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Mathematics, 05.05.2020 16:33 nisazaheer

Suppose that the population of the scores of all high school seniors that took the SAT-M (SAT math) test this year follows a Normal distribution, with mean μ and standard deviation σ = 100. You read a report that says, "On the basis of a simple random sample of 100 high school seniors that took the SAT-M test this year, a confidence interval for μ is 512.00 ± 25.76." The confidence level for this interval is

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