Dear members of poker stack exchange,

I have trouble understanding how the P(B|A) column of the second table is computed.

First of all, I guess there is a mistake in the header of this table : it's P(B̅) instead of P(B) and P(B) instead of P( B̅) (it's kind of confirmed there https://www.conjelco.com/mathofpoker/mathofpoker-errata.pdf)

Do they compute P(1.14<X<1.16) for each row with a normal probability density function with the first column (win rate) as the mean and 1.61 as std ?

Extract of Bill Chen's Mathematics of poker

Thank you in advance

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