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The number of possible different samples (each of size n = 2) is the number of possibilities on the first roll (10) times the number
The number of possible different samples (each of size n = 2) is the number of possibilities on the first roll (10) times the number of possibilities on the second roll (also 10), or 10(10) = 100. If you collected all of these possible samples, the mean of your sampling distribution of means (MM) would equal , and the standard deviation of your sampling distribution of means (that is, the standard error or MM) would Be:
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