Manuals/calci/NORMSINV
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NORMSINV(prob)
- prob is the probability value.
Description
- This function gives the inverse of the standard normal cumulative distribution.
- In normal distribution formula, when the mean is zero and the standard deviation is 1 then it is called Standard normal distribution.
- 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 prob is the probability value of the standard normal cumulative distribution.
- This function will return the result as error when
1.prob is nonnumeric. 2.prob<0 or prob>1.
Examples
- NORMSINV(0.9999975333)=4.567600
- NORMSINV(0.00241)=-2.818823592
- NORMSINV(1)=Null
- NORMSINV(0.00001)=-4.264890794
See Also
References
NORMSINV(p)
Where p is a probability equivalent to the normal distribution.
It calculates the inverse of the standard normal cumulative distribution.
· For nonnumeric p ,NORMSINV shows error.
· When p< 0 or p> 1, NORMSINV displays error.
NORMSINV
Let’s see an example in (Column1 Row 1)
i.e.= NORMSINV (C1R1)
i.e.= NORMSINV (0.80879) is 0.8734
Syntax
Remarks
Examples
Description
Column1 | Column2 | Column3 | Column4 | |||
Row1 | 0.80879 | |||||
Row2 | 0.8734460503371548 | |||||
Row3 | ||||||
Row4 | ||||||
Row5 | ||||||
Row6 |