Question: Using the background, Discuss the implications of the assumed normal distribution of ESG scores for investors and companies. How does the mean of 74 and

Using the background, Discuss the implications of the assumed normal distribution of ESG scores for investors and companies. How does the mean of 74 and standard deviation of 8 points provide insights into the central tendency and variability of these scores? Consider the significance of a normal distribution in this context, particularly in terms of understanding the relative performance of companies. Discuss potential scenarios or strategies investors might consider based on the given distribution parameters, and how companies might interpret their ESG scores in relation to the broader market

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