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It helps to know (and be assured with certainty) that if some data set follows the normal distribution pattern, its mean will enable us to know what returns to expect, and its standard deviation ...
Example of Using Standard Deviation Suppose a mutual fund achieves the following annual rates of return over the course of five years: 4%, 6%, 8.5%, 2%, and 4%. The mean value, or average, is 4.9%.
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