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For this question, the explanation is also here, I have some ideas about the problem for this case, such as the case didn't mention the
For this question, the explanation is also here, I have some ideas about the problem for this case, such as the case didn't mention the samples are random. But I am still wondering how to explain these ideas, like writing in paragraph
- The samples are few?
- Range is huge
- Median(9) is a little bit high, which means that the throughput time for more items is longer.
- What is being measured for throughput? When does the measurement start and finish? Ie what is the process?
- Of the different steps in the process, what is the analysis for each step?
- Where does Johnny get his number from, the mean throughput is 10.3 and the median (9) and mode (4) are less than the mean.
- What is causing the variance and wide range? outliers? Can we run a boxplot? Since the distribution is normal (kurtosis and skewness less than 1) can we assume outliers are pulling to the right?
- What happens if we run the analysis again?
- Why did we only sample the last 15? Are these customers independent, or is there something that links them? Ie is this a random sample?
- Was the last 15 representative of the population of customers?
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