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one way to compute probabilities involving random variables that are normally distributed is to convert the random variable to a standard normal random variable z. true false
In probability, for normally - distributed random variables, standardizing them to the standard normal random variable \(Z\) (with mean 0 and standard deviation 1) using the formula \(Z=\frac{X-\mu}{\sigma}\) (where \(X\) is the original random variable, \(\mu\) is the mean, and \(\sigma\) is the standard deviation) is a common method to compute probabilities. We can then use the standard normal distribution table.
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