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If you know that X is equal to 1, the probability that Y is equal to 2 is closest to:

A) 0.50

B) 0.15

C) 0.38

D) 0.30

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The correct answer is C

p(Y = 2|X = 1) = 0.15/(0.05 + 0.15 + 0.20) = 0.375.

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The variance of Y is closest to:

A) 2.27

B) 0.61

C) 1.51

D) 0.76

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The correct answer is D

p(Y = 1) = 0.05 + 0.15 = 0.20, p(Y = 2) = 0.15 + 0.15 = 0.30, and p(Y = 3) = 0.20 + 0.30 = 0.50. Thus, the mean of Y is equal to μ = 0.20(1) + 0.30(2) + 0.50(3) = 2.3, and the variance is calculated as 0.20(1 – 2.3)2 + 0.30(2 – 2.3)2 + 0.50(3 – 2.3)2 = 0.61.

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4、The characteristic function of the product of independent random variables is equal to the:

A) square root of the product of the individual characteristic functions.

B) exponential root of the product of the individual characteristic functions.

C) product of the individual characteristic functions.

D) sum of the individual characteristic functions.

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The correct answer is C

The characteristic function of the sum of independent random variables is equal to the product of the individual characteristic functions. E(XY) = E(X) × E(Y).

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AIM 5: List and discuss the properties of variance.

1、Use the following probability distribution to calculate the standard deviation for the portfolio.

State of the Economy

Probability

Return on Portfolio

Boom

0.30

15%

Bust

0.70

3%

A)  6.0%.

B)  6.5%.

C)  7.0%.

D)  5.5%.

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The correct answer is D

[0.30 × (0.15 ? 0.066)2 + 0.70 × (0.03 ? 0.066)2]1/2 = 5.5%.

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The correct answer is A

p(Y=1)=0.05+0.05+0.15=0.25, p(Y=2)=0.05+0.10+0.15=0.30, and p(Y=3)=0.10+0.15+0.20=0.45, so E(Y)=0.25(1)+0.30(2)+0.45(3)=2.20.

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If you know that Y is equal to 2, the probability that X is equal to 1 is closest to:

A) 0.05.
B) 0.25.
C)
0.17.
D) 0.20.

TOP

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上一主题:我现在在看F6的2008.12-2009.6能用的书,请问此书适用 2009年12月的考试吗?
下一主题:[2008] Topic 5: Some Important Probability Distributions 相关习题