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P6 2016 S

This document provides examples of solving probability problems involving the normal distribution. It begins by finding probabilities based on z-scores and the standard normal table. It then works through examples involving finding probabilities when the mean and standard deviation are given. Additional problems involve finding quantiles that partition the distribution in specific ways. The document also provides an example of an exponential probability density function and calculating the cumulative distribution function and probabilities for an exponential random variable.

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Kyle Almerol
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0% found this document useful (0 votes)
32 views2 pages

P6 2016 S

This document provides examples of solving probability problems involving the normal distribution. It begins by finding probabilities based on z-scores and the standard normal table. It then works through examples involving finding probabilities when the mean and standard deviation are given. Additional problems involve finding quantiles that partition the distribution in specific ways. The document also provides an example of an exponential probability density function and calculating the cumulative distribution function and probabilities for an exponential random variable.

Uploaded by

Kyle Almerol
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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fall 2016— solutions to PROBLEMS – No.6 SOL.

6-1

With the help of the table of areas under the normal curve (i.e. - values of the cumulative distribution)
solve the following simple problems (Φ(x) denotes the area under the standard normal curve):

• Given a standard normal distribution, find the area under the curve that lies (a) to the right of u = 1.84
(0.0329) , and (b) between z = −1.97 and z = 0.86. ( 0.8051 - 0.0244 = 0.7807)
• Given a standard normal distribution, find the value of u such that (a) P (Z > z) = 0.3015. (0.52) and
(b) P (k < Z < −0.18) = 0.4197;
we have

Φ(−0.18) − Φ(k) = 0.4197; Φ(k) = Φ(−0.18) − 0.4197 = 0.4286 − 0.4197 = 0.0089

from the table, we have k = −2.37


• Given a normal distribution with µ = 50 and σ = 10, find the probability that X assumes a value between
45 and 62.
we standardise:
45 − 50 62 − 50
z1 = = −0.5; z2 = = 1.2
10 10
P (45 < X < 62) = P (−0.5 < Z < 1.2) = P (Z < 1.2)−P (Z < −0.5) = Φ(1.2)−Φ(−0.5) = 0.8849−0.3085 = 0.5764

• Given a normal distribution with µ = 300 and σ = 50, find the probability that X assumes a value greater
than 362. we standardise:
362 − 300
z= = 1.24; P (X > 362) = P (Z > 1.24) = 1 − P (Z < 1.24) = 1 − 0.8925 = 0.1075.
50

• Given a normal distribution with µ = 40 and σ = 6, find the value of x that has (a) 45% of the area to
the left, and (b) 14% of the area to the right.
From the tables we find P (Z < −0.13) = 0.45, so z = −0.13. hence x = (6)(−0.13) + 40 = 39.22 (we use
the standardisation formula ,,backwards”); for (b) – in a similar fashion – x = 46.48

• A certain type of storage battery lasts on the average 3.0 years; with a standard deviation of 0.5 year.
Assuming that the battery lives are normally distributed, find the probability that a given battery will
last less than 2.3 years.
3 − 2.3
Z= = −1.4; P (X < 2.3) = P (Z < −1.4) = 0.808.
0.5

• An electrical firm manufactures light bulbs that have a length of life that is normally distributed with
mean equal to 800 hours and a standard deviation of 40 hours. Find the probability that a bulb burns
between 778 and 834 hours.
778 − 800 834 − 800
z1 = = −0.55; z2 = = 0.85
40 40
P (778 < X < 834) = P (−0.55 < Z < 0.85) = P (Z < 0.85) − P (Z < −0.55) = 0.5111

• In an industrial process the diameter of a ball bearing must meet the specification: 3.0 ± 0.01 cm. It is
known that in the process the diameter of the ball bearing has a normal distribution with mean 3.0 and
standard deviation σ = 0.005. On the average; how many ball bearings will be scrapped?
Answer: Convert 2.99 and 3.01 into z1 and z2 ; on the average, 4.56% of manufactured ball bearings.
• On an examination the average grade was 74 and the standard deviation was 7. If 12% of the class are
given A’s; and the grades follow a normal distribution what is the lowest possible A and the highest
possible B?
Answer: we require a z-value that leaves 0.12 of the area to the right and hence an area of 0.88 to the
left. From the tables z = 1.175 So x = (7)(1.175) + 74 = 82.225. Therefore the lowest A is 83 and the
highest B is 82.
fall 2016— solutions to PROBLEMS – No.6 SOL.6-2

• For the problem above find the sixth decile, i.e. the q0.6 quantile. (This is the x-value that leaves 60% of
the area under the normal curve to the left.)
from the tables z0.6 = 0.25 so x = (7)(0.25) + 74 = 75.75. It means that 60% of the grades are 75 or less.
Exponential probability density function
• Suppose the length of time an electric bulb lasts, X, is a random variable with cumulative function

0 x<0
F (x) = P(X ≤ x) =
1 − e−x/500 x ≥ 0.

Find the probability that the bulb lasts: (a) between 100 and 200 hoursP(100 ≤ X ≤ 200) = F (200) −
F (100) = 0.1484
(b) beyond 300 hours. P(X ≥ 300) = 1 − F (300) = 0.5488
(c)Find the expected value of the bulb life-time – 500 hours

• Let X be the random variable representing the length of a telephone conversation. Let f (x) = λe−λx , 0≤
x < ∞. Find the c.d.f F (x) and find P(5 < X < 10).
Z x
F (X) = f (t) dt = 1 − e−λx ; P = e−5λ − e−10λ
0

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