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To simulate a variable that is normally distributed with a mean of 1 0 0 and standard deviation of 2 0 , we use the

To simulate a variable that is normally distributed with a mean of 100 and standard deviation of 20, we use the following formula:
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NORM.INV(RAND(),20,100)
The summary of the simulation data only provides estimates about the real system.
NORM.INV,100,200)
INV.DIST(RAND(),100,200)
NORM.INV(RAND(),100,200)

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