The Normal Distribution function calculates the standard normal distribution for an input data series.
Specifically, the function computes the relative likelihood that a continuous random variable would equal the input value if the series had a symmetrical "bell-curved" distribution.
The Normal Distribution function requires the following input series:
- d0 - Input data values - The set of data values for which the Normal Distribution is calculated.
The Normal Distribution function requires the following parameters:
- Alignments... (One or More, Optional) – Hierarchy placeholders to be used as the alignment axis.
The Normal Distribution function generates the following outputs:
- Normal Distribution - The Normal Distribution result set.