1.124 Simulated observations.
Most statistical software packages have routines for simulating values having specified distributions. Use your statistical software to generate 30 observations from the distribution. Compute the mean and standard deviation and of the 30 values you obtain. How close are and to the and of the distribution from which the observations were drawn?
Repeat 24 more times the process of generating 25 observations from the distribution and recording and . Make a stemplot of the 25 values of and another stemplot of the 25 values of . Make Normal quantile plots of both sets of data. Briefly describe each of these distributions. Are they symmetric or skewed? Are they roughly Normal? Where are their centers? (The distributions of measures like and when repeated sets of observations are made from the same theoretical distribution will be very important in later chapters.)