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STANDARD NORMAL DISTRIBUTION

Description

The standard normal distribution is a particular type of normal distribution


that has a mean of 0 and a standard deviation of 1.

This Excel model is for educational purposes only. Strictly Confidential


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© 2021, 365 Financial Analyst ®


STANDARD NORMAL DISTRIBUTION
STANDARD NORMAL DISTRIBUTION

Dataset xi - mean Divide by σ


212 -158.0 -0.6 Mean (Original) 370.0
869 499.0 1.9 Observations (n) 30
220 -150.0 -0.6 St. dev. (Original) 259.5
654 284.0 1.1
511 141.0 0.5 Mean (Standardized) 0.0
624 254.0 1.0 St. dev (Standardized 1.0
420 50.0 0.2
121 -249.0 -1.0
428 58.0 0.2
865 495.0 1.9
799 429.0 1.7
405 35.0 0.1
230 -140.0 -0.5
670 300.0 1.2
870 500.0 1.9
366 -4.0 0.0
99 -271.0 -1.0
55 -315.0 -1.2
489 119.0 0.5
312 -58.0 -0.2
493 123.0 0.5
163 -207.0 -0.8
221 -149.0 -0.6
84 -286.0 -1.1
144 -226.0 -0.9
48 -322.0 -1.2
375 5.0 0.0
86 -284.0 -1.1
168 -202.0 -0.8
100 -270.0 -1.0

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