Assuming that the population isnormally distributed, construct a 95% confidence interval estimate for thepopulation mean for each of the following samples:
SampleA:
1˚ 2˚ 3˚ 4˚ 5˚ 6˚ 7˚ 8
SampleB
1˚ 1˚ 1˚ 1˚ 8˚ 8˚ 8˚ 8
Explain why these twosamples produce different confidence intervals even though they have the samemean and range
***PLEASE PROVIDE A BREAK DOWN OF ALL EQUATION AND METHODS, NOT JUST THE ANSWER, THANK YOU ***

