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Normal Distribution

The document provides information about normal distributions and related concepts: - It defines the normal distribution and its properties including that it is symmetric and bell-shaped. - It introduces the standard normal distribution which has mean 0 and variance 1. - It describes how to compute probabilities for normal distributions using standard normal tables and the z-score. - It explains how to transform a normal distribution with parameters μ and σ to the standard normal distribution and vice versa using z-scores. - It provides examples calculating normal probabilities and finding z-scores from given probabilities.

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0% found this document useful (0 votes)
35 views6 pages

Normal Distribution

The document provides information about normal distributions and related concepts: - It defines the normal distribution and its properties including that it is symmetric and bell-shaped. - It introduces the standard normal distribution which has mean 0 and variance 1. - It describes how to compute probabilities for normal distributions using standard normal tables and the z-score. - It explains how to transform a normal distribution with parameters μ and σ to the standard normal distribution and vice versa using z-scores. - It provides examples calculating normal probabilities and finding z-scores from given probabilities.

Uploaded by

wendykuria3
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as PDF, TXT or read online on Scribd
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M | (t )  5et 6  5et 
2
and 
M ||(t )  5et 6  5et 2

 50e2t 6  5et 
3

  )  5e 6  5e    
2 t 2 3
 E ( X )  5et 6  5et  5 and E (Y 2 t
 50e2t 6  5et t 0  55
t 0

Var ( X )  E ( X 2 )   2  55  52  30

Exercise
1) The mgf of a r.v Y is given by; a) M (t )  e2t 3t b) M (t )  exp 12  2t 2  t Find the
2

mean and variance of Y


2) A r.v X has a gamma distribution with parameters , Find the mgf of X hence obtain the
mean and variance of X

3.1 The Mgf of a Sum of Independent Random Variables


The mgf of the sum of n independent random variable is the product of their individual mgf’s
The mean (variance) of the sum of n independent random variable is the sum of their
individual means (variances).
 
The mgf about X  a is given by M x , a (t )  E et  xa   e at E etx  e at M x (t )  

4 NORMAL DISTRIBUTION
4.1 Introduction
The normal, or Gaussian, distribution is one of the most important distributions in probability
theory. It is widely used in statistical inference. One reason for this is that sums of random
variables often approximately follow a normal distribution.
Definition A r.v X has a normal distribution with parameters  and  2 , abbreviated
 
X ~ N  ,  2 if it has probability density function
f(x)   1
2

exp  12    for    x  
x 2
 and   0
Where  is the mean and  is the standard deviation.

4.1.1 Properties of normal distribution


1) The normal distribution curve is bell-shaped and symmetric, about the mean
2) The curve is asymptotic to the horizontal axis at the extremes.
3) The highest point on the normal curve is at the mean, which is also the median and mode.
4) The mean can be any numerical value: negative, zero, or positive
5) The standard deviation determines the width of the curve: larger values result in wider,
flatter curves
6) Probabilities for the normal random variable are given by areas under the curve. The total
area under the curve is 1 (0.5 to the left of the mean and 0.5 to the right).
7) It has inflection points at    and    .
8) Empirical Rule:
a) 68.26% of values of a normal random variable are within  1 standard deviation of its
mean. ie P    X       0.6826
b) 95.44% of values of a normal random variable are within  2 standard deviation of its
mean. ie P  2  X    2   0.9544
c) 99.72% of values of a normal random variable are within  3 standard deviation of its
mean. ie P  3  X    3   0.9972

30
4.2 Standard Normal Probability Distribution
A random variable having a normal distribution with a mean of 0 and a varuance of 1 is said
to have a standard normal probability distribution
Definition The random variable Z is said to have the standard normal distribution if
Z ~ N0 ,1 . Therefore, the density of Z, which is usually denoted  (z) is given by;

 (z) 
1
 
exp  12 z 2 for    z  
2
The cumulative distribution function of a standard normal random variable is denoted (z ) ,
and is given by
z
( z )    (t )dt
-

4.2.1 Computing Normal Probabilities


It is very important to understand how the standardized normal distribution works, so we will
spend some time here going over it. There is no simple analytic expression for (z ) in terms
of elementary functions. but the values of (z ) has been exhaustively tabulated. This greatly
simplifies the task of computing normal probabilities..
Table 1 below reports the cumulative normal probabilities for normally distributed variables
in standardized form (i.e. Z-scores). That is, this table reports P(Z  z) = ( z) ). For a given
value of Z, the table reports what proportion of the distribution lies below that value. For
example, P(Z  0) = (0)  0.5 ; half the area of the standardized normal curve lies to the left
of Z  0 .

Theorem: It may be useful to keep in mind that


i) P(Z  z) = 1 - ( z) complementary law

31
ii) P(Z   z) = P(Z  z)  1 - ( z) ie due to symmetry
 ( z)  ( z)  1 Since P(Z  z)  P(Z  z)  1
iii) P(a  z  b) = (b) - (a)
iv) P(-a  z  a) = 2(a)  1since
P(-a  z  a) = (a)  (a) = (a)  1  (a)  2 (a)  1
v) If we now make (a) the subject, then (a) = 12 1  P(-a  z  a)

Table 1

Example 1
Given Z ~ N0 ,1 , find; d) P(-0.696  z  1.865)
a) P(Z  z) if z = 1.65, -1.65, 1.0, -1.0 e) P(-2.345  z  1.65)
b) P(Z  z) for z = 1.02, -1.65 f) P( z  1.43)
c) P(0.365  z  1.75)
Solution
a) Look up and report the value for (z ) from the standard normal probabilities table
P(Z  1.65) = (1.65)  0.9505 (1.65)  0.0495 (1.0)  0.8413 (1.0)  0.1587

32
b) P(Z  z)  ( z) Thus P(Z  1.02)  (1.02)  0.1515 P(Z  -1.65)  (1.65)  0.9505
c) P(0.365  z  1.75)  (1.75) - (0.365)  0.9599 - 0.6350  0.3249
d) P(-0.696  z  1.865)  (1.865) - (-0.696)  0.9689 - 0.2432  0.3249  0.7257

e) P(-2.345  z  1.65)  (1.65) - (-2.345)  0.0505  0.0095  0.0410


f) P( z  1.43)  P(-1.43  z  1.43)  2(1.43) -1  2(0.9236)  1  0.8472

Example 2
If Z ~ N0 ,1 , find the value of t for which;
a) P(Z  t) = = 0 .6026, 0.9750, 0.3446 c) P(-0.28  z  t )  0.2665
b) P(Z  t) = 0.4026, 0.7265, 0.5446 d) P(-t  z  t )  0.9972 , 0.9505 , 0.9750
Solution
Here we find the probability value in Table I, and report the corresponding value for Z.
a) ( t) = 0 .6026  t  0.26 ( t) = 0 .950  t  1.96 ( t) = 0 .3446  t  0.40
b) P(Z  t)  0.4026  ( t) = 0.5974  t  0.25
P(Z  t)  0.7265  ( t) = 0.2735  t  - 0.60
P(Z  t)  0.5446  ( t) = 0.4554  t  - 0.11
c) P(-0.28  z  t )  (t) - (-0.28) = 0.2665  (t)  0.3897  0.2665  t = 0.40
d) P(-t  z  t )  2 (t) -1 = 0.9972  (t)  0.9986  t = 2.99
P(-t  z  t )  2 (t) -1 = 0.9505  (t)  0.9753  t = 1.96
P(-t  z  t )  2 (t) -1 = 0.9750  (t)  0.9875  t = 2.24

Exercise
1..Given Z ~ N0 ,1 , find; e) P(-1.96  z  1.65)
a) P(Z  z) if f) P( z  2.33)
z = 1.95, -1.89, 1.074, -1.53
b) P(Z  z) for z = 1.72, -1.15 2..If Z ~ N0 ,1 , find the value of z for
c) P(0  z  1.05) which;
d) P(-1.396  z  1.125) a) P(Z  a) = = 0 .973, 0.6693, 0.4634
33
b) P(Z  a) = 0.3719, 0 .9545, 0 .7546 d) P( z  t )  0.9544 , 0.9905 , 0.3750
c) P(-1.21  z  t )  0.6965

4.3 The General Normal Density


Consider Z ~ N0 ,1 and let X    Z for   0 . Then X ~ N ,  2  But we know that

1 X 

f (x ) 
   
 from which the claim follows. Conversely, if X ~ N  ,  , then
2
 
X
Z ~ N0 ,1 . It is also easily shown that the cumulative distribution function satisfies

X 
F(x)   
  
and so the cumulative probabilities for any normal random variable can be calculated using
the tables for the standard normal distribution..

Definition A variable X is said to be standardized if it has been adjusted (or transformed)


such that its mean equals 0 and its standard deviation equals 1. Standardization can be
X
accomplished using the formula for a z-score: Z  ~ N0 ,1 . The z-score represents

the number of standard deviations that a data value is away fromthe m ean.
       
Let X ~ N  ,  2 then P(a  X  b)  P a-  Z  b-   b-   a- where
Z  X- ~ N (0 ,1)

Example 1 A r.v X ~ N50 , 25 compute P(45  z  60)


Solution
  50 and   5  Z  x -550 ~ N (0 ,1)
P(45  X  60)  P 455-50  Z  605-50   (2)  (1)  0.9772 - 0.1587  0.8185

Example 2 Suppose X ~ N30 , 16 . Find; a) P( X  40) b) P( X  21) c) P(30  X  35)


Solution
X ~ N30 , 16  Z  X430 ~ N 0, 1
a) P( X  40)  PZ  404-30   (2.5)  0.9938
b) P( X  21)  PZ  21430   PZ  2.25  PZ  2.25  (2.25)  0.9878
c) P(30  X  35)  P30430  Z  35430   P(0  Z  1.25)  0.8944  0.5  0.3944

Example 3
The top 5% of applicants (as measured by GRE scores) will receive scholarships. If
GRE ~ N(500,100 2 ) , how high does your GRE score have to be to qualify for a scholarship?
Solution
Let X  GRE . We want to find x such that P(X  x) = 0.05 this is too hard to solve as it
stands - so instead, compute Z  X100 500
~ N 0, 1 and find z for the problem,
P(Z  z)  1 - ( z) = 0.05  ( z)  0.95  z  1.645
To find the equivalent x, compute X    Z  x  500  100(1.645)  66.5
Thus, your GRE score needs to be 665 or higher to qualify for a scholarship.

34
Example 4
Family income is believed to be normally distributed with a mean of $25000 and a standard
deviation on $10000. If the poverty level is $10,000, what percentage of the population lives
in poverty? A new tax law is expected to benefit “middle income” families, those with
incomes between $20,000 and $30,000. What percentage of the population will benefit from
the law?
Solution
Let X = Family income. We want to find P(X ≤ $10,000)., so
 
X ~ N 25000 , 100002  Z  X10000
 25000
~ N 0, 1
P( X  10,000)  PZ  1.5  (1.5)  0.0668 .
Hence, a slightly below 7% of the population lives in poverty.

P(20,000  X  30,000)  P 0.5  Z  0.5  2(0.5) 1  2  0.6915 -1  0.383


Thus, about 38% of the taxpayers will benefit from the new law.

Exercise
1) Suppose X ~ N130 , 25 . Find; a) P( X  140) b) P( X  120) c) P(130  X  135)
2) The random variable X is normally distributed with mean 500 and standard deviation 100.
Find; (i) P( X  400) , (ii) P( X  620) (iii) the 90th percentile (iv) the lower and upper
quartiles. Use graphs with labels to illustrate your answers.
3) A radar unit is used to measure speeds of cars on a motorway. The speeds are normally
distributed with a mean of 90 km/hr and a standard deviation of 10 km/hr. What is the
probability that a car picked at random is travelling at more than 100 km/hr?
4) For a certain type of computers, the length of time bewteen charges of the battery is
normally distributed with a mean of 50 hours and a standard deviation of 15 hours. John
owns one of these computers and wants to know the probability that the length of time
will be between 50 and 70 hours
5) Entry to a certain University is determined by a national test. The scores on this test are
normally distributed with a mean of 500 and a standard deviation of 100. Tom wants to
be admitted to this university and he knows that he must score better than at least 70% of
the students who took the test. Tom takes the test and scores 585. Will he be admitted to
this university?
6) A large group of students took a test in Physics and the final grades have a mean of 70
and a standard deviation of 10. If we can approximate the distribution of these grades by a
normal distribution, what percent of the student; (a) scored higher than 80? (b) should
pass the test (grades≥60)? (c) should fail the test (grades<60)?
7) A machine produces bolts which are N(4 0.09) where measurements are in cm. Bolts are
measured accurately and any bolt smaller than 3.5 cm or larger than 4.4 cm is rejected.
Out of 500 bolts how many would be accepted? Ans 430
8) Suppose IQ ~ N(100,22.5).a woman wants to form an Egghead society which only
admits people with the top 1% IQ score. What should she have to set the cut-off in the
test to allow this to happen? Ans 134.9
9) A manufacturer does not know the mean and standard deviation of ball bearing he is
producing. However a sieving system rejects all the bearings larger than 2.4 cm and those
under 1.8 cm in diameter. Out of 1,000 ball bearings, 8% are rejected as too small and
5.5% as too big. What is the mean and standard deviation of the ball bearings produced?
Ans mean=2.08 sigma=0.2

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