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I am using a one-tail testing. How can I justify with rationale that clinic 2 is the better choice for investors to purchase with practical,

I am using a one-tail testing. How can I justify with rationale that clinic 2 is the better choice for investors to purchase with practical, administration-related implications of the hypothesis test?

Based on the p-value and the statistical analysis, it is suggested that clinic 2 should be purchased by investors due to indicators that it is the more productive clinic based on total monthly visits.

Also, what scholarly references are available to justify this?

https://www.ncbi.nlm.nih.gov/pmc/articles/PMC6328330/

https://journals.sagepub.com/doi/full/10.1177/2158244014567685

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t-Test: Two-Sample Assuming Unequal Variances clinic1 clinic2 Mean 124.32 145.03 Variance 2188.54303 1582.514242 Observations 100 100 Hypothesized Mean Difference O df 193 t Stat -3.372473414 P(T

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