document.write( "Question 1020304: List the assumptions underlying the two sample t test for independent means \n" ); document.write( "
Algebra.Com's Answer #636227 by Boreal(15235)![]() ![]() You can put this solution on YOUR website! \n" ); document.write( "Normally distributed populations. \n" ); document.write( "Sample variance can be used to approximate the population variance. \n" ); document.write( "The two populations are independent. The samples themselves don't have to be random, although most would want that. \n" ); document.write( " |