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when 0 = 2, 2 0 = 1, 2 0 = 1, n = 20, and x = 8.2, generate a sample of 104 (or

when 0 = 2, 2 0 = 1, 2 0 = 1, n = 20, and x = 8.2, generate a sample of 104 (or as large as possible) from the posterior distribution of and estimate the posterior expectation of the coefficient of variation 0/. Estimate the error in your approximation.

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