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Mathematics, 30.05.2020 23:02 Savagepanda911

Suppose company C produces packages of hazelnuts that are normally distributed with a mean of 93.5 individual hazelnut and a standard deviation of 2.4 hazelnuts. Company D produces packages of hazelnuts that are normally distributed with a mean of 95.9 individual hazelnuts and a standard deviation of 2.9 hazelnuts. Prove mathematically and explain which company is most likely to have a package with 91 hazelnuts

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