5."Rolling two dice and recording the sum of their outcomes as random variable, produces a normal distribution with 0 skewness." Yes No Sometimes None of the above
5."Rolling two dice and recording the sum of their outcomes as random variable, produces a normal distribution with 0 skewness." Yes No Sometimes None of the above
5."Rolling two dice and recording the sum of their outcomes as random variable, produces a normal distribution with 0 skewness." Yes No Sometimes None of the above
5."Rolling two dice and recording the sum of their outcomes as random variable, produces a normal distribution with 0 skewness."
Yes
No
Sometimes
None of the above
Features Features Normal distribution is characterized by two parameters, mean (µ) and standard deviation (σ). When graphed, the mean represents the center of the bell curve and the graph is perfectly symmetric about the center. The mean, median, and mode are all equal for a normal distribution. The standard deviation measures the data's spread from the center. The higher the standard deviation, the more the data is spread out and the flatter the bell curve looks. Variance is another commonly used measure of the spread of the distribution and is equal to the square of the standard deviation.
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