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In order to calculate confidence intervals and hypothesis tests, it is assumed that the errors are independent and normally distributed with mean zero and _______(a) Mean(b) Variance(c) SD(d) KNNI got this question in homework.The origin of the question is Linear Regression topic in chapter Commands, Packages, Visualizing Data and Linear Regression of R Programming

Answer»

Right answer is (B) Variance

Easiest EXPLANATION: In order to calculate CONFIDENCE INTERVALS and hypothesis tests, it is assumed that the errors are independent and normally distributed with MEAN zero and variance.



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