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Let X1, X2,, Xn be a random sample from a population with cumulative distribution function X2,..., F(x) = x, 0 < x < 1.

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Let X1, X2,, Xn be a random sample from a population with cumulative distribution function X2,..., F(x) = x, 0 < x < 1. You may assume the unknown parameter 0 > 0. Let X 1 n 1 Xj. = n Explain why X converges in probability to 0 0+1

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