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Change the dispersion of the Gaussian model

If a different mean can shift the model, you can modify the dispersion by changing the standard deviation. The dispersion is the amplitude of the model.

In this exercise, your task is to compute and display the Gaussian model with a mean of zero and a standard deviation of 1.5.

Este ejercicio forma parte del curso

Financial Analytics in Google Sheets

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Instrucciones del ejercicio

  • In E3, compute the theoretical probability of the first bin.

  • In E4:E35, complete the series by using the autofill feature.

  • Add such a series to the existing chart.

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