xoxolovezzz2078 xoxolovezzz2078
  • 22-03-2019
  • Business
contestada

If the returns on a stock index can be characterized by a normal distribution with mean 12% and standard deviation of 3%, the probability that returns will be between 6% than 18% over the next period equals ________.

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LittleCecil
LittleCecil LittleCecil
  • 22-03-2019

Come on, way too easy. 67.

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