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This function returns the inverse of the standard normal cumulative distribution. The distribution has a mean of zero and a standard deviation of one.
NORMSINV( prob )
The argument is the probability for the normal distribution.
Accepts numeric data. Returns numeric data.
NORMSINV(A3)
NORMSINV(R1C2)
NORMSINV(0.9244)
gives the result 1.43530571453713