The image shows a performance graph.


A graph titled Relationship between Anxiety and Performance. X axis is labeled Anxiety with an arrow pointing right labeled None at left and Extreme at right. Y axis is labeled performance with an arrow pointing up labeled Poor at bottom and Excellent at top. A line forms an arch starting at Poor/none at left, rising to excellent in the middle, and ending at poor/extreme at right.

Which is the best interpretation of the graph?


A small amount of anxiety is not enough to help students perform better on a test.

The higher a student’s anxiety, the greater the probability of a good test score.

A small amount of anxiety can help students perform better on tests.

The higher a student’s anxiety, the lower the likelihood of overcoming it.

please answer correctly ..... or my face will look like this 0-0 and then i will say bruhhh

The Image Shows A Performance Graph.A Graph Titled Relationship Between Anxiety And Performance. X Axis

Answers

Answer 1

Answer:

C.

Explanation:

just got it right on Edge

Answer 2

Considering the available options and the graph image, the best interpretation of the graph is that "a small amount of anxiety can help students perform better on tests."

This is evident in the fact that at the middle of anxiety rating, that is where there is the highest performance.

While at the lowest and highest anxiety level, the performance was at a lower level.

Hence, in this case, it is concluded that the correct answer is option C. "A small amount of anxiety can help students perform better on tests."

Learn more about anxiety here: https://brainly.com/question/2101302


Related Questions

A stock has an expected return of 13.2 percent, the risk-free rate is 8.5 percent, and the market risk premium is 10 percent. What must the beta of this stock be? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer: 47% or 0.47

Explanation:

From the question, we are told that the stock has an expected return of 13.2 percent, the risk-free rate is 8.5 percent, and the market risk premium is 10 percent.

We should note that the expected return is calculated as:

= Risk free rate + beta × market risk premium

Therefore,

13.2% = 8.5% + beta × 10%

0.132 = 0.085 + beta × 0.1

Beta = (0.132 - 0.085) / 0.1

Beta = 0.047 / 0.1

Beta = 0.47

Beta = 47%

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