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8.03 Applications of binomial distributions

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Outcomes

4.3.2.3

determine and use the probabilities 𝑃(𝑋=π‘Ÿ) = {nr} 𝑝^π‘Ÿ(1 βˆ’ 𝑝)^(n-r) associated with the binomial distribution with parameters 𝑛 and p

4.3.2.4

calculate the mean 𝑛p and variance 𝑛p(1βˆ’π‘) of a binomial distribution using technology and algebraic methods

4.3.2.5

identify contexts suitable to model binomial distributions and associated probabilities to solve practical problems, including the language of β€˜at most’ and β€˜at least’

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