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Suppose it is relatively easy to generate random variables from any of the m cumu- lative distribution functions F1(x), F2(x), F3(x), F4(x), . . .

Suppose it is relatively easy to generate random variables from any of the m cumu- lative distribution functions F1(x), F2(x), F3(x), F4(x), . . . , Fm(x). Given this, how would you generate a random variable having the cumulative distribution function

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