Simple answers are here, I attached pics of my written algorithm below.
In the
notebook, the final answers for each exercise are circled.
1.1
P(X1) = 0.7
P(X2) = 0.5
1.2
Mean = 1.2
1.3
New Mean = 1.65
1.4
Var(X1) = 0.21
Var(X2) = 0.25
1.5
Cov(X1,X2) = 0.05 (small positive relationship)
1.6
Var(Y) = 0.56
1.7
NewVar(Y) = 1.0025 (approx. 1)
2.1
Var(Y) = 10.3
2.2
Cov(Y,Z) = 2.4
2.3
Sample correlation = 0.61
2.4
Sample correlation between Y and Z if we double X3 = 0.69
3.1
T = 9 (but exercise is silly here)
3.2
Test true score variance = 5; Reliability = 0.6
3.3
a) 6
b) 4
c) 0.63
4.1
SEM = 1.7
4.2
CI = (66.61,73.39)
5.1
Estimated reliability for congeneric tests = 3 (?! Not good, should be between 0 and 1)
5.2
Estimated reliability under the assumption of essential T-equivalence of X1 and X2 = 0.3
(but I am not sure if this is good or not, I used ChatGPT to get and understand a
formula).