Math, asked by mandaviyamovie, 3 months ago

The following data show the mean and the standard deviation of the prices of two shares:
Mean S.D.
ABC Ltd. 39·5 10·8
XYZ Ltd. 47·5 16·8
If the correlation between the share prices is 0·404, find
i) the most likely price of ABC when XYZ is 60.
ii) the likely price of XYZ when ABC is 55.

Answers

Answered by syad2345
0

Answer:

set builder form it is

Step-by-step explanation:

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