Chapter 4 QS (PC)
Chapter 4 QS (PC)
Binomial Distribution
➢ The binomial probability distribution is applied to find the
probability that an outcome will occur x tries in n
performance of an experiment.
➢ To apply the binomial probability distribution, the random
variable X must be a discrete random variable and the
binomial distribution is applied to experiments that satisfy
the condition of a binomial experiment.
1) There are n identical trials.
2) Each trial has only two possible outcomes
(success or failure).
3) The probabilities of the two outcomes remains
constant (p and q and p + q = 1).
4) The trials are independent.
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➢ One of the two outcomes of a trial is called success and
the other is failure. The outcome to which the question
refers is usually called a success.
𝜇 = 𝑛𝑝 and 𝜎 = √𝑛𝑝𝑞
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Eg 1: The probability that a college student will graduate is
0.4. Determine the probability that out of 5 students
a) none, b) 1,
c) at least 1, d) all will graduate.
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Eg 2: A new car salesperson knows from past experience that
she will make a sale to about 20% of her customers. Find
the probability that in five randomly selected attempts,
she makes a sale to
a) exactly three customers,
b) at most one customer,
c) at least one customer,
d) fewer than three customers,
e) more than three customers.
If x denotes the number of sales made out of the five
attempts, find the mean and standard deviation of x.
XB(n = 5, p = 0.2)
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Eg 3: The demand for an item of raw material is usually less
than ten units per month, but there is a 10% probability
that demand in one month will be ten units or more. In a
six month period, what is the probability that demand
will equal or exceed ten units if:
a) none of the six months.
b) two of the six months.
c) three of the six months.
Let X = No of months
X B(n = 6, p = 0.1)
Remarks:
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Normal Distribution
➢ The normal distribution is one of the many probability
distributions that a continuous random variable can
possess.
➢ The continuous random variables representing heights and
weights of people, scores on an examination, weight of
packages and so on have all been observed to have a
(approximate) normal distribution.
➢ The normal probabilities or the normal curve is a bell-
shaped (symmetric) curve.
Standard deviation : 𝜎
Mean = 𝜇
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➢ The Standard Normal Distribution
The standard normal distribution is a special case of
the normal distribution. For the standard normal
distribution, the value of the mean is equal to zero,
and the value of the standard deviation is equal to 1.
= 0, = 1
0
➢ Z values or Z scores
❖ The units marked on the horizontal axis of the
standard normal curve are denoted by z and are called
the z values or z scores.
❖ A specific value of z gives the distance between the
mean and the point represented by z in terms of the
standard deviation.
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b) Find the area under the normal curve to the
right of z = 1.52.
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g) Find the area between z = 0.7 and z = 2.1.
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Let X = the lifetime
X N( = 2000, 2 = 2002)
2200−2000
a) P(X > 2200) = P(Z > ) = P(Z > 1) = 0.1587
200
1800−2000
b) P(X < 1800) = P(Z < ) = P(Z < -1) = 0.1587
200
1900−2000
c) P(X 1900) = P(Z ) = P(Z -0.5)
200
2100−2000
d) P(X < 2100) = P(Z < ) = P(Z < 0.5)
200
1800−2000 2200−2000
e) P(1800 X 2200) = P( ≤𝑍≤ )
200 200
2100−2000 2300−2000
f) P(2100 X 2300) = P( ≤𝑍≤ )
200 200
= P(0.5 Z 1.5)
= P(Z > 0.5) – P(Z > 1.5)
= 0.3085 – 0.0668 = 0.2417
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1700−2000 1900−2000
g) P(1700 X 1900) = P( ≤𝑍≤ )
200 200
= P(-1.5 Z -0.5)
= P(0.5 Z 1.5)
= P(Z > 0.5) – P(Z > 1.5)
= 0.3085 – 0.0668 = 0.2417
2000−2000 2400−2000
h) P(2000 X 2400) = P( ≤𝑍≤ )
200 200
= P(0 Z 2)
= P(Z > 0) – P(Z >2)
= 0.5 – 0.02275 = 0.47725
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𝑘−2000
= -1.2816
200
-1 = -2031.68
1 = 2031.68 2032 hours
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Eg 7: The grade-point averages of students in a large college
are normally distributed, with a mean 2.4 and a standard
deviation 0.5.
a) What proportion of the students possesses grade-
point average in excess of 3.0?
b) If students who possess grade-point average below
1.9 are excluded from the college, what percentage
of the students will be excluded?
c) Suppose that three students are selected at random
from the student population. What is the probability
that all three possess grade-point average in excess
of 3.0?
Let X = the grade-point averages of students
X N( = 2.4, 2 = 0.52)
3.0−2.4
a) P(X > 3.0) = P(𝑍 > ) = P(Z > 1.2)
0.5
= 0.1151
1.9−2.4
b) P(X < 1.9) = P(Z < ) = P(Z < -1) = P(Z > 1)
0.5
= 0.1587 = 15.87%
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Eg 8: An office manager has deserved that the time it takes her
staff to complete a particular task is normally
distributed, with an average time of 50 minutes and a
standard deviation of seven minutes. What is the
probability that a member of staff will take
a) longer than one hour;
b) less than 30 minutes;
c) between 50 and 60 minutes.
If there is 10% chance that the manager will deserve the
time for her staff is more than k minutes. What is the
value of k?
Let X = the time taken
X N( = 50, 2 = 72)
60−50
a) P(X > 60) = P(Z > ) = P(Z > 1.43)
7
= 0.0764
30−50
b) P(X < 30) = P(Z < ) = P(Z < -2.86) = P(Z > 2.86)
7
= 0.00212
50−50 60−50
c) P(50 X 60) = P( ≤𝑍≤ )
7 7
= P(0 Z 1.43)
= P(Z > 0) – P(Z > 1.43)
= 0.5 – 0.0764 = 0.4236
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