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8. Duke ju refervar ushtrimit 9, studimi gjithashtu krahasoi portofolet mesatare te microkredive per te dy grupet A dhe B. Per grupin A ajo ishte

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8. Duke ju refervar ushtrimit 9, studimi gjithashtu krahasoi portofolet mesatare te microkredive per te dy grupet A dhe B. Per grupin A ajo ishte 50 milione S, dhe per grupin B ajo ishte 14 milion $. Supozojme se grupi A kishte nje devijim standard prej 20 milione $ dhe grupi B kishte nje devijim standard prej 8 milione $. Ndertoni nje interval besim 95 % per diferencen me madhesime e portofolit per firmat ne te dy grupet

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