Difference between revisions of "Manuals/calci/NORMINV"
Jump to navigation
Jump to search
Line 15: | Line 15: | ||
==Examples== | ==Examples== | ||
− | #NORMINV(0.01884908749,17.4,3.2)=10.750011 | + | #=NORMINV(0.01884908749,17.4,3.2) = 10.750011 |
− | #NORMINV(0.998742,5.4,2.3)=12.349244172 | + | #=NORMINV(0.998742,5.4,2.3) = 12.349244172 |
− | #NORMINV(1,7.2,2.3)=NULL | + | #=NORMINV(1,7.2,2.3) = NULL |
==See Also== | ==See Also== |
Revision as of 23:42, 6 January 2014
NORMINV(prob,m,sd)
- is the probability corresponding to the normal distribution, is the mean , and is the standard deviation.
Description
- This function gives the inverse of the normal cumulative distribution for the particular mean and standard deviation.
- If , then .
- using the iterating method to find the value of x.
- Suppose the iteration has not converged after 100 searches, then the function gives the error result.
- In , where is the corresponding probability of the normal distribution, is the arithmetic mean of the normal distribution and is the standard deviation of the normal distribution.
- This function will return the result as error when
1.any one of the argument is non-numeric 2.Suppose or 3..
- If and , NORMINV uses the standard normal distribution.
Examples
- =NORMINV(0.01884908749,17.4,3.2) = 10.750011
- =NORMINV(0.998742,5.4,2.3) = 12.349244172
- =NORMINV(1,7.2,2.3) = NULL