Calculate the probability that the standard normal random va
Calculate the probability that the standard normal random variable will assume a value between 0.43 and 2.20.
Solution
z1 = lower z score =    0.43      
 z2 = upper z score =     2.2      
           
 Using table/technology, the left tailed areas between these z scores is          
           
 P(z < z1) =    0.666402179      
 P(z < z2) =    0.986096552      
           
 Thus, the area between them, by subtracting these areas, is          
           
 P(z1 < z < z2) =    0.319694373   [ANSWER]     

