Answer:
It's D: No, there is not enough information given.
Step-by-step explanation:
just took the quiz
The correct answer option D which is No, there is not enough information given.
What is parallelogram?A parallelogram is a quadrilateral having four sides with two opposite sides parallel to each other. The sum of the angles suspended by all the four sides of the parallelogram is 360.
Using VX = WZ and m∠ZVX = m∠XWZ, we have a side and an angle. In order to prove the triangles congruent by SAS, we must have two sides and the angle between them. With the information we have now, we would have to have VZ = WX. However, we are not given that information.
We do have that ZX = ZX by the reflexive property, but this is not SAS, as the angle we have is not between the two sides.
Therefore correct answer option D which is No, there is not enough information given.
The complete figure is attached with the answer below.
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Solve the equation and express each solution in a+bi form x^4-7x^2-8=0
Answer:
x = ±2√2, ±i
Step-by-step explanation:
Step 1: Factor
(x² - 8)(x² + 1)
Step 2: Find roots
x² - 8 = 0
x² = 8
x = ±2√2
x² + 1 = 0
x² = -1
x = ±i
Answer:
The answer is B
Step-by-step explanation:
Find the following measure for this figure.
Volume =
Answer:
91 2/3 pi cubic units
Step-by-step explanation:
The formula for the volume of cone is [tex]\dfrac{1}{3}\pi r^2 h[/tex]. Plugging in the given numbers, you get:
[tex]\dfrac{1}{3}\cdot \pi \cdot 5^2 \cdot 11= 91 \ 2/3 \pi[/tex]
Hope this helps!
Answer:
[tex]Volume=\frac{1}{3} \,275\,\pi[/tex] cubic units
Notice that this answer doesn't agree with any of the first three in the list provided via the screenshot
Step-by-step explanation:
Recall the formula for the volume of a cone:
[tex]Volume=\frac{1}{3} Base\,*\,Height[/tex]
In this case the Height is 11 units, and they also give us the radius of the circular base (5 units) from which we can find the circle's base area:
[tex]Area_{circle} = \pi\,R^2\\Area_{circle}=\pi\,(5)^2\\Area_{circle}=25 \pi[/tex]
therefore the total volume becomes:
[tex]Volume=\frac{1}{3} Base\,*\,Height\\Volume=\frac{1}{3} 25\,\pi\,*\,11\\\\Volume=\frac{1}{3} \,275\,\pi[/tex]
The amount of pollutants that are found in waterways near large cities is normally distributed with mean 8.5 ppm and standard deviation 1.4 ppm. 18 randomly selected large cities are studied. Round all answers to two decimal places.
A. xBar~ N( ____) (____)
B. For the 18 cities, find the probability that the average amount of pollutants is more than 9 ppm.
C. What is the probability that one randomly selected city's waterway will have more than 9 ppm pollutants?
D. Find the IQR for the average of 18 cities.Q1 =
Q3 =
IQR:
2. X ~ N(30,10). Suppose that you form random samples with sample size 4 from this distribution. Let xBar be the random variable of averages. Let ΣX be the random variable of sums. Round all answers to two decimal places.
A. xBar~ N(___) (____)
B. P(xBar<30) =
C. Find the 95th percentile for the xBar distribution.
D. P(xBar > 36)=
E. Q3 for the xBar distribution =
Answer:
1)
A) [tex]\frac{}{X}[/tex] ~ N(8.5;0.108)
B) P([tex]\frac{}{X}[/tex] > 9)= 0.0552
C) P(X> 9)= 0.36317
D) IQR= 0.4422
2)
A) [tex]\frac{}{X}[/tex] ~ N(30;2.5)
B) P( [tex]\frac{}{X}[/tex]<30)= 0.50
C) P₉₅= 32.60
D) P( [tex]\frac{}{X}[/tex]>36)= 0
E) Q₃: 31.0586
Step-by-step explanation:
Hello!
1)
The variable of interest is
X: pollutants found in waterways near a large city. (ppm)
This variable has a normal distribution:
X~N(μ;σ²)
μ= 8.5 ppm
σ= 1.4 ppm
A sample of 18 large cities were studied.
A) The sample mean is also a random variable and it has the same distribution as the population of origin with exception that it's variance is affected by the sample size:
[tex]\frac{}{X}[/tex] ~ N(μ;σ²/n)
The population mean is the same as the mean of the variable
μ= 8.5 ppm
The standard deviation is
σ/√n= 1.4/√18= 0.329= 0.33 ⇒σ²/n= 0.33²= 0.108
So: [tex]\frac{}{X}[/tex] ~ N(8.5;0.108)
B)
P([tex]\frac{}{X}[/tex] > 9)= 1 - P([tex]\frac{}{X}[/tex] ≤ 9)
To calculate this probability you have to standardize the value of the sample mean and then use the Z-tables to reach the corresponding value of probability.
Z= [tex]\frac{\frac{}{X} - Mu}{\frac{Sigma}{\sqrt{n} } } = \frac{9-8.5}{0.33}= 1.51[/tex]
Then using the Z table you'll find the probability of
P(Z≤1.51)= 0.93448
Then
1 - P([tex]\frac{}{X}[/tex] ≤ 9)= 1 - P(Z≤1.51)= 1 - 0.93448= 0.0552
C)
In this item, since only one city is chosen at random, instead of working with the distribution of the sample mean, you have to work with the distribution of the variable X:
P(X> 9)= 1 - P(X ≤ 9)
Z= (X-μ)/δ= (9-8.5)/1.44
Z= 0.347= 0.35
P(Z≤0.35)= 0.63683
Then
P(X> 9)= 1 - P(X ≤ 9)= 1 - P(Z≤0.35)= 1 - 0.63683= 0.36317
D)
The first quartile is the value of the distribution that separates the bottom 2% of the distribution from the top 75%, in this case it will be the value of the sample average that marks the bottom 25% symbolically:
Q₁: P([tex]\frac{}{X}[/tex]≤[tex]\frac{}{X}[/tex]₁)= 0.25
Which is equivalent to the first quartile of the standard normal distribution. So first you have to identify the first quartile for the Z dist:
P(Z≤z₁)= 0.25
Using the table you have to identify the value of Z that accumulates 0.25 of probability:
z₁= -0.67
Now you have to translate the value of Z to a value of [tex]\frac{}{X}[/tex]:
z₁= ([tex]\frac{}{X}[/tex]₁-μ)/(σ/√n)
z₁*(σ/√n)= ([tex]\frac{}{X}[/tex]₁-μ)
[tex]\frac{}{X}[/tex]₁= z₁*(σ/√n)+μ
[tex]\frac{}{X}[/tex]₁= (-0.67*0.33)+8.5= 8.2789 ppm
The third quartile is the value that separates the bottom 75% of the distribution from the top 25%. For this distribution, it will be that value of the sample mean that accumulates 75%:
Q₃: P([tex]\frac{}{X}[/tex]≤[tex]\frac{}{X}[/tex]₃)= 0.75
⇒ P(Z≤z₃)= 0.75
Using the table you have to identify the value of Z that accumulates 0.75 of probability:
z₃= 0.67
Now you have to translate the value of Z to a value of [tex]\frac{}{X}[/tex]:
z₃= ([tex]\frac{}{X}[/tex]₃-μ)/(σ/√n)
z₃*(σ/√n)= ([tex]\frac{}{X}[/tex]₃-μ)
[tex]\frac{}{X}[/tex]₃= z₃*(σ/√n)+μ
[tex]\frac{}{X}[/tex]₃= (0.67*0.33)+8.5= 8.7211 ppm
IQR= Q₃-Q₁= 8.7211-8.2789= 0.4422
2)
A)
X ~ N(30,10)
For n=4
[tex]\frac{}{X}[/tex] ~ N(μ;σ²/n)
Population mean μ= 30
Population variance σ²/n= 10/4= 2.5
Population standard deviation σ/√n= √2.5= 1.58
[tex]\frac{}{X}[/tex] ~ N(30;2.5)
B)
P( [tex]\frac{}{X}[/tex]<30)
First you have to standardize the value and then look for the probability:
Z= ([tex]\frac{}{X}[/tex]-μ)/(σ/√n)= (30-30)/1.58= 0
P(Z<0)= 0.50
Then
P( [tex]\frac{}{X}[/tex]<30)= 0.50
Which is no surprise since 30 y the value of the mean of the distribution.
C)
P( [tex]\frac{}{X}[/tex]≤ [tex]\frac{}{X}[/tex]₀)= 0.95
P( Z≤ z₀)= 0.95
z₀= 1.645
Now you have to reverse the standardization:
z₀= ([tex]\frac{}{X}[/tex]₀-μ)/(σ/√n)
z₀*(σ/√n)= ([tex]\frac{}{X}[/tex]₀-μ)
[tex]\frac{}{X}[/tex]₀= z₀*(σ/√n)+μ
[tex]\frac{}{X}[/tex]₀= (1.645*1.58)+30= 32.60
P₉₅= 32.60
D)
P( [tex]\frac{}{X}[/tex]>36)= 1 - P( [tex]\frac{}{X}[/tex]≤36)= 1 - P(Z≤(36-30)/1.58)= 1 - P(Z≤3.79)= 1 - 1 = 0
E)
Q₃: P([tex]\frac{}{X}[/tex]≤[tex]\frac{}{X}[/tex]₃)= 0.75
⇒ P(Z≤z₃)= 0.75
z₃= 0.67
z₃= ([tex]\frac{}{X}[/tex]₃-μ)/(σ/√n)
z₃*(σ/√n)= ([tex]\frac{}{X}[/tex]₃-μ)
[tex]\frac{}{X}[/tex]₃= z₃*(σ/√n)+μ
[tex]\frac{}{X}[/tex]₃= (0.67*1.58)+30= 31.0586
Q₃: 31.0586
6. Factor the expression.
9b2 + 48b + 64
A (3b + 8)2
B (-3b + 8)2
C (-3b - 82
D (3b - 8)2
70%
Answer:
A. [tex](3b+8)^2[/tex]
Step-by-step explanation:
[tex]9b^2+48b +64\\=(3b)^2 + 2\times 3b\times 8 +(8)^2\\=(3b+8)^2[/tex]
What is the slope of the line with the two
points A(-4, 8) and B(-9, 12)?
Answer:
slope = -4/5
Step-by-step explanation:
A line passes two points (x1, y1) and (x2, y2).
The slope of this line can be calculate by the formula:
s = (y2 - y1)/(x2 - x1)
=>The line that passes A(-4, 8) and B(-9, 12) has the slope:
s = (12 - 8)/(-9 - -4) = 4/(-5) = -4/5
Hope this helps!
NEED GEOMETRY HELP ASAP (12 POINTS)
Answer:
HJ > PK
Step-by-step explanation:
Notice that the side PL in one triangle has the same length as side GJ in the other, and side GH has the same size as side LK of the other triangle. Now what is different is the angle subtended between these sides in the case of the triangle on the lower left, the subtended angle is [tex]90^o[/tex] , which is larger angle than that subtended between equal sides on the other triangle ([tex]85^o[/tex])
Therefore, if the angle subtended by the equivalent sides in the triangle on the left is larger than the angle subtended on the right hand side triangle, then the sides associated with such angle aperture must keep the inequality. That is:
Since [tex]\angle\,G\,\,\,>\,\,\,\angle \,L[/tex], then HJ > PK
A consumer group was interested in comparing the operating time of cordless toothbrushes manufactured by two different companies. Group members took a random sample of 18 toothbrushes from Company A and 15 from Company B. Each was charged overnight and the number of hours of use before needing to be recharged was recorded. Company A toothbrushes operated for an average of 119.7 hours with a standard deviation of 1.74 hours; Company B toothbrushes operated for an average of 120.6 hours with a standard deviation of 1.72 hours. The 90% confidence interval is (-1.93, 0.13). The correct interpretation is:__________
A. We are 90% confident that, on average, there is no difference in operating hours between toothbrushes from Company A compared to those from Company B.
B. We are 90% confident that, on average, there is a difference in operating hours between toothbrushes from Company A compared to those from Company B.
C. We are 90% confident that, on average, the toothbrushes from Company B operate longer before needing to be recharged than the toothbrushes from Company A.
D. We are 90% confident that, on average, the toothbrushes from Company A operate longer before needing to be recharged than the toothbrushes from Company B.
Answer:
The degrees of freedom are given by:
[tex] df = n_A +n_B -2 = 18 +15-2= 31[/tex]
And the 90% confidence interval for this case is:
[tex] -1.90 \leq \mu_A -\mu_B \leq 0.13[/tex]
And for this case since the confidence interval contains the value 0 we can conclude that:
A. We are 90% confident that, on average, there is no difference in operating hours between toothbrushes from Company A compared to those from Company B.
Step-by-step explanation:
We know the following info given:
[tex] \bar X_A= 119.7[/tex] sample mean for A
[tex] s_A = 1.74[/tex] sample deviation for A
[tex] n_A = 18[/tex] sample size from A
[tex] \bar X_B= 120.6[/tex] sample mean for B
[tex] s_B = 1.72[/tex] sample deviation for B
[tex] n_B = 15[/tex] sample size from B
The degrees of freedom are given by:
[tex] df = n_A +n_B -2 = 18 +15-2= 31[/tex]
And the 90% confidence interval for this case is:
[tex] -1.90 \leq \mu_A -\mu_B \leq 0.13[/tex]
And for this case since the confidence interval contains the value 0 we can conclude that:
A. We are 90% confident that, on average, there is no difference in operating hours between toothbrushes from Company A compared to those from Company B.
The World Issues club has decided to donate 60% of all their fundraising activities this year to Stephen Lewis Foundation. This foundation was created to help ease the pain of HIV/AIDS in Africa. Lewis, a Canadian, works for the United Nations trying to determine ways to stop the spread of this deadly disease from crippling an entire continent. Choose a variable to represent the money earned during fundraising activities and the revenue generated for the foundation Use these variables to create an equation that will determine the amount of money the foundation will receive. In their latest bake sale, the club raised $72. Calculate the amount the foundation will receive. At the end of the year, the World Issues Club mailed a cheque to the foundation for $850. How much money did they fundraise in total?
Answer:
$43.20$1416.67Step-by-step explanation:
Let the money earned during fundraising activities =x
Since the World Issues club has decided to donate 60% of all their fundraising activities this year to Stephen Lewis Foundation.
The amount of money the foundation will receive
=60% of x
= 0.6x
In the bake sale, the club raised $72.
Therefore, the amount the foundation will receive =0.6*72=$43.20
At the end of the year, the World Issues Club mailed a cheque to the foundation for $850.
Therefore:
0.6x=850
x=850/0.6
x=$1416.67
The total amount of money the club raised is $1416.67.
There is more than one integer greater than 1 which leaves a reminder of1 when divided by each of the four smallest primes
Answer:
210
Complete question found at brainly(ID): 18678557 is stated below.
There is more than one integer, greater than 1, which leaves a remainder of 1 when divided by each of the four smallest primes. What is the difference between the two smallest such integers?
Step-by-step explanation:
Prime numbers are numbers that can only be divided by itself and 1
The smallest of the prime numbers we have = 2, 3, 5, 7
Since the integers greater than 1 are said to be divided by the four smallest prime numbers, we would assume the number of integers are 4 in total.
Let the integers be T
From the question:
Integer/(prime number) = quotient + (remainder/prime number)
Integer/(prime number) = Q + R/P
Let the different quotients derived from all 4 prime number = w, x, y, z
For prime 2:
T/2 = w + 1/2
T/2 - 1/2 = w
(T-1)/2 = w
T = 2w + 1
T-1 = 2w
Following the above solution
For prime 3:
T = 3x + 1
T-1 = 3x
For prime 5:
T = 5y + 1
T-1 = 5y
For prime 7:
T = 7z + 1
T-1 = 7z
T-1= T-1 = T-1 = T-1
2w = 3x = 5y = 7z
T-1 = LCM of all the prime numbers
T- 1 = 2×3×5×7
T-1 = 210
T = 210+1 = 211
T = 211
The smallest of the integer greater than 1 that leaves a remainder of 1 = 1(T-1) + 1 = 211
The next after the smallest number: 2(T-1) +1= 2(210) + 1 = 421
The two smallest number = 1(T-1) + 1 and 2(T-1) +1 respectively
The difference between the two smallest such integers = 421-211 = 210
1. A random sample of 64 customers at a drive-through bank window is observed, and it is found that the teller spends an average of 2.8 minutes with each customer, with a standard deviation of 1.2 minutes. Is there sufficient evidence to conclude that the teller spends less than 3 minutes with each customer
Answer:
The 95% confidence interval is 2.5 < u <3.1.
Step-by-step explanation:
The provided sample mean is X = 2.8 and the sample standard deviation is s = 1.2, and the sample size is n = 64.
1. Null and Alternative Hypotheses:
The following null and alternative hypotheses need to be tested:
H0 u = 3
Ha: u < 3
This corresponds to a left-tailed test, for which a t-test for one mean, with unknown population standard deviation will be used.
2. Rejection Region Based
on the information provided, the significance level is alpha = 0.05, and the critical value for a left-tailed test is t c = -1.669.
The rejection region for this left-tailed test is R = t : t < -1.669
3. Test Statistics
The t-statistic is computed as follows:
t = (X - uo)/[s/n^(1/2)] =
replacing
t = (2.8 - 3)/ [1.2/64 ^(1/2)]
t =-1.333
4. Decision about the null hypothesis
Since it is observed that t = -1.333 > t c = -1.669, it is then concluded that the null hypothesis is not rejected.
Using the P-value approach: The p-value is p = 0.0936, and since p= 0.0936 => 0.05, it is concluded that the null hypothesis is not rejected.
5. Conclusion It is concluded that the null hypothesis H0 is not rejected. Therefore, there is not enough evidence to claim that the population mean u is less than 3, at the 0.05 significance level.
Confidence Interval
The 95% confidence interval is 2.5 < u <3.1.
Nicola runs a small pottery cafe. Customers choose from a range of ceramics which they paint and personalise.
Nicola wants to make as much profit as possible on the sale of ceramic plates. She pays £1.28 for each plate. What is the most profit Nicola can make on one plate.
Answer:
Bb
Step-by-step explanation:
Consider random samples selected from the population of all female college soccer players in the United States. Assume the mean height of female college soccer players in the United States is 66 inches and the standard deviation is 3.5 inches. Which do you expect to have less variability (spread): a sampling distribution with sample size n
Answer:
Option C is correct.
The sampling distribution with sample size n=100 will have less variability.
Step-by-step explanation:
Complete Question
Consider random samples selected from the population of all female college soccer players in the United States. Assume the mean height of female college soccer players in the United States is 66 inches and the standard deviation is 3.5 inches. Which do you expect to have less variability (spread): a sampling distribution with sample size n = 100 or a sample size of n = 20.
A. Both sampling distributions will have the same variability.
B.The sampling distribution with sample size n=20 will have less variability
C. The sampling distribution with sample size n =100 will have less variability
Solution
The central limit theorem allows us to say that as long as
- the sample is randomly selected from the population distribution with each variable independent of each other and with the sample having an adequate enough sample size.
- the random sample is normal or almost normal which is guaranteed if the population distribution that the random sample was extracted from is normal or approximately normal,
1) The mean of sampling distribution (μₓ) is approximately equal to the population mean (μ)
μₓ = μ = 66 inches
2) The standard deviation of the sampling distribution or the standard error of the sample mean is related to the population standard deviation through
σₓ = (σ/√N)
where σ = population standard deviation = 3.5 inches
N = Sample size
And the measure of variability for a sampling distribution is the magnitude of the standard deviation of the sampling distribution.
For sampling distribution with sample size n = 100
σₓ = (3.5/√100) = 0.35 inch
For sampling distribution with sample size n = 20
σₓ = (3.5/√20) = 0.7826 inch
The standard deviation of the sampling distribution with sample size n = 20 is more than double that of the sampling distribution with sample size n = 100, hence, it is evident that the bigger the sample size, the lesser the standard deviation of the sampling distribution and the lesser the variability that the sampling distribution shows.
Hope this Helps!!!
What is the result of −18⋅16 2/3? Enter the result as an improper fraction and as a mixed number.
Answer:
-30000/100
300 0/1
Step-by-step explanation:
We have the following numbers -18 and 16 2/3, the first is an integer and the second is a mixed number, the first thing is to pass the mixed number to a decimal number.
16 2/3 = 16.67
We do the multiplication:
−18⋅16 2/3 = -300
We have an improper fraction is a fraction in which the numerator (top number) is greater than or equal to the denominator (bottom number), therefore it would be:
-30000/100
How mixed number would it be:
300 0/1
Suppose that four microchips in a production run of sixty are defective. A sample of six is to be selected to be checked for defects. (a) How many different samples can be chosen
Answer:
50,063,860 different samples can be chosen
Step-by-step explanation:
The order in which the microchips are chosen is not important. So we use the combinations formula to solve this question.
Combinations formula:
[tex]C_{n,x}[/tex] is the number of different combinations of x objects from a set of n elements, given by the following formula.
[tex]C_{n,x} = \frac{n!}{x!(n-x)!}[/tex]
How many different samples can be chosen
We choose 6 microchips from a set of 60. So
[tex]C_{60,6} = \frac{60!}{6!(60-6)!} = 50063860[/tex]
50,063,860 different samples can be chosen
pls helppppp with my math
Answer:
[tex]\frac{1}{6}[/tex]
Step-by-step explanation:
Answer:
Step-by-step explanation:
[tex]\frac{5}{6}-\frac{2}{3}=\frac{5}{6}-\frac{2*2}{3*2}\\\\=\frac{5}{6}-\frac{4}{6}\\\\=\frac{5-4}{6}\\\\=\frac{1}{6}[/tex]
Two types of shipping boxes are shown below. What is the difference in the surface areas, in square feet, of the two boxes
*see attachment showing the 2 boxes
Answer:
3 ft²
Step-by-step explanation:
==>Given:
Box J with the following dimensions:
L = 4.5ft
W = 3ft
H = 2ft
Box F:
L = 3ft
W = 3ft
H = 3ft
==>Required:
Difference between the surface area of box J and box F
==>Solution:
Surface area = 2(WL + HL + HW)
=>S.A of box J = 2(3*4.5 + 2*4.5 + 2*3)
= 2(13.5 + 9 + 6)
= 2(28.5)
S.A of box J = 57 ft²
=>S.A of box F = 2(3*3 + 3*3 + 3*3)
= 2(9 + 9 + 9)
= 2(27)
S.A of box F = 54 ft²
Difference between box J and box F = 57 - 54 = 3 ft²
Determine the present value P that must be invested to have the future value A at simple interest rate r after time t. A = $7000.00, r = 9.5%, t = 9 months
Answer:
$6534.42
Step-by-step explanation:
Put the given values into the simple interest formula and solve for the remaining variable.
A = P(1 +rt)
where P is the principal invested, r is the annual rate, and t is the number of years.
$7000 = P(1 +0.095(9/12)) = 1.07125P
$7000/1.07125 = P ≈ $6534.42
The value that must be invested is $6534.42.
PLEASE ANSWER FAST !!!
What is the range of the function g for given domain ?
Answer:
The answer is B
Step-by-step explanation:
Hope this helps.. if not im sorry :(
Please answer this question I give brainliest thank you! Number 8
Answer:
The third options
Step-by-step explanation:
Counting we can see that 10 students went to two or less states, and 10 went to three or more
The eccentricity e of an ellipse is defined as the number c/a, where a is the distance of a vertex from the center and c is the distance of a focus from the center. Because a>c, it follows that e<1. Write a brief paragraph about the general shape of each of the following ellipses. Be sure to justify your conclusions. (a) Eccentricity close to 0 (b) Eccentricity=5 (c) Eccentricity close to 1
Answer:
Check below, please.
Step-by-step explanation:
Hi, there!
Since we can describe eccentricity as [tex]e=\frac{c}{a}[/tex]
a) Eccentricity close to 0
An ellipsis with eccentricity whose value is 0, is in fact, a degenerate one almost a circle. An ellipse whose value is close to zero is almost a degenerate circle. The closer the eccentricity comes to zero, the more rounded gets the ellipse just like a circle. (Check picture, please)
[tex]\frac{x^2}{a^2} +\frac{y^2}{b^2} =1 \:(Ellipse \:formula)\\a^2=b^2+c^2 \: (Pythagorean\: Theorem)\:a=longer \:axis.\:b=shorter \:axis)\\a^2=b^2+(0)^2 \:(c\:is \:the\: distance \: the\: Foci)\\\\a^2=b^2 \\a=b\: (the \:halves \:of \:each\:axes \:measure \:the \:same)[/tex]
b) Eccentricity =5
[tex]5=\frac{c}{a} \:c=5a[/tex]
An eccentricity equal to 5 implies that the distance between the Foci has to be five (5) times larger than the half of its longer axis! In this case, there can't be an ellipse since the eccentricity must be between 0 and 1 in other words:
[tex]If\:e=\frac{c}{a} \:then\:c>0 , and\: c>0 \:then \:1>e>0[/tex]
c) Eccentricity close to 1
In this case, the eccentricity close or equal to 1 We must conceive an ellipse whose measure for the half of the longer axis a and the distance between the Foci 'c' they both have the same size.
[tex]a=c\\\\a^2=b^2+c^2\:(In \:the\:Pythagorean\:Theorem\: we \:should\:conceive \:b=0)[/tex]
[tex]Then:\\\\a=c\\e=\frac{c}{a}\therefore e=1[/tex]
Pet Place sells pet food and supplies including a popular bailed hay for horses. When the stock of this hay drops to 20 bails, a replenishment order is placed. The store manager is concerned that sales are being lost due to stock outs while waiting for a replenishment order. It has been previously determined that demand during the lead-time is normally distributed with a mean of 15 bails and a standard deviation of 6 bails. The manager would like to know the probability of a stockout during replenishment lead-time. In other words, what is the probability that demand during lead-time will exceed 20 bails
Answer:
The probability that demand during lead-time will exceed 20 bails is 0.2033.
Step-by-step explanation:
We are given that it has been previously determined that demand during the lead-time is normally distributed with a mean of 15 bails and a standard deviation of 6 bails.
Let X = demand during the lead-time
So, X ~ Normal([tex]\mu=15, \sigma^{2} = 6^{2}[/tex])
The z-score probability distribution for the normal distribution is given by;
Z = [tex]\frac{X-\mu}{\sigma}[/tex] ~ N(0,1)
where, [tex]\mu=[/tex] population mean demand = 15 bails
[tex]\sigma[/tex] = standard deviation = 6 bails
Now, the probability that demand during lead-time will exceed 20 bails is given by = P(X > 20 bails)
P(X > 20 bails) = P( [tex]\frac{X-\mu}{\sigma}[/tex] > [tex]\frac{20-15}{6}[/tex] ) = P(Z > 0.83) = 1 - P(Z [tex]\leq[/tex] 0.83)
= 1 - 0.7967 = 0.2033
A research organization keeps track of what citizens think is the most important problem facing the country today. They randomly sampled a number of people in 2003 and again in 2009 using a different random sample of people in 2009 than in 2003 and asked them to choose the most important problem facing the country today from the following choices, war, economy, health care, or other. Which of the following is the correct test to use to determine if the distribution of "problem facing this countrytoday" is different between the two different years?
A.
Use a chi-square test of homogeneity.
B.
Use a paired t-test.
C.
Use a two-sample z-test for proportions.
D.
Use a chi-square goodness-of-fit test.
Answer:
Step-by-step explanation:
From the information given, the population is divided into sub groups. Each group would consist of citizens picking a particular choice as the most important problem facing the country. The choices are the different categories. In this case, the null hypothesis would state that the distribution of proportions for all categories is the same in each population. The alternative hypothesis would state that the distributions is different. Therefore, the correct test to use to determine if the distribution of "problem facing this country today" is different between the two different years is
A) Use a chi-square test of homogeneity.
HELP ASAP GIVING BRANLIST!!
Answer:
Question 1: 3 - 5 hours.
Question 2: 0 - 1 hour
Step-by-step explanation:
Question 1: As you can see in the diagram, the guy is moving really slowly and is almost stuck, therefore, it is 3 - 5 hours.
Question 2: In hours 0 - 1, you can see that the graph is the closest to vertical as it gets.
Which equation represents a parabola that opens upward, has a minimum at x = 3, and has a line of symmetry at x = 3?
A. y = x^2 - 6x + 13
B. y = x^2 - 8x + 19
C. y= x^2 - 3x + 6
D. y= x^2 + 6x + 5
Answer:
[tex]A.\ y = x^2 - 6x + 13[/tex] is the correct answer.
Step-by-step explanation:
We know that vertex equation of a parabola is given as:
[tex]y = a(x-h)^2+k[/tex]
where [tex](h,k)[/tex] is the vertex of the parabola and
[tex](x,y)[/tex] are the coordinate of points on parabola.
As per the question statement:
The parabola opens upwards that means coefficient of [tex]x^{2}[/tex] is positive.
Let [tex]a = +1[/tex]
Minimum of parabola is at x = 3.
The vertex is at the minimum point of a parabola that opens upwards.
[tex]\therefore[/tex] [tex]h = 3[/tex]
Putting value of a and h in the equation:
[tex]y = 1(x-3)^2+k\\\Rightarrow y = (x-3)^2+k\\\Rightarrow y = x^2-6x+9+k[/tex]
Formula used: [tex](a-b)^2=a^{2} +b^{2} -2\times a \times b[/tex]
Comparing the equation formulated above with the options given we can observe that the equation formulated above is most similar to option A.
Comparing [tex]y = x^2 - 6x + 13[/tex] and [tex]y = x^2-6x+9+k[/tex]
13 = 9+k
k = 4
Please refer to the graph attached.
Hence, correct option is [tex]A.\ y = x^2 - 6x + 13[/tex]
Answer:
A. y = x^2 -6x + 13
Step-by-step explanation:
Please answer this correctly
A sample of 75 information systems managers had an average hourly income of $40.75 with a standard deviation of $7.00. The 95% confidence interval for the average hourly wage (in $) of all information system managers is
Answer:
The 95% confidence interval for the average hourly wage of all information system managers is (39.14,42.36)
Step-by-step explanation:
In order to calculate the 95% confidence interval for the average hourly wage we would have to calculate first the margin of error as follows:
ME=t0.05/2,n-1s/√n
for n=75, t0.025,74=1.993
Therefore, ME=1.993*7/√75
ME=1.61
Therefore, the 95% confidence interval for the average hourly income of all syatem manager would be as follows:
(X-ME,X+ME)=(40.75-1.61,40.75+1.61)
=(39.14,42.36)
The assembly time for a product is uniformly distributed between 8 and 12 minutes.The mean and the variance of the assembly time are: a.4 minutes and 16 (minute)2 b.8 minutes and 12 (minute)2 c.12 minutes and 1.33 (minute)2 d.10 minutes and 1.33 (minute)2
Answer:
d. 10 minutes and 1.33 minutes.
Step-by-step explanation:
An uniform probability is a case of probability in which each outcome is equally as likely.
For this situation, we have a lower limit of the distribution that we call a and an upper limit that we call b.
The mean of the uniform distribution is:
[tex]M = \frac{a + b}{2}[/tex]
The variance of the uniform distribution is given by:
[tex]V = \frac{(b-a)^{2}}{12}[/tex]
The assembly time for a product is uniformly distributed between 8 and 12 minutes.
This means that [tex]a = 8, b = 12[/tex].
Mean:
[tex]M = \frac{8 + 12}{2} = 10[/tex]
Variance:
[tex]V = \frac{(12-8)^{2}}{12} = 1.33[/tex]
So the correct answer is:
d. 10 minutes and 1.33 minutes.
ali's typing rate between 8:00 am and noon is 48 words per minute . after lunch a lunch break, Ali's typing rate between 1:00 pm and 4:00 pm is 2,040 words per hour . what is Ali's average typing rate per minute for the whole time she works?
Answer:
41 word/min
Step-by-step explanation:
Before noon Ali works:
4 hours= 4*60 min= 240 minShe types:
240*48= 11520 wordsAfter lunch she works:
4 hoursShe types:
4*2040= 8160 wordsTotal Ali works= 4+4= 8 hours= 480 min
Total Ali types= 11520+8160= 19680 words
Average typing rate= 19680 words/480 min= 41 word/min
EASY MIDDLE SCHOOL MATH WITH INSTANT BRAINIEST AND MANY POINTS, PLZ HELP!!!
Answer:
Second option is the correct choice. See the explanation below.
Step-by-step explanation:
[tex]A=\frac{bh}{2}\\\\\mathrm{Switch\:sides}:\\\\\frac{bh}{2}=A\\\\\mathrm{Multiply\:both\:sides\:by\:}2\\\\\frac{2bh}{2}=2A\\\\hb=2A\\\\\mathrm{Divide\:both\:sides\:by\:}b;\\\\\frac{hb}{b}=\frac{2A}{b}\\\\h=\frac{2A}{b}[/tex]
Best Regards!
Answer:
[tex]h = \frac{2A}{b} [/tex]
Option B is the right option.
Solution,
[tex]a = \frac{bh}{2} \\ 2a = bh(cross \: multiplication) \\ 2a = b \times h \\ h = \frac{2A}{b} [/tex]
hope this helps...
Good luck on your assignment..
The production department has installed a new spray machine to paint automobile doors. As is common with most spray guns, unsightly blemishes often appear because of improper mixtures or other problems. A worker counted the number of blemishes on each door. Most doors had no blemishes; a few had one; a very few had two; and so on. The average number was 0.5 per door. The distribution of blemishes followed the Poisson distribution. Out of 10,000 doors painted, about how many would have no blemishes
Answer:
The numbers of doors that will have no blemishes will be about 6065 doors
Step-by-step explanation:
Let the number of counts by the worker of each blemishes on the door be (X)
The distribution of blemishes followed the Poisson distribution with parameter [tex]\lambda =0.5[/tex] / door
The probability mass function on of a poisson distribution Is:
[tex]P(X=x) = \dfrac{e^{- \lambda } \lambda ^x}{x!}[/tex]
[tex]P(X=x) = \dfrac{e^{- \ 0.5 }( 0.5)^ x}{x!}[/tex]
The probability that no blemishes occur is :
[tex]P(X=0) = \dfrac{e^{- \ 0.5 }( 0.5)^ 0}{0!}[/tex]
[tex]P(X=0) = 0.60653[/tex]
P(X=0) = 0.6065
Assume the number of paints on the door by q = 10000
Hence; the number of doors that have no blemishes is = qp
=10,000(0.6065)
= 6065