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Let the random variable X follow a normal distribution with a mean of 17.1 and a...

Let the random variable X follow a normal distribution with a mean of 17.1 and a standard deviation of 3.2. The normal probabilities are calculated using the table of standard normal distribution where the mean and standard deviations are, respectively: A) 1 and 1. B) 10 and 0. C) 0 and 1. D) 0 and 10.

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The normal probabilities are calculated using the table of standard normal distribution where the mean and standard deviations are, respectively 0 and 1. The process of transforming any randomvariable distribution to mean 0 and standard variation 1 known as standardizing the distribution.

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