strategy, with a focus on marketing mix...

  Genesis energyrsquos newly established operations

assignment 4 external financinggenesis energyrsquos newly established operations management team decided to seek

  Tests and procedures for sales-payroll-acquisition cycles

How are the tests of controls, substantive tests of transactions, and analytical procedures for sales and collection cycle, payroll and personnel cycle, and acquisition and payment cycle similar?

  Percentage change in the price of bonds laurel

Whereas the Hardy Corp. bond has 15 years to maturity. If interest rates suddenly fall by 2 percent, the percentage change in the price of Bonds Laurel, Inc

  What is the net present value of the refunding

Today15 year five percnt seminannual payment bonds can be sold at par but foltation costs on this issue would be two percent. what is the net present value of the refunding.

  Use 2 transactions in recent financial news to illustrate

use 2 transactions in recent financial news to illustrate and explain the roles of financial intermediaries and banks

  What would the risk-free rate have to be

Stock Y has a beta of 1.25 and an expected return of 12.6 percent. Stock Z has a beta of .8 and an expected return of 9.9 percent. Required: What would the risk-free rate have to be for the two stocks to be correctly priced relative to each other?

  Find the stocks expected return

If common stock has a beta of 1.2. The risk free rate is 4% and the expected return on the market is 9%. Using the CAPM to find the stocks expected return. Please walk me through the steps.

  Qnational newsmagazine publishes the article on efforts to

q.national newsmagazine publishes the article on efforts to limiting smoking in public places. then the magazine gets

  Price the bonds from the above table with semiannual coupon

Price the bonds from the above table with semiannual coupon payments.

  What is the fair price for this portfoilio

The expiration date of the options are six months from now. The risk free interest rate is 5% per annum. What is the fair price for this portfoilio. Why?

  Determine the effective cost of borrowing

The payoff is based on the exact number of days and a 360-day year. If you have a financial calculator or a spreadsheet with an IRR function, solve for the internal rate of return and annualize it to determine the effective cost of borrowing.

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd