Probability and Statistics for Engineering and the Sciences
Probability and Statistics for Engineering and the Sciences
9th Edition
ISBN: 9781305251809
Author: Jay L. Devore
Publisher: Cengage Learning
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Chapter 4, Problem 113SE

a.

To determine

Obtain E(X) and V(X).

a.

Expert Solution
Check Mark

Answer to Problem 113SE

The expression for E(X) is:

E(X)=pλ1+(1p)λ2_

The expression for V(X) is:

V(X)=2pλ12+2(1p)λ22[pλ1+(1p)λ2]2_

Explanation of Solution

Given info:

The fusion of two exponential distributions for the modeling behavior is termed as “criticality level of the situation” X by the authors.

The probability density function of X is given below:

f(x;λ1,λ2,p)={pλ1eλ1x+(1p)λ2eλ2xx00Otherwise

Calculation:

The mean of the exponential distribution is:

0xλeλxdx=1λ

The variance of the exponential distribution is:

E(X2)=V(X)+[E(X)]2=1λ2+1λ2=2λ2

The expected mean is obtained as given below:

μ=E(X)=xf(x)dx=0x[pλ1eλ1x+(1p)λ2eλ2x]dx=0xpλ1eλ1xdx+0x(1p)λ2eλ2xdx=pλ1+1pλ2

Thus, the expected mean for mixed exponential distributions is:

E(X)=pλ1+(1p)λ2_

The variance of a continuous random variable is given as σ2=V(X)=E(X2)(E(X))2.

Here,

E(X2)=x2f(x)dx=0x2[pλ1eλ1x+(1p)λ2eλ2x]dx=0x2pλ1eλ1xdx+0x2(1p)λ2eλ2xdx=2pλ12+2(1p)λ22

Thus, the variance is:

V(X)=E(X2)(E(X))2=2pλ12+2(1p)λ22[pλ1+(1p)λ2]2

Thus, the V(X)=2pλ12+2(1p)λ22[pλ1+(1p)λ2]2_.

b.

To determine

Find the cumulative distribution of X.

b.

Expert Solution
Check Mark

Answer to Problem 113SE

The cumulative distribution function of X is:

F(x)={0         x0p(1eλ1x)+(1p)(1eλ2x)x>0_

Explanation of Solution

Denote the cumulative distribution function (cdf) of X as F(x). The cdf of X here, at a value x, is:

For x0,

Since X takes the positive values from the interval [0,], then F(x)=0.

For x>0,

F(x)=0xf(x)dx=0x[pλ1eλ1x+(1p)λ2eλ2x]dx=0xpλ1eλ1xdx+0x(1p)λ2eλ2xdx=pλ10xeλ1xdx+(1p)λ20xeλ2xdx=pλ1eλ1xλ1]0x+(1p)λ2eλ2xλ2]0x

=pλ1(eλ1xλ1+e0λ1)+(1p)λ2(eλ2xλ2+e0λ2)=pλ1λ1(eλ1x+1)+(1p)λ2λ2(eλ2x+1)=p(1eλ1x)+(1p)(1eλ2x)

Hence, the cumulative distribution function of X is:

F(x)={0         x0p(1eλ1x)+(1p)(1eλ2x)x>0_

c.

To determine

Find the value of P(X>0.01).

c.

Expert Solution
Check Mark

Answer to Problem 113SE

The value of P(X>0.01) is 0.403.

Explanation of Solution

Calculation:

The value of P(X>0.01) is obtained as shown below:

Substitute p=0.5λ1=40 and λ2=200

P(X>0.01)=1P(X0.01)=1F(0.01)=1[0.5(1e40(0.01))+(10.5)(1e200(0.01))]=1[0.5(1e0.4)+(10.5)(1e2)]=10.5+0.5e0.40.5+0.5e2

=0.5e0.4+0.5e2=0.5(0.67)+0.06767=0.335+0.06767=0.403

Thus, the value of P(X>0.01) is 0.403.

d.

To determine

Find the probability that the X is within one standard deviation from its mean value.

d.

Expert Solution
Check Mark

Answer to Problem 113SE

The probability that the X is within one standard deviation from its mean value is 0.879.

Explanation of Solution

Calculation:

From part (a), the expected mean for two exponential distributions is:

E(X)=pλ1+(1p)λ2

Substitute p=0.5λ1=40 and λ2=200

E(X)=0.540+(10.50)200=0.0125+0.0025=0.015

The standard deviation of X is given by:

σ=V(X)=2(0.5)402+2(10.5)2002[0.015]2=0.000625+0.000025[0.015]2

=0.000650.000225=0.000425=0.0206

The probability that the X is within one standard deviation from its mean value is obtained as shown below:

P(|Xμ|σ)=P(μσXμ+σ)=P(0.0150.0206X0.015+0.0206)=P(0.0056X0.0356)

Here, the random variable X do not takes negative value.

P(X<0.0356)=F(0.0356)=[0.5(1e40(0.0356))+(10.5)(1e200(0.0356))]=[0.5(1e1.424)+(10.5)(1e7.12)]

=10.5e1.4240.5e7.12=10.12040.000404=0.879

Thus, the probability that the X is within one standard deviation from its mean value is 0.879.

e.

To determine

Find the coefficient of variation for an exponential random variable.

Explain about the value of coefficient of variation for a hyper exponential distribution.

e.

Expert Solution
Check Mark

Answer to Problem 113SE

The coefficient of variation for an exponential random variable is 1.

Explanation of Solution

Calculation:

It is given that the Coefficient of variation for a random variable X is:

CV=σμ

From part (a), μ=1λ and σ=1λ for single exponential distribution.

On simplifying,

CV=1λ1λ=1

The coefficient of variation for random variable X in hyper exponential distribution is:

CV=E(X2)μ2μ=E(X2)μ2μ2=E(X2)μ2μ2μ2=2pλ12+2(1p)λ22[pλ1+(1p)λ2]21=2pλ22+2(1p)λ12λ12+λ22(pλ2+(1p)λ1)2λ12+λ221=2pλ22+2(1p)λ12(pλ2+(1p)λ1)21

Denote r=pλ22+2(1p)λ12(pλ2+(1p)λ1)2

Then,

CV=2r1

The algebraic expression shows that the value of r>1 when λ1λ2, the value of coefficient of variation is greater than 1.

Thus, the value of coefficient of variation is greater than 1.

f.

To determine

Find the coefficient of variation for an Erlang distribution.

f.

Expert Solution
Check Mark

Answer to Problem 113SE

The coefficient of variation for an Erlang distribution is 1n_.

Explanation of Solution

Calculation:

The expected mean for the Erlang distribution is:

E(X)=nλ

The standard deviation for the Erlang distribution is:

V(X)=nλ

The coefficient of variation for an Erlang distribution is given by:

CV=nλnλ=nλ×λn=1n

Thus, the coefficient of variation for the an Erlang distribution is 1n(<1)_ for n>1.

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Chapter 4 Solutions

Probability and Statistics for Engineering and the Sciences

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