Answer:
ai )

aii)
b )

Explanation:
From the question we are told that
The mean is

The standard deviation is

Let the random sediment density be X
given that the sediment density is normally distributed it implies that
X N(2.65 , 0.85)
Now probability that the sample average is at 3.0 is mathematically represented as
![P(\= X \le 3.0 ) = P[\frac{\= X - \mu} {(\sigma )/(√(n) ) } \le (3.0 - \mu)/(( \sigma)/(√(n) ) ) ]](https://img.qammunity.org/2021/formulas/mathematics/college/k63fv8af1s1glpypi1oed0tu70y4rfp6uy.png)
Here n is the sample size = 25 and
is the sample mean
Now Generally the Z-value is obtained using this formula

Thus
![P(\= X \le 3.0 ) = P[Z \le (3.0 - 2.35)/(( 0.85)/(√(25) ) ) ]](https://img.qammunity.org/2021/formulas/mathematics/college/z00jnftn5kz5zu5so2ltu62yeos6rrjymm.png)
![P(\= X \le 3.0 ) = P[Z \le 2.06 ]](https://img.qammunity.org/2021/formulas/mathematics/college/ozjbdi9n1p0h46dar13aoesbx0u65n95sa.png)
From the z-table the z-score is 0.980
Thus

Now probability that the sample average is between 2.65 and 3.00 is mathematically evaluated as
![P(2.65 \le \= X \le 3.00) = P [(2.65 - 2.65 )/( (0.85 )/(√(25) ) ) <Z < (3.0 - 2.65 )/( (0.85 )/(√(25) ) )]](https://img.qammunity.org/2021/formulas/mathematics/college/ly4fntxchazbe0shpq1yi3d3q4yiagnvm3.png)
From the z-table
Now from the question

=>
![P(\= X \le 3.0 ) = P[Z \le (3.0 - 2.35)/(( 0.85)/(√(n) ) ) ] = 0.99](https://img.qammunity.org/2021/formulas/mathematics/college/mdn4z528p6gajjxjxav74fmdhmfhdmrbn7.png)
Generally the critical value of z for a one tail test such as the one we are treating that is under the area 0.99 is
this is obtained from the critical value table
So


=>
