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Problem 2: Using Posterior Distributions- 20 points Consider the following posterior samples 01|y = (.11, .22, .25, .3, .5) and 02|y: (.5, .13, .2,

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Problem 2: Using Posterior Distributions- 20 points Consider the following posterior samples 01|y = (.11, .22, .25, .3, .5) and 02|y: (.5, .13, .2, .4, .45). Both of these vectors come from the posterior matrix for (01, 02) y. Using these, compute the following: What is the posterior probability that 01 < 02? What is the posterior mean of 01 and 02?

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