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Which of the following is the best interpretation of the claim We are 99% condent that the average number of dependents claimed on a federal
Which of the following is the best interpretation of the claim "We are 99% condent that the average number of dependents claimed on a federal tax return is between 2.2 and 2.4"? 99% of Americans claim between 2.2 and 2.4 dependents on their federal tax return 0 We do not know if the interval estimate (2.2, 2.4) covers the population mean 0 If we repeatedly and randomly sample federal tax returns then 99% of the interval estimates of the mean number of tax dependents claimed will cover the sample mean 0 If we draw another sample of tax returns then the sample mean number of dependents claimed will be in the range 2.2 to 2.4 with probability 0.95
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