4. Suppose X1 is normally distributed with a mean of 3 and standard deviation of 0.3. Suppose X2 is normally distributed with a mean of 5 and a standard deviation of 0.7. Also suppose X1 and X2 are independent. Consider the variable Y = 4X1- 2X2. The distribution of Y has mean and standard deviation

Calculus For The Life Sciences
2nd Edition
ISBN:9780321964038
Author:GREENWELL, Raymond N., RITCHEY, Nathan P., Lial, Margaret L.
Publisher:GREENWELL, Raymond N., RITCHEY, Nathan P., Lial, Margaret L.
Chapter13: Probability And Calculus
Section13.2: Expected Value And Variance Of Continuous Random Variables
Problem 10E
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Suppose X1 is normally distributed with a mean of 3 and standard deviation of 0.3.
Suppose X2 is normally distributed with a mean of 5 and a standard deviation of 0.7. Also
suppose X1 and X2 are independent.
Consider the variable Y = 4X1– 2X2. The distribution of Y has mean
and standard
deviation
4.
Transcribed Image Text:Suppose X1 is normally distributed with a mean of 3 and standard deviation of 0.3. Suppose X2 is normally distributed with a mean of 5 and a standard deviation of 0.7. Also suppose X1 and X2 are independent. Consider the variable Y = 4X1– 2X2. The distribution of Y has mean and standard deviation 4.
Expert Solution
Step 1

It is given that X1~N(3,0.3) and X2~N(5,0.7).

That is, E(X1)=3, SD(X1)=0.3 and E(X2)=5, SD(X2)=0.7.

The variable, Y=4X1-2X2.

Here, a1 = 4 and a2 = -2

Thus, the expected value of Y is:

E(Y)=E(a1X1+ a2X2)

      =E(a1 X1)+E(a2 X2)   (from the sum law of expectation of linear combination of random variables)

      = a1E(X1)+ a2E(X2)

      =(4×3)+(-2×5)

      =12-10

      =2

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