Probability that a normally distributed random variable with a mean (μ) of 2 and a standard deviation (σ) of 2 is less than 2

Given: Mean(μ) = 2,  Standard Deviation(σ) = 2,  Data Point(X ) = 2
If X  is a normally distributed random variable X~N(μ, σ2), then
X – μ/σ
  is N(0, 1)
Since Z , the standard normal distribution is also N(0, 1), we standardize X  by finding the Z-score corresponding to X  = 2:
Z =
X – μ/σ
=
2 – 2/2
=
0/2
= 0.00
Therefore, the Probability that X  is less than 2 equals the Probability that Z  is less than 0.00:
P (X < 2) = P (Z < 0.00)
From a standard normal distribution table (values rounded to five decimal places):
P (Z < 0.00) = 0.5
As a result, the Probability that X, a normally distributed random variable with a mean of 2 and a standard deviation of 2 is less than 2:
P (X < 2) = P (Z < 0.00) = 0.5
P (X < 2) = 0.5 = 50%

The solution above and all other related solutions were provided by the Normal Distribution Application