Charon2022-03-28 21:57:43
Q. A portfolio has an expected mean return of 8% and standard deviation of 14%. The probability that its return falls between 8% and 11% is closest to: 8.5%. 14.8%. 58.3%.
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Jessica2022-03-29 09:39:11
同学你好
P(8%≤X≤11%)= P( (8-8)/14≤ (X -μ)/σ ≤(11-8)/14 ) =P( 0 ≤ z ≤ 0.21)
利用累积正态分布表,N(0.21) = 0.5832,N(0.21) = 0.50
因此,P( 0 ≤ z ≤ 0.21) = 0.5832 - 0.50 = 0.0832 或大约8.3%。所以,选项A是正确的。
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