Suppose that vehicles taking a particular freeway exit can turnright (R), turn left (L), or go straight (S). Consider observingthe direction for each of three successive vehicles.
a. List all outcomes in the event A that all three vehicles go inthe same direction.
b. List all outcomes in the event B that all three vehicles takedifferent directions.
c. list all outcomes in the event C that exactly two of the threevehicles turn right.
d. List all outcomes in the event C that exactly two of the threevehicles turn right.
e. List outcomes in D', C U D, and C D

Answers

Answer 1

Answer:

a.) A= [RRR, LLL, SSS]

b.) B=[RLS, RSL, SRL, SLR, LRS, LSR]

c.) C=[RRL, RRS, RSR, RLR, SRR, LRR]

e.) D'= C' = [RRR, LLL, SSS, RLS, RSL, SRL, SLR, LRS, LSR, LLR, LLS, LSL, LRL, SLL, RLL, SSL, SSR, SLS, SRS, RSS, LSS]

Step-by-step explanation:

If three consecutive vehicles are considered with their direction as R, L and S, then

a.) when the three vehicles go in same direction, A= [RRR, LLL, SSS]

b.) When the three vehicles take the different direction, B=[RLS, RSL, SRL, SLR, LRS, LSR]

c.) when exactly two vehicles turn right, C=[RRL, RRS, RSR, RLR, SRR, LRR]

d.) repeated question of C above.

e.) D'= C' = [RRR, LLL, SSS, RLS, RSL, SRL, SLR, LRS, LSR, LLR, LLS, LSL, LRL, SLL, RLL, SSL, SSR, SLS, SRS, RSS, LSS]


Related Questions

Newlyweds Bryce & lauren need to rent a truck to move their belongings to their new apartment. They can rent a truck of the size they need from U-Haul for $29.95 per day plus 28 cents per mile or from Budget Truck rentals for $34.95 per day plus 25 cents per mile. After how many miles (to the nearest mile) would the budget rental be a better deal than the U-Haul one?

Answers

Answer:

After 167 miles the Budget rental deal would be better than the U-haul deal

Step-by-step explanation:

Let x be the number of miles.

Considering the U-haul plan the cost can be expressed as:

[tex]u=29.95+0.28x[/tex]

Consider the Budget rental plan the cost can be expressed as:

[tex]b=34.95+0.25x[/tex]

For the Budget rental plan to be better than the U-haul plan the relation between the two cost equation will be:

[tex]b<u[/tex]

Substitute the equations of u and b and solve for x:

[tex]b<u\\34.95+0.25x<29.95+0.28x\\34.95-29.95<0.28x-0.25x\\5<0.03x\\0.03x>5\\x>166.67\approx167[/tex]

So after 167 miles the Budget rental deal would be better than the U-haul deal.

Final answer:

After approximately 167 miles, Budget Truck rental becomes a cheaper option than U-Haul for Bryce and Lauren's move.

Explanation:

To find the point at which Budget Truck rentals becomes cheaper than U-Haul, we must set up the cost equation for each company and solve for the number of miles (m) that makes them equal. For U-Haul, the cost (C) is given by C = 29.95 + 0.28m, and for Budget it’s C = 34.95 + 0.25m.

Setting these two equations equal, we get: 29.95 + 0.28m = 34.95 + 0.25m.

We then solve for m: 0.03m = 5. Subtracting 29.95 from both sides, then dividing by 0.03 gives: m ≈ 167 miles.

So, after 167 miles, Budget Truck becomes the cheaper option.

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The random variable is the number of nonconforming solder connections on a printed circuit board with 970 connections. Determine the range (possible values) of the random variable.

Answers

Answer: X = {0,1,2,3,4,5,....970}

Explanation: Let  X → random nonconforming solder connections on a printed circuit board. The number has to be a whole number to indicate the connections. This gives all possible range of X = {0,1,2,3,4,5,....970}

The number of solder connections would always be discrete, hence, a positive integer value. The range of possible values which the variable could have are {1, 2, 3,..., 970}

Number of solder connections would always be a whole number, as it cannot be negative or be a fractional value, hence, the possible range of values will be discrete.

Hence, the possible range can be expressed in the form :

X = {1, 2, 3,..., 970}

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In the 1939 movie The Wizard of Oz, upon being presented with a Th.D. (Doctor of Thinkology), the Scarecrow proudly exclaims, "The sum of the square roots of any two sides of an isosceles triangle is equal to the square root of the remaining side." Did the Scarecrow get the Pythagorean Theorem right? In particular, describe four errors in the Scarecrow's statement.

Answers

Answer:

The Scarecrow got it wrong.

Step-by-step explanation:

1. The Pythagoras theorem does not apply to every isosceles triangle. It only applies to a triangle that has one of its sides as a right angle i.e. 90 degrees.

2. The Pythagoras theorem deals with squares of sides not square roots of sides.

3. Pythagoras theorem does not state that the square of any side is equal to the sum of the remaining two. Instead, it states that the square of the hypotenuse of a right angled triangle is equal to the sum of the square of the remaining two sides.

4. The Pythagoras theorem does not mention anything about an isosceles triangle. It deals only with Right angled triangles.

Final answer:

The Scarecrow's statement has errors in terms of the type of triangle it refers to, the mathematical operation used, which sides of the triangle he's considering, and the side with which the sum is equated.

Explanation:

The Scarecrow in the 1939 film The Wizard of Oz did not correctly state the Pythagorean Theorem. There are a few errors in his statement:

Firstly, the Pythagorean theorem applies to right triangles, not isosceles triangles.Secondly, the theorem talks about the squares of the sides of the triangle, not the square roots.Thirdly, it's about the sum of the squares of the two shorter sides, not any two sides.Lastly, this sum equals the square of the longest side (hypotenuse), not its square root.

The correct statement of the Pythagorean Theorem is: 'In a right-angled triangle, the square of the length of the hypotenuse is equal to the sum of the squares of the lengths of the other two sides.'

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what are the coordinates of point A​

Answers

Answer:

-5,7 those are the coordinates on the graph

Answer:

-5,7 this should be the answer

3.20 × 105 gallons of tar (SG = 1.20) is stored in a 20.0-ft tall storage tank. What is the total mass of the liquid in the tank?

Answers

Answer:

Mass of the liquid in the tank will be [tex]1.45\times 10^8kg[/tex]

Step-by-step explanation:

We have given volume of tar [tex]V=3.20\times 10^5gallon[/tex]

1 gallon = 3.785 liter

So [tex]3.20\times 10^5gallon=3.20\times 10^{5}\times 3.785=12.112\times 10^5liter[/tex]

Specific gravity = 1.2

Density of water [tex]=1000kg/m^3[/tex]

We know that specific gravity [tex]=\frac{density\ of\ liquid}{density\ of\ water}[/tex]

[tex]1.2=\frac{density\ of\ liquid}{density\ of\ water}[/tex]

Density of liquid [tex]=1200kg/m^3[/tex]

So mass of liquid = volume × density

= [tex]12.112\times 10^5\times 1200=1.45\times 10^8kg[/tex]

So mass of the liquid in the tank will be [tex]1.45\times 10^8kg[/tex]

Roll two dice, one white and one red. Consider these events: A : The sum is 7 B : The white die is odd C : The red die has a larger number showing than the white D : The dice match (doubles) Which pair(s) of events are disjoint (events A and B are disjoint if A ∩ B = ∅ )? Which pair(s) are independent? Which pair(s) are neither disjoint nor independent?

Answers

Final answer:

Events B and D are disjoint; events B and C, A and C, B and D are independent; events A and B, A and C, and B and D are neither disjoint nor independent.

Explanation:

The pairs of events that are disjoint (have no intersection) are:

Events B and D are disjoint because if the white die is odd (event B), then it cannot match with the red die (event D).

Events A and D are disjoint because if the sum of the dice is 7 (event A), then the dice cannot match (event D).

The pairs of events that are independent are:

Events B and C are independent because the outcome of one die does not affect the outcome of the other die.

Events A and C are independent for the same reason.

The pairs of events that are neither disjoint nor independent are:

Events A and B are neither disjoint nor independent. If the white die is odd (event B), it is still possible for the sum of the dice to be 7 (event A).

Events A and C are also neither disjoint nor independent. If the sum of the dice is 7 (event A), it is still possible for the red die to have a larger number showing than the white die (event C).

Events B and D are neither disjoint nor independent. If the white die is odd (event B), it is still possible for the dice to match (event D).

A statistician selected a sample of 16 accounts receivable and determined the mean of the sample to be $5,000 with a standard deviation of $400. He reported that the sample information indicated the mean of the population ranges from $4,739.80 to $5,260.20. He neglected to report what confidence level he had used. Based on the above information, determine the confidence level that was used. Assume the population has a normal distribution.

Answers

Answer:

The confidence level that was used is 0.25% .

Step-by-step explanation:

We are given that mean of the selected sample of 16 accounts is $5,000 and a standard deviation of $400.

It has also been reported that the sample information indicated the mean of the population ranges from $4,739.80 to $5,260.20. This represents the Confidence Interval for population mean.

But we have to find that at what confidence level this information about range of population men has been stated.

Since we know that Confidence Interval for population mean is given by :

   C.I. for population mean = Sample mean(xbar) [tex]\pm[/tex] z value * [tex]\frac{Standard deviation}{\sqrt{n} }[/tex]

i.e.,if we have 95% C.I. = xbar [tex]\pm[/tex] 1.96 * [tex]\frac{\sigma}{\sqrt{n} }[/tex] .

So, our Confidence Interval for population is written as :

 [$4,739.80 , $5,260.20] = $5000 [tex]\pm[/tex] z value * [tex]\frac{400}{\sqrt{16} }[/tex]

 $5000 - z value * 100 = $4739.80    { Solving these we get Z value = 2.602}

 $5000 + z value * 100 = $5260.20

In z table we find that at value of 2.60 the probability is 0.99534 so subtracting this from 1 we get confidence level for one tail i.e.0.5%(approx).

Therefore, for two tail Confidence level will be 0.5%/2 = 0.25% .

Using the t-distribution, it is found that a confidence level of 98% was used.

We are given the standard deviation for the sample, which is why the t-distribution is used to solve this question.

The information given is:

Sample mean of [tex]\overline{x} = 5000[/tex]. Sample standard deviation of [tex]s = 400[/tex]. Sample size of [tex]n = 16[/tex].

The margin of error is of:

[tex]M = t\frac{s}{\sqrt{n}}[/tex]

In which t is the critical value.

For this problem, the margin of error is:

[tex]M = \frac{5260.2 - 4739.8}{2} = 260.2[/tex]

Hence, the critical value is found solving the equation of the margin of error for t.

[tex]M = t\frac{s}{\sqrt{n}}[/tex]

[tex]260.2 = t\frac{400}{\sqrt{16}}[/tex]

[tex]100t = 260.2[/tex]

[tex]t = \frac{260.2}{100}[/tex]

[tex]t = 2.602[/tex]

Looking at the t-table, with 16 - 1 = 15 df, t = 2.602 is associated with a confidence level of 98%.

A similar problem is given at https://brainly.com/question/15180581

A triangle has measures that are 45 45 90 The hypothenuse of the triangle is 10 What is the perimeter of the triangle

Answers

Answer: you need to add each side .45+45+90=180

Step-by-step explanation:

A slice of pizza whose edges form a 32degrees angle with an outer crust edge 4 inches long was found in a gym locker. What was the diameter of the original​ pizza?g

Answers

Answer:

The diameter was [tex]d=\frac{45}{\pi }[/tex] in.

Step-by-step explanation:

The arc of a circle is given by

[tex]s=r\theta[/tex]

where

s = arc length

r = radius of the circle

θ = measure of the central angle in radians.

From the information given

s = 4 in

θ = 32º

To find the diameter of the original​ pizza, we use the formula of the diameter of a circle

[tex]d=2r[/tex]

First, we need to convert the angle to radians

[tex]\theta=32\º \cdot \frac{\pi}{180\º} =\frac{8\pi }{45}[/tex]

Next, solve for r from the arc formula

[tex]r=\frac{s}{\theta} =\frac{4}{\frac{8\pi }{45}} =\frac{45}{2\pi }[/tex]

Then, we use the diameter of a circle formula

[tex]d=2r=2(\frac{45}{2\pi })=\frac{45}{\pi }[/tex]

A technology committee of wants to perform a test to see if the mean amount of time students are spending in a lab has increased from 54 minutes. Here are the data from a random sample of 12 students.

52 74
57 54
55 137
76 74
63 7
53 63
Are there any? outliers? Select the correct choice below and fill in any answer boxes within your choice.?Yes, 2

b) What do you conclude about the? claim? If there are? outliers, perform the test with and without the outliers present
Write appropriate hypotheses for the test.
H0: u=54
HA: u=>54
The Test Statistic is t= _________
The P- Value is ___________
If there are outliers , calculate the test statistic for the data set without outliers.
The test statistic is t=______________
The P-Value is ____________

Answers

Final answer:

To identify outliers from the data, the interquartile range (IQR) is used. Hypotheses are established to test if the mean time spent in the lab has increased. The test statistic and P-value are calculated with and without outliers to reach a conclusion.

Explanation:

To determine if there are any outliers in the provided data, we can use the interquartile range (IQR) method. Calculating IQR and then finding the lower and upper bounds will help us identify outliers. An outlier is a value that falls below Q1 - 1.5 * IQR or above Q3 + 1.5 * IQR. The hypotheses for our test are as follows:

H0: \\( \\mu = 54 \\) minutesHA: \\( \\mu > 54 \\) minutes

The test statistic and P-value are calculated using the sample mean, standard deviation, and sample size, and comparing them with the presumed population mean of 54 minutes.

If outliers are identified and removed, we would calculate a new test statistic and P-value for the data set without the outliers to see if there is a significant change.

A patio was to be laid in a design with one tile in the
first row, two tiles in the second row, three
tiles in the third row, and so on. Mr. Tong had 60
tiles to use. How many tiles should be placed
in the bottom row to use the most tiles?

Answers

Answer:

10

Step-by-step explanation:

The number of tiles in the design is 1 + 2 + 3 + ...

We can model this as an arithmetic series, where the first term is 1 and the common difference is 1.  The sum of the first n terms of an arithmetic series is:

S = n/2 (2a₁ + d (n − 1))

Given that a₁ = 1 and d = 1:

S = n/2 (2(1) + n − 1)

S = n/2 (n + 1)

Since S ≤ 60:

n/2 (n + 1) ≤ 60

n (n + 1) ≤ 120

n must be an integer, so from trial and error:

n ≤ 10

Mr. Tong should use 10 tiles in the final row to use the most tiles possible.

Construct a 90% confidence interval for (P1-P2) in each of the following situations. a. n1-400, p1-0.67; n2-400, p2 = 0.56. b. n1 = 180; p1 = 0.31; nz" 250, p2 = 0.25. c. n1 = 100; p1 = 0.46; n2 = 120, pz" 0.61.

Answers

Answer:

a) [tex](0.67-0.56) - 1.64 \sqrt{\frac{0.67(1-0.67)}{400} +\frac{0.56(1-0.56)}{400}}=0.054[/tex]  

[tex](0.67-0.56) + 1.64 \sqrt{\frac{0.67(1-0.67)}{400} +\frac{0.56(1-0.56)}{400}}=0.166[/tex]

And the 90% confidence interval would be given (0.054;0.166).  

b) [tex](0.31-0.25) - 1.64 \sqrt{\frac{0.31(1-0.31)}{180} +\frac{0.25(1-0.25)}{250}}=-0.0122[/tex]  

[tex](0.31-0.25) +1.64 \sqrt{\frac{0.31(1-0.31)}{180} +\frac{0.25(1-0.25)}{250}}=0.132[/tex]  

And the 90% confidence interval would be given (-0.0122;0.132).

c) [tex](0.46-0.61) - 1.64 \sqrt{\frac{0.46(1-0.46)}{100} +\frac{0.61(1-0.61)}{120}}=-0.260[/tex]  

[tex](0.46-0.61) +1.64 \sqrt{\frac{0.46(1-0.46)}{100} +\frac{0.61(1-0.61)}{120}}=-0.0404[/tex]  

And the 90% confidence interval would be given (-0.260;-0.0404).

Step-by-step explanation:

A confidence interval is "a range of values that’s likely to include a population value with a certain degree of confidence. It is often expressed a % whereby a population means lies between an upper and lower interval".  

The margin of error is the range of values below and above the sample statistic in a confidence interval.  

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".  

Part a

[tex]p_1[/tex] represent the real population proportion for sample 1

[tex]\hat p_1 =0.67[/tex] represent the estimated proportion for sample 1

[tex]n_A=400[/tex] is the sample size required for sample 1

[tex]p_2[/tex] represent the real population proportion for sample 2

[tex]\hat p_2 =0.56[/tex] represent the estimated proportion for sample 2

[tex]n_2=400[/tex] is the sample size required for sample 2

[tex]z[/tex] represent the critical value for the margin of error  

The population proportion have the following distribution  

[tex]p \sim N(p,\sqrt{\frac{p(1-p)}{n}})[/tex]  

The confidence interval for the difference of two proportions would be given by this formula  

[tex](\hat p_1 -\hat p_2) \pm z_{\alpha/2} \sqrt{\frac{\hat p_1(1-\hat p_1)}{n_1} +\frac{\hat p_2 (1-\hat p_2)}{n_2}}[/tex]  

For the 90% confidence interval the value of [tex]\alpha=1-0.9=0.1[/tex] and [tex]\alpha/2=0.05[/tex], with that value we can find the quantile required for the interval in the normal standard distribution.  

[tex]z_{\alpha/2}=1.64[/tex]  

And replacing into the confidence interval formula we got:  

[tex](0.67-0.56) - 1.64 \sqrt{\frac{0.67(1-0.67)}{400} +\frac{0.56(1-0.56)}{400}}=0.054[/tex]  

[tex](0.67-0.56) + 1.64 \sqrt{\frac{0.67(1-0.67)}{400} +\frac{0.56(1-0.56)}{400}}=0.166[/tex]

And the 90% confidence interval would be given (0.054;0.166).  

Part b

[tex](0.31-0.25) - 1.64 \sqrt{\frac{0.31(1-0.31)}{180} +\frac{0.25(1-0.25)}{250}}=-0.0122[/tex]  

[tex](0.31-0.25) +1.64 \sqrt{\frac{0.31(1-0.31)}{180} +\frac{0.25(1-0.25)}{250}}=0.132[/tex]  

And the 90% confidence interval would be given (-0.0122;0.132).

Part c

[tex](0.46-0.61) - 1.64 \sqrt{\frac{0.46(1-0.46)}{100} +\frac{0.61(1-0.61)}{120}}=-0.260[/tex]  

[tex](0.46-0.61) +1.64 \sqrt{\frac{0.46(1-0.46)}{100} +\frac{0.61(1-0.61)}{120}}=-0.0404[/tex]  

And the 90% confidence interval would be given (-0.260;-0.0404).

Find the mean, median, and mode of the following data. If necessary, round to one more decimal place than the largest number of decimal places given in the data.MLB Batting Averages0.3270.2950.3180.3100.2850.2800.3140.3230.3100.2950.2830.2790.2770.3130.3270.3060.3270.3170.2920.275

Answers

Answer:

Mean = 0.3026

Median = 0.308

Mode = 0.327                    

Step-by-step explanation:

We are given the following data set:

0.327, 0.295, 0.318, 0.310, 0.285, 0.280, 0.314, 0.323, 0.310, 0.295, 0.283, 0.279, 0.277, 0.313, 0.327, 0.306, 0.327, 0.317, 0.292, 0.275

[tex]Mean = \displaystyle\frac{\text{Sum of all observations}}{\text{Total number of observation}}[/tex]

[tex]Mean =\displaystyle\frac{6.053}{20} = 0.3026[/tex]

Sorted data: 0.275, 0.277, 0.279, 0.280, 0.283, 0.285, 0.292, 0.295, 0.295, 0.306, 0.310, 0.310, 0.313, 0.314, 0.317, 0.318, 0.323, 0.327, 0.327, 0.327

[tex]Median:\\\text{If n is odd, then}\\\\Median = \displaystyle\frac{n+1}{2}th ~term \\\\\text{If n is even, then}\\\\Median = \displaystyle\frac{\frac{n}{2}th~term + (\frac{n}{2}+1)th~term}{2}[/tex]

[tex]\text{Median} = \dfrac{10^{th} + 11^{th}}{2} = \dfrac{0.306 + 0.310}{2} = 0.308[/tex]

Mode is the mos frequent observation in the data.

Mode = 0.327

It appeared 3 times.

Final answer:

The mean of the MLB Batting Averages is around 0.306, the median is 0.308, and the mode is 0.327.

Explanation:

In the field of mathematics, especially in statistics, mean, median and mode are measures of central tendency that provide an overview of the data set. Given the MLB Batting Averages, we start by arranging the data in ascending order. After that, we calculate the mean by adding up all the values and dividing by the number of values. The median is the middle value in an ordered dataset, and the mode is the value that appears most often in a dataset.

Mean: (0.327+0.295+0.318+0.310+0.285+0.280+0.314+0.323+0.310+0.295+0.283+0.279+0.277+0.313+0.327+0.306+0.327+0.317+0.292+0.275)/20 ≈ 0.306 Median: The middle numbers are 0.310 and 0.306, so the median is (0.310 + 0.306) / 2 = 0.308 Mode: The number 0.327 appears three times, more than any other number, so the mode is 0.327.

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Determine if the statement is true or false, and justify your answer. If u4 is not a linear combination of {u1, u2, u3}, then {u1, u2, u3, u4} is linearly independent. True. If {u1, u2, u3, u4} is linearly dependent, then u4

Answers

Answer:The statement is true

Step-by-step explanation:

This is an implication, then if we by starting from the premise we can get to the conclusion, then the implication is true. First let us remember that a given set of n vectors, say [tex]\{u_1,\ldots, u_n\}[/tex] is l.i (linearly independent), by definition if the only solution to [tex]\alpha_1\cdot u_1 + \cdots + \alpha_n\cdot u_n = \textbf{0}, is (\alpha_1, \ldots, \alpha_n)= \textbf{0}\in \mathcal {R}^n, \mathcal {R}[/tex] the set of real numbers, that is the only linear combination equal to the null vector is the null combination, all the scalars must be zero. And since it is a definition it is  if and only if.

Then if we say that the premise is true, then u4 is not a linear combination of {u1,u2,u3}, this means there do not exist [tex]\alpha_1, \alpha_2, \alpha_3 \in \mathcal{R}[/tex] not all zero, such that, [tex]\alpha_1\cdot u_1+ \alpha_2\cdot u_2+ \alpha_3\cdot u_3=u_4[/tex] which is equivalent to say that for every [tex]\alpha_1, \alpha_2, \alpha_3,\alpha_4 \in \mathcal{R}[/tex] with

[tex]\alpha_1\cdot u_1 + \alpha_2\cdot u_2+ \alpha_3\cdot u_3+ \alpha_4\cdot u_4 = \textbf{0}[/tex] implies [tex]\alpha_1= \alpha_2= \alpha_3= \alpha_4=0[/tex], then the given set is linearly independent as by definition and just as it is stated in the conclusion, therefore the affirmation is true.

Customers arrive at a checkout counter at times 1,4,5,10,20,22,23,28,29,35. The time it takes fortheir checkout are the amounts 4,4,4,4,3,3,5,1,5. Compute for each customer the wait time fromwhen the customer arrives until the customer begins to get served. Use the formula given in classand in Dai&Park’s text.

Answers

Answer:

wait time in order = 0,1,4,3,0,1,3,3,3,2

Step-by-step explanation:

We need to make a table for easy computation of wait time for each customer.

Customer    Arrival   Time taken      Checkout      Wait

Serial no.       time     for checkout      time             time

1                        1              4                    1+4=    5        0

2                       4             4                    4+5=    9       5-4=   1

3                       5             4                    9+4=   13       9-5=  4

4                       10            4                    13+4=  17       13-10=3

5                       20           3                    20+3= 23      0

6                       22            3                   23+3= 26      23-22=1

7                       23            5                   26+5= 31       26-23=3

8                       28            1                    31+1=   32      31-28=3

9                       29            5                   32+5= 37      32-29=3

10                     35                                                        37-35=2

Following is the data of new car color preferences for U.S. buyers. New Car Color Preferences for U.S. Buyers Color Percent Blue 12 Green 7 Natural 12 Red 13 Silver/Grey 24 White 16 Black 13 Other 3 Total 100

Answers

Answer:

The chart A is correct

Pareto Chart

Step-by-step explanation:

Given chart is missing (Attached)

Find:

- Which chart represents the correct data.

- What other chart can be used to express the given data

Solution:

- Use the given values for each color and compare with the three charts A,B and C given.

                For Blue =    A (12)    ,    B(12)    ,    C(11)

                For Green = A(7)       ,    B(13)    ,    C(12)

- Hence,  The chart A is correct.

- Any other chart which can correctly express the information given should be a chart that uses bars or frequency to expresses the percentages. Pareto Chart expresses both bars and line chart(curve) to express the frequency of the data.

Suppose two events A and B are two independent events with P(A) > P(B) and P(A ∪ B) = 0.626 and P(A ∩ B) = 0.144, determine the values of P(A) and P(B).

Answers

Answer:

P(A)= 0.606 and P(B)= 0.237

Step-by-step explanation:

Since A and B are independent

P(A ∩ B) = P(A) *  P(B) → P(B) = P(A ∩ B) / P(A)

and also

P(A ∪ B)=  P(A) + P(B) -  P(A ∩ B)

P(A ∪ B) =  P(A) + P(A ∩ B) / P(A) -  P(A ∩ B)

[P(A ∪ B) +  P(A ∩ B) ]* P(A) =  P(A)² + P(A ∩ B)

P(A)² - [P(A ∪ B) +  P(A ∩ B) ]* P(A) + P(A ∩ B) = 0

P(A)² - [ 0.626+0.144] * P(A) + 0.144 =0

P(A)² - 0.77* P(A) + 0.144 =0

thus

P(A)₁= 0.606 or P(A)₂= 0.1647

for P(A)₁→ P(B)₁ = P(A ∩ B) / P(A)₁ = 0.144/0.606 = 0.237

thus  P(A)₁ > P(B)₁ → correct

for P(A)₂→ P(B)₂ = P(A ∩ B) / P(A)₂ = 0.144/0.1647= 0.8743

thus  P(A)₂ < P(B)₂ → incorrect

therefore

P(A)= 0.606 and P(B)= 0.237

Manny bought 12 pounds of vegetables at the supermarket. 75% of the vegetables were on sale. How many pounds of vegetables were not on sale?

Answers

Answer:

3 pounds of vegetables bought were not on sale.

Step-by-step explanation:

Given:

Total pounds of vegetable bought by Manny = 12

Percentage of vegetables that are on sale = 75%

To find the pounds of vegetables that were not on sale.

Solution:

If the percentage of of vegetables that are on sale is 75%.

Then, the percentage of of vegetables that were not on sale is = [tex]100\%-75\%[/tex] = 25%

Total pounds of vegetable bought is 12 pounds, of which 25% were not on sale.

So, the pounds of vegetables that were not on sale is:

⇒ [tex]25\%\ of\ 12[/tex]

⇒ [tex]0.25\times 12[/tex]

⇒ 3

Thus, 3 pounds of vegetables bought were not on sale.

In a start-up company which has 20 computers, some of the computers are infected with virus. The probability that a computer is infected with the virus is 0.4, independently of other computers. A technician tests the computers, one after another, to see if they are infected.1. What is the probability that she has to test at least 5 computers to find the first (if any) defective one?2. Find the probability that on this day at least 5 computers are infected.

Answers

Answer:

(1) The probability that the technician tests at least 5 computers before the 1st defective computer is 0.078.

(2) The probability at least 5 computers are infected is 0.949.

Step-by-step explanation:

The probability that a computer is defective is, p = 0.40.

(1)

Let X = number of computers to be tested before the 1st defect is found.

Then the random variable [tex]X\sim Geo(p)[/tex].

The probability function of a Geometric distribution for k failures before the 1st success is:

[tex]P (X = k)=(1-p)^{k}p;\ k=0, 1, 2, 3,...[/tex]

Compute the probability that the technician tests at least 5 computers before the 1st defective computer is found as follows:

P (X ≥ 5) = 1 - P (X < 5)

              = 1 - [P (X = 0) + P (X = 1) + P (X = 2) + P (X = 3) + P (X = 4)]

              [tex]=1 -[(1-0.40)^{0}0.40+(1-0.40)^{1}0.40+(1-0.40)^{2}0.40\\+(1-0.40)^{3}0.40+(1-0.40)^{4}0.40]\\=1-[0.40+0.24+0.144+0.0864+0.05184]\\=0.07776\\\approx0.078[/tex]

Thus, the probability that the technician tests at least 5 computers before the 1st defective computer is 0.078.

(2)

Let Y = number of computers infected.

The number of computers in the company is, n = 20.

Then the random variable [tex]Y\sim Bin(20,0.40)[/tex].

The probability function of a binomial distribution is:

[tex]P(Y=y)={n\choose y}p^{y}(1-p)^{n-y};\ y=0,1,2,...[/tex]

Compute the probability at least 5 computers are infected as follows:

P (Y ≥ 5) = 1 - P (Y < 5)

             = 1 - [P (Y = 0) + P (Y = 1) + P (Y = 2) + P (Y = 3) + P (Y = 4)]               [tex]=1-[{20\choose 0}(0.40)^{0}(1-0.40)^{20-0}+{20\choose 1}(0.40)^{1}(1-0.40)^{20-1}\\+{20\choose 2}(0.40)^{2}(1-0.40)^{20-2}+{20\choose 3}(0.40)^{3}(1-0.40)^{20-3}\\+{20\choose 4}(0.40)^{4}(1-0.40)^{20-4}]\\=1-[0.00004+0.00049+0.00309+0.01235+0.03499]\\=1-0.05096\\=0.94904[/tex]

Thus, the probability at least 5 computers are infected is 0.949.

The following sample data are from a normal population: 10, 9, 12, 14, 13, 11, 6, 5.

a. What is the point estimate of the population mean?
b. What is the point estimate of the population standard deviation (to 2 decimals)?
c. With 95% confidence, what is the margin of error for the estimation of the population mean (to 1 decimal)?
d. What is the 95% confidence interval for the population mean (to 1 decimal)?

Answers

Final answer:

The point estimate of the population mean is 10, the point estimate for the population standard deviation is ~3.03. The margin of error for 95% confidence of the estimation of the mean is ~2.4. Therefore, the 95% confidence interval for the population mean is (7.6, 12.4).

Explanation:

To answer your questions, we begin by calculating basic measures of central tendency and variability.

a. The point estimate of the population mean is the average value of the data. It's calculated by adding up all the values and dividing by the number of values. In this case, (10+9+12+14+13+11+6+5)/8 = 10.

b. The point estimate of the population standard deviation (sd) is the root mean square deviation of the values from the mean. It's calculated by determining the square root of the variance, but let's use a calculator to get sd ≈ 3.03.

c. The margin of error for the estimation of the population mean at a 95% confidence level is calculated using the standard deviation and the size of the sample (for a t-distribution). This gives: MoE = t * (sd/sqrt(n)) ~ 2.3 * (3.03/sqrt(8)) = 2.44 (1 decimal place).

d. Finally, the 95% confidence interval for the population mean is determined by adding and subtracting the margin of error from the point estimate of the mean. Therefore, the 95% confidence interval for the mean is (10 - 2.4 , 10 + 2.4) = (7.6, 12.4).

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a. Point Estimate of Population Mean

Firstly, a point estimate for the population mean is the average of the sample data. For the given data (10, 9, 12, 14, 13, 11, 6, 5),  the point estimate is calculated by adding all the values and dividing by the number of observations:

(10 + 9 + 12 + 14 + 13 + 11 + 6 + 5) / 8 = 10

b. Point Estimate of Population Standard Deviation

To find the standard deviation, we use the formula for the sample standard deviation:

s =√[tex](\sum (x_i - \bar{x})^2[/tex] / (n - 1))

After calculating using the given data, we find that the point estimate of the population standard deviation, rounded to two decimal places, is s = 3.32.

c. Margin of Error for Mean Estimation

With the margin of error, we create the confidence interval by subtracting and adding the margin of error from the point estimate of the mean. This gives us the range of values in which we are 95% confident that the true population mean lies. The standard error of the sample mean is 3.24 / √8 ≈ 1.146,

so the margin of error at 95% confidence is  1.96 * 1.146 ≈ 2.24 (rounded to 1 decimal).

d. 95% Confidence Interval for Population Mean

The 95% confidence interval for the population mean is 10.375 ± 2.24, which gives us a range of (8.13, 12.62) (rounded to 1 decimal).

if the equation of m is given by y= ax + c, which of the following represents the perpendicular slope to m?
A. - 1/a
B. -a
C. 1/a
D. c

Answers

Answer: A. - 1/a

Step-by-step explanation:

Two lines are said to be perpendicular if the product of their slope equals -1 . That is , if the slope of the first line is [tex]m_{1}[/tex] and the slope of the second line is [tex]m_{2}[/tex] , if they are perpendicular , then :

[tex]m_{1}[/tex] x [tex]m_{2}[/tex] = -1.

Therefore : the perpendicular slope to m is [tex]\frac{-1}{a}[/tex]

Marine biologists have been studying the effects of acidification of the oceans on weights of male baluga whales in the Arctic Ocean. One of the studies involves a random sample of 16 baluga whales. The researchers want to create a 95% confidence interval to estimate the true mean weight of male baluga whales. Their data follow a normal distribution. The population standard deviation of weights of male baluga whales is LaTeX: \sigma = 125????=125 kg, and the researchers feel comfortable using this standard deviation for their confidence interval.
Use this information to answer Questions.
. Assuming the relevant requirements are met, calculate the margin of error in estimating the true mean weight of male baluga whales in the Artic Ocean.
15.31 kg
51.40 kg
61.25 kg
80.49 kg
Assuming the relevant requirements are met, what sample size would be required if the researchers wanted the margin of error to be 45 kg?
25
30
35
40
Are the requirements for the use of a confidence interval met? Explain.
Yes. The distribution of sample means is normal because the data are normal.
Yes. The distribution of sample means is normal because the sample size is large.
No. The distribution of sample means is not normal because the sample size is small.
No. The fact that the data are normal does not imply that the distribution of sample means is normal.

Answers

Answer: a) margin of error = 61.25, b) sample size when margin of error is 45 = 30

Step-by-step explanation:

The formulae to get the margin of error of a confidence interval is given as

Margin of error = critical value * (σ/√n)

Where σ = population standard deviation = 125

n = sample size = 16

Critical value =Zα/2 = 1.96 ( this is so because we are performing a 95% confidence level test then level of significance (α) will be 5% and since our test is of two values, it will be 2 tailed).

Margin of error = 1.96 * (125/√16)

Margin of error = 1.96 * 125/4

Margin of error = 1.96 * 31.25

Margin of error = 61.25

Question b)

Margin of error = 45

Critical value =Zα/2 = 1.96

Population standard deviation = σ = 125

Sample size =n =??

By recalling the formulae

Margin of error = critical value * (σ/√n)

45 = 1.96 * (125/√n)

45 = (1.96 * 125)/√n

45 = 245/√n

45 * √n = 245

√n = 245/ 45

√n = 5.444

n = (5.444)²

n= 29.64 which is approximately 30.

Final answer:

The margin of error calculation for estimating the mean weight of male baluga whales, determining the necessary sample size, and confirming the requirements for a confidence interval.

Explanation:

The margin of error in estimating the true mean weight of male baluga whales in the Arctic Ocean can be calculated using the formula:

Margin of Error = Z * (Standard Deviation / √sample size)

Given Z value for 95% confidence interval is 1.96,

Margin of Error = 1.96 * (125 / √16) = 61.25 kg.

To find the required sample size for a margin of error of 45 kg:

Set up the formula: Margin of Error = Z * (Standard Deviation / √sample size)Plug in the values: 45 = 1.96 * (125 / √sample size)Solve for the sample size: sample size ≈ 35

The requirements for the use of a confidence interval are considered met when the distribution of sample means is normal.

In this case, the distribution of sample means is normal because the sample size is large, ensuring the validity of utilizing a confidence interval for estimation.

7. Martin sells cars. He earns $100 per day, plus
any commission on his sales. His daily salary s in
dollars depends on the amount of commission c.
Write an equation to represent his daily salary.

Answers

S = 100 + C

S is his daily salary, what you’re trying to find.

We know he makes $100 per day, so that’ll be part of our equation.

In addition to $100, he makes commission on his sales daily. Since there is no defined amount for these commissions, we use c.

So, he makes $100 + the value of c every day.

Answer:the equation representing his daily salary is

s = 100 + c

Step-by-step explanation:

Let s represent the Salary that Martins earns per day.

Let c represent the commission that Martins earns on his sales on that day.

He earns $100 per day, plus

any commission on his sales. Since

his daily salary in dollars depends on the amount of commission, then an equation to represent his daily salary would be

s = 100 + c

Suppose that the probability of a defective part is 0.03. Suppose that you have a shipment of 1000 parts. What is the probability that more than 10 parts will be defective? Answer to at least five decimal places. You may find it easier to use excel than to use a calculator for this one.

Answers

Answer:

The probability that more than 10 parts will be defective is 0.99989.

Step-by-step explanation:

Let X = a part in the shipment is defective.

The probability of a defective part is, P (Defect) = p = 0.03.

The size of the sample is: n = 1000.

Thus, the random variable [tex]X\sim Bin(1000, 0.03)[/tex].

But the sample size is very large.

The binomial distribution can be approximated by the Normal distribution if the following conditions are satisfied:

np ≥ 10n (1 - p) ≥ 10

Check the conditions:

[tex]np=1000\times0.03=30>10\\n(1-p)=1000\times(1-0.03)=970>10[/tex]

Thus, the binomial distribution can be approximated by the Normal distribution.

The sample proportion (p) follows a normal distribution.

Mean: [tex]\mu_{p}=0.03[/tex]

Standard deviation: [tex]\sigma_{p}=\sqrt{\frac{p(1-p)}{n} } =\sqrt{\frac{0.03(1-0.03)}{1000} } =0.0054[/tex]

Compute the probability that there will be more than 10 defective parts in this shipment as follows:

The proportion of 10 defectives in 1000 parts is: [tex]p=\frac{10}{1000}=0.01[/tex]

The probability is:

[tex]P(p>0.01)=P(\frac{p-\mu_{p}}{\sigma_{p}}> \frac{0.01-0.03}{0.0054}) =P(Z>-3.704)=P(Z<3.704)[/tex]

Use the standard normal table for the probability.

[tex]P(p>0.01)=P(Z<3.704)=0.99989[/tex]

Thus, the probability that more than 10 parts will be defective is 0.99989.

Determine whether the statement is true or false. Justify your answer.
If A and B are independent events with nonzero probabilities, then A can occur when B occurs.

Answers

Answer:Yes (A can occur when B occurs)

Step-by-step explanation: Independent events are events that are not determined by the occurrence of another. In this case EVENT A CAN OCCUR AS EVENT B OCCURS.

Justification: Landing on tails after tossing a coin and landing on a Five (5) after rolling the DIE Landing on Six (6) after rolling a DIE and landing on tails after tossing a coin.

Independent probabilities can occur together,they don't depend on each other.

Estimate the minimum and maximum ages for typical textbooks currently used in college courses, then use the range rule of thumb to estimate the standard deviation. Next, find the size of the sample required to estimate the mean age (in years) of textbooks currently used in college courses. Use a 90% confidence level and assume that the sample mean will be in error by no more than 0.25 year.

Answers

Answer:

[tex]n=(\frac{1.64(4)}{0.25})^2 =688.537 \approx 689[/tex]

So the answer for this case would be n=689 rounded up to the nearest integer

Step-by-step explanation:

Assuming this complete question: "Suppose that the minimum and maximum ages for typical textbooks currently used in college courses are 0 and 8 years. Use the range rule of thumb to estimate the standard deviation.

Estimate the minimum and maximum ages for typical textbooks currently used in college courses, then use the range rule of thumb to estimate the standard deviation. Next, find the size of the sample required to estimate the mean age (in years) of textbooks currently used in college courses. Use a 90% confidence level and assume that the sample mean will be in error by no more than 0.25 year."

Solution for the problem

First we need ti find the estimation for the standard deviation using the Rule of thumb, with the following formula:

[tex] s \approx \frac{R}{4}[/tex]

Where R is the range defined as :

[tex] R = Max - Min = 8-0 = 8[/tex]

So then the deviation would be approximately:

[tex] s \approx 4[/tex]

Important concepts

A confidence interval is "a range of values that’s likely to include a population value with a certain degree of confidence. It is often expressed a % whereby a population means lies between an upper and lower interval".

The margin of error (ME) is the range of values below and above the sample statistic in a confidence interval.

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".

The margin of error is given by this formula:

[tex] ME=z_{\alpha/2}\frac{\sigma}{\sqrt{n}}[/tex]    (1)

And on this case we have that [tex]ME =\pm 0.25[/tex] and we are interested in order to find the value of n, if we solve n from equation (1) we got:

[tex]n=(\frac{z_{\alpha/2} \sigma}{ME})^2[/tex]   (2)

We can assume that the estimator for the population deviation from the rule of thumb is [tex]\hat \sigma = s= 4[/tex]

The critical value for 90% of confidence interval now can be founded using the normal distribution. And in excel we can use this formla to find it:"=-NORM.INV(0.05;0;1)", and we got [tex]z_{\alpha/2}=1.64[/tex], replacing into formula (2) we got:

[tex]n=(\frac{1.64(4)}{0.25})^2 =688.537 \approx 689[/tex]

So the answer for this case would be n=689 rounded up to the nearest integer

Final answer:

To estimate textbook ages, an assumed range of 1 to 20 years might give an estimated standard deviation of 4.75 years. Using the formula for sample size, about 275 textbooks would need to be sampled to estimate the mean age to within 0.25 years with 90% confidence.

Explanation:

To estimate the minimum and maximum ages for typical textbooks currently used in college courses, we need more specific information. However, if we assume a range of 1 to 20 years, this would give us a range of 19 years. We can use the range rule of thumb for estimating the standard deviation, which is the range divided by 4. So the estimated standard deviation of the textbook ages is 19 / 4 = 4.75 years.

To find the required sample size to estimate the mean age of textbooks, we use the equation n = (Z*σ/E)^2 where Z is the z-score corresponding to the desired confidence level, σ is the standard deviation, and E is the maximum tolerable error. For a 90% confidence level, the z-score is 1.645. Thus with σ = 4.75 and E = 0.25. Filling these values into our equation we get: n = (1.645*4.75/0.25)^2 = 274.68. Rounded up, we need a sample of size 275 textbooks to estimate the mean age to within 0.25 years with 90% confidence.

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Suppose George loses 66​% of all staring contests. ​(a) What is the probability that George loses two staring contests in a​ row? (b) What is the probability that George loses four staring contests in a​ row? Assume that each game played is independent of the rest.

Answers

Answer:

a) 43.56% probability that George loses two staring contests in a​ row.

b) 18.97% probability that George loses four staring contests in a​ row.

Step-by-step explanation:

In each staring contest, George has a 66% probability of losing.

(a) What is the probability that George loses two staring contests in a​ row?

[tex]P = (0.66)^{2} = 0.4356[/tex]

43.56% probability that George loses two staring contests in a​ row.

(b) What is the probability that George loses four staring contests in a​ row? Assume that each game played is independent of the rest.

[tex]P = (0.66)^{4} = 0.1897[/tex]

18.97% probability that George loses four staring contests in a​ row.

Final answer:

The probability of George losing two staring contests in a row is approximately 43.56%, while the probability of him losing four staring contests in a row is approximately 19.7%.

Explanation:

To calculate the probability that George loses two staring contests in a row, we need to multiply the probability of losing one staring contest by itself. Since George loses 66% of all staring contests, the probability of losing one contest is 0.66. Therefore, the probability of losing two contests in a row is 0.66 multiplied by 0.66, which is approximately 0.4356 or 43.56%.


To calculate the probability that George loses four staring contests in a row, we again need to multiply the probability of losing one contest by itself four times. So, the probability is 0.66 raised to the power of 4, which is approximately 0.197 or 19.7%.

Determine if the following is consistent Subscript[x, 1] - 2 Subscript[x, 2] + Subscript[x, 3] = 0 Subscript[ , ] 2Subscript[x, 2] - 8Subscript[x, 3] = 8 5Subscript[x, 1] - 5Subscript[x, 3] = 10

Answers

Answer:

The systems of equation is CONSISTENT

Step-by-step explanation:

The detailed steps using crammers rule to ascertain the CONSISTENCY is as shown in the attached file

An important tool in archeological research is radiocarbon dating, developed by the American chemist Willard F. Libby.3 This is a means of determining the age of certain wood and plant remains, and hence of animal or human bones or artifacts found buried at the same levels. Radiocarbon dating is based on the fact that some wood or plant remains contain residual amounts of carbon-14, a radioactive isotope of carbon. This isotope is accumulated during the lifetime of the plant and begins to decay at its death. Since the half-life of carbon-14 is long (approximately 5730 years),4 measurable amounts of carbon-14 remain after many thousands of years. If even a tiny fraction of the original amount of carbon-14 is still present, then by appropriate laboratory measurements the proportion of the original amount of carbon-14 that remains can be accurately determined. In other words, if Q(t) is the amount of carbon-14 at time t and Q0 is the original amount, then the ratio Q(t)/Q0 can be determined, as long as this quantity is not too small. Present measurement techniques permit the use of this method for time periods of 50,000 years or more.

Answers

(a) Assuming that Q satisfies the differential equation Q' = -rQ, determine the decay constant r for carbon-14. (b) Find an expression for Q(t) at any time t, if Q(0) = Qo. (c) Suppose that certain remains are discovered in which the current residual amount of carbon-14 is 20% of the original amount. Determine the age of these remains.

Answer:

a) r = (In 2)/(t1/2) = (In 2)/5730 = 0.000121/year

b) Q(t) = Q₀ (e^-rt)

c) Are of the 20% remnant of Carbon-14 = 13301.14 years.

Step-by-step explanation:

Q' = -rQ

Q' = dQ/dt

dQ/dt = -rQ

dQ/Q = -rdt

Integrating the left hand side from Q₀ to Q₀/2 and the right hand side from 0 to t1/2 (half life, t1/2 = 5730 years)

In ((Q₀/2)/Q₀) = -r(t1/2)

In (1/2) = -r(t1/2)

In 2 = r(t1/2)

r = (In 2)/(t1/2) = (In 2)/5730 = 0.000121 /year

b) Q' = -rQ

Q' = dQ/dt

dQ/dt = -rQ

dQ/Q = -rdt

Integrating the left hand side from Q₀ to Q(t) and the right hand side from 0 to t.

In (Q(t)/Q₀) = -rt

Q(t)/Q₀ = e^(-rt)

Q(t) = Q₀ (e^-rt)

c) Q(t) = Q₀ (e^-rt)

Q(t) = 0.2Q₀, t = ? and r = 0.000121/year

0.2Q₀ = Q₀ (e^-rt)

0.2 = e^-rt

In 0.2 = -rt

-1.6094 = - 0.000121 × t

t = 1.6094/0.000121 = 13301.14 years.

Hope this Helps!

Final answer:

Radiocarbon dating is a method used in archeological research to determine the age of artifacts based on the ratio of carbon-14 to the original amount. This technique is limited to time periods of 50,000 years or more.

Explanation:

Radiocarbon dating is an important tool in archeological research that allows scientists to determine the age of wood, plant remains, and other artifacts. This method is based on the fact that some wood or plant remains contain residual amounts of carbon-14, a radioactive isotope of carbon. By measuring the ratio of carbon-14 to the original amount, scientists can accurately determine the age of these remains. Radiocarbon dating is limited to time periods of 50,000 years or more.

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1. How do you multiply powers with the same base?

2. How do you divide powers with the same base?

3. How do you find the power of a power?

4. Simplify. (x^2*x^4)^3
____________

X^8

Answers

Answer:

[tex]\frac{(x^2\times x^4)^3}{x^8}[/tex] [tex]=x^{10}[/tex]

Step-by-step explanation:

1.

Power of the same base multiply by adding their exponent.

Example: [tex]a^m\times a^n = a^{(m+n)}[/tex]

2.

Power of the same base divide by subtracting their exponent.

Example:[tex]a^m \div a^n = a^{(m-n)}[/tex]

3.

Find power of a power we may multiple the exponent.

Example:[tex](a^m)^n = a^{mn}[/tex]

4.

[tex]\frac{(x^2\times x^4)^3}{x^8}[/tex]

[tex]=\frac{(x^6)^3}{x^8}[/tex]   [ using multiplication rule]

[tex]=\frac{(x^{18})}{x^8}[/tex]  [ using power of power rule]

[tex]=x^{18-8}[/tex]  [ Using division rule]

[tex]=x^{10}[/tex]

Other Questions
The author of Catch-22 was probably MOST influenced by Group of answer choicesa dreadful fear of not being the best at everything.a fascination with bomber aircraft.his disdain for bureaucracies.the loss of his first love. Given: x is an integer. Conjecture: -x is negative. Counterexample: Sinclair Pharmaceuticals, a small drug company, develops a vaccine that will protect against Helicobacter pylori, a bacteria that is the cause of a number of diseases of the stomach. It is expected that Sinclair Pharmaceuticals will experience extremely high growth over the next three years and will reinvest all of its earnings in expanding the company over this time. Earnings were $ 1.15 per share before the development of the vaccine and are expected to grow by 40% per year for the next three years. After this time, it is expected growth will drop to 3 % and stay there for the expected future. Four years from now Sinclair will pay dividends that are 75% of its earnings. Required: 1. If its equity cost of capital is 12 %, what is the value of a share of Sinclair Pharmaceuticals today? 1/4(10-7y)=15Solve for y What is the business importance of managing the quality of business processes? Describe two methods of quality management. The length of a rectangle is 2 feet more than the width. If its perimeter is 40 feet, find the length and width PLZ answer this question correctly The accompanying frequency distribution represents the square footage of a random sample of 500 houses that are owner occupied year round. Approximate the mean and standard deviation square footage. statcrunch Square footage Frequency 0- 499 500 999 13 1,000 1.499 33 1,500 1.999 115 2,000- 2.499 125 2,500 2.999 81 3,000- 3.499 3,500- 3.999 45 4,000 4.499 22 4,500 4.999 10 Which statement about dialogues is NOT correct? Select one: A. Users should be able to control the direction of speed of dialogues. B. Dialogues may appear automatically. C. Dialogues need to provide relevant, context-specific information for tasks. D. Dialogues should change with each use by a single use During Meiosis, the alleles on each gene will separate individually into the gametes. This means that no matter what alleles were paired together in the parent, each gamete receives one allele. Mendel stated this to be the Law of **A. Gene AssortmentB. Independent AssortmentC. Gene RegulationD. Independent Segregation why were the Athenians able to make so many contributions ti western civilization Sonia Soans is a corporate trainer. One of her favorite ways to start a training program is to present a case study and encourage members to think of the case in depth and discuss it amongst each other. Using the results of the activity, she understands the baseline measures of the group's functioning. During one of her recent sessions, she observed that the group came to a consensus very quickly. However, when asked to present their views, the team members were not too confident and appeared to be under an illusion of unanimity You roll a six-sided die. How likely is it that you roll a number less than 6?A)certainB)likelyC)unlikelyD)impossible 1/6 / 1 2/3 divide fraction to simplest form Social dumping occurs when an exporting countryA. imposes an export tax on domestic businesses that export, to compensate for the opportunity cost to the domestic market.B. creates unfair competition based on lower costs because the exporting country provides little social support system to the worker.C. targets markets that consist of specific vulnerable groups in the importing country.D. exports good that are not sellable in the domestic environment due to hazards and safetyissues. The Scarlet Pages, a semi-professional hockey team, prepare financial statements on a monthly basis. Their season begins in October, but in September the team engaged in the following transactions:________(a) Paid $150,000 to Oklahoma City as advance rent for use of Oklahoma City Arena for the six-month period October 1 through March 31.(b) Collected $450,000 cash from sales of season tickets for the teams 30 home games. This amount was credited to Unearned Ticket Revenue.(c) During the month of October, the Scarlet Pages played five home games. I do not get how to do this problem Discuss the ways in which public perceptions of the Vietnam War changed between 1964 (the time of the Gulf of Tonkin Resolution) and 1969 (the year in which Nixon was inaugurated). Then discuss the ways in which Nixon's policies may have affected public perceptions of the war. What combination equals 12345 Is it just when everyone gets equal shares regardless of need, when people get only the shares they merit or deserve (e.g., based on work or talent, or the work or talent of those who love them), or when everyones shares are adjusted somewhat to give all people a chance to meet their basic needs? Which principle of justice seems the most correct to you and why?