Problem 7: Exercise 3.12 in the textbook, page 92 An investment firm offers its customers municipal bonds that mature after varying numbers of years. Given that the cumulative distribution function of T, the number of years to maturity for a randomly selected bond, is Find a) P(T = 5); b) P(T > 3); c) P(1.4 < T< 6); OHITHIN MIT F(t) = I 1, t < 1 1

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Problem 7: Exercise 3.12 in the textbook, page 92
An investment firm offers its customers municipal bonds that mature after varying numbers of
years. Given that the cumulative distribution function of T, the number of years to maturity for
a randomly selected bond, is
Find
a) P(T = 5);
b) P(T> 3);
c) P(1.4 T< 6);
d) P(T ≤5 | T22)
OHITHIN MIT
4
F(t) =
1,
t<1
1<t<3
3≤t<5
5st<7
t≥7
Transcribed Image Text:Problem 7: Exercise 3.12 in the textbook, page 92 An investment firm offers its customers municipal bonds that mature after varying numbers of years. Given that the cumulative distribution function of T, the number of years to maturity for a randomly selected bond, is Find a) P(T = 5); b) P(T> 3); c) P(1.4 T< 6); d) P(T ≤5 | T22) OHITHIN MIT 4 F(t) = 1, t<1 1<t<3 3≤t<5 5st<7 t≥7
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