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Presume X is a random variable from a distribution with known mean \(\mu\) and known variance \(\sigma_x^2\text{.}\) For some natural number n, sample the distribution repeatedly creating a string of random variables denoted \(X_1, X_2, ... , X_n\) and set \(\overline{X} = \frac{\sum X_k}{n}\text{.}\)
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