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M.C. Hammer is selling off part of his very large wardrobe of puffy pants. The market price of each pair of pants depends on both the number of sequins on the pants and their age. Let this price be, in dollars, 20+.01S+2A, where S is the number of sequins, A is the age of the pants. The following table presents elements of the joint distribution of S and A in Hammer's wardrobe:

S=200 S=300 S=400 P(A=a)
A=10 .2 .15 .05 .4
A=15 .1 .3 .2 .6
P(S=s) .3 .45 .25 1

a) Fill in the missing values of the table. Table is already complete
b) Make a new table, where the central cells (these are the cells equivalent to the highlighted cells above) contain the values of the conditional PDFs of S. (That is, there will be two PDFs, one for P(S|A=10) and P(S|A=15).) This is complete.

S=200 S=300 S=400
S|A= 10 .5 .375 .125
S|A= 15 .166666667 .5 .333333

c) Using b, find out the expected values of S, conditonal on A. Compare these two expectations. Does the relative magnitudes of the expected values yield any intuition about how the two variables are related?
d) find out the E[A], E[S], Var[A], and Var[S].
e) Next find out the covariance of A and S. Finally, find out the correlation coefficient.
f) If Hammer selects a pair of pants at random, what is the expected price? What is the variance of the price?

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