The sampling distribution of a statistic is normally distributed with an estimated standard error of 12 (df = 20).
(a) What is the probability that you would have gotten a mean of 107 (or more extreme) if the population parameter were 100? Is this probability signi?cant at the .05 level (two-tailed)?
(b) What is the probability that you would have gotten a mean of 95 or less (one-tailed)? Is this probability signi?cant at the .05 level? You may want to use the t Distribution calculator for this problem