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A "buy-side" analyst has a mean forecast error rate of 0.85 with a standard deviation of 1.93 according to the Financial Analysts Journal (July/August 2008). The forecast errors are approximately normally distributed. Use the standard normal table to calculate the probability that a buy-side analyst has a forecast error of 5.03 or lower.

User Fenistil
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Joseph R. Biden

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User Darina
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