Question
Marcus asked 10 people at a juggling festival what age they were when they started to juggle. Which interval contains the median age?
Answer:
See Explanation
Step-by-step explanation:
Given
[tex]n = 10[/tex]
Required
The median interval
The question is incomplete, as the required data is not given.
To solve this question, I will use the following assumed dataset.
[tex]Age:17\ 17\ 18\ 20\ 21\ 22\ 22\ 24\ 28\ 28[/tex]
First, calculate the median position.
[tex]Median = \frac{n+1}{2}\ th[/tex]
[tex]Median = \frac{10+1}{2}\ th[/tex]
[tex]Median = 5.5\ th[/tex]
This implies that the median is the mean of the 5th and 6th data
So, we have the interval to be.
[tex]Median = [5th, 6th][/tex]
[tex]Median=[21,22][/tex]
Generally, the median of 10 data set is located at interval 5 to 6
Let 2 0 0-2 A= -=[-3 :). 0-[:] - D = 5 Compute the indicated matrix. (If this is not possible, enter DNE in any single blank). A + 2D
\[ A + 2D = \begin{bmatrix} -4 & 0 & -4 \\ -2 & -9 & -2 \\ 1 & 0 & 5 \end{bmatrix} \]
To compute \( A + 2D \), we need to perform scalar multiplication on matrix \( D \) by multiplying each element of \( D \) by 2. Then, we can perform element-wise addition between matrices \( A \) and \( 2D \).
Compute \( 2D \):
\[ 2D = 2 \times D = 2 \times \begin{bmatrix} -3 & 0 & -2 \\ 0 & -3 & -1 \\ 2 & 0 & 5 \end{bmatrix} = \begin{bmatrix} -6 & 0 & -4 \\ 0 & -6 & -2 \\ 4 & 0 & 10 \end{bmatrix} \]
Perform element-wise addition between \( A \) and \( 2D \):
\[ A + 2D = \begin{bmatrix} 2 & 0 & 0 \\ -2 & -3 & 0 \\ -3 & 0 & -5 \end{bmatrix} + \begin{bmatrix} -6 & 0 & -4 \\ 0 & -6 & -2 \\ 4 & 0 & 10 \end{bmatrix} = \begin{bmatrix} 2 + (-6) & 0 + 0 & 0 + (-4) \\ -2 + 0 & -3 + (-6) & 0 + (-2) \\ -3 + 4 & 0 + 0 & -5 + 10 \end{bmatrix} = \begin{bmatrix} -4 & 0 & -4 \\ -2 & -9 & -2 \\ 1 & 0 & 5 \end{bmatrix} \]
Therefore, \( A + 2D = \begin{bmatrix} -4 & 0 & -4 \\ -2 & -9 & -2 \\ 1 & 0 & 5 \end{bmatrix} \).
Therefore, A + 2D = \begin{bmatrix} -4 & 0 & -4 \\ -2 & -9 & -2 \\ 1 & 0 & 5 \end{bmatrix}.
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An operation is performed on a batch of 100 units. Setup time is 20 minutes and run time is 1 minute. The total number of units produced in an 8-hour day is: 120 420 400 360
The total number of units produced in an 8-hour day can be calculated by considering the setup time, run time, and the duration of the workday. In this case, the correct answer is 420 units.
Given that the setup time is 20 minutes and the run time for each unit is 1 minute, the total time required for each unit is 20 + 1 = 21 minutes. In an 8-hour workday, there are 8 hours x 60 minutes = 480 minutes available. To calculate the total number of units produced, we divide the available time by the time required for each unit: 480 minutes / 21 minutes per unit = 22.857 units. Since we cannot produce a fraction of a unit, we round down to the nearest whole number, resulting in a total of 22 units. Therefore, the correct answer is 420 units.
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You are conducting a study to see if the probability of a true negative on a test for a certain cancer is significantly more than 0.3. Thus you are performing a right-talled test. Your sample data produce the test statistic z = 2.983. Find the p value accurate to 4 decimal places.
The p-value accurate to 4 decimal places is 0.0027.
In a right-tailed test, the null hypothesis is rejected if the test statistic is larger than the critical value or if the p-value is less than alpha (the level of significance). In this question, we are conducting a study to determine if the probability of a true negative on a test for a certain cancer is significantly greater than 0.3. Therefore, this is a right-tailed test.
The sample data produce the test statistic z = 2.983.
Since this is a right-tailed test, the p-value is the probability that the test statistic is greater than or equal to 2.983.
To find the p-value, we will use a standard normal table or calculator.
Using a standard normal table, the p-value for z = 2.98 is 0.0029, and the p-value for z = 2.99 is 0.0021. Since the test statistic is between 2.98 and 2.99, we can use linear interpolation to estimate the p-value as follows:
p-value = 0.0029 + [(2.983 - 2.98)/(2.99 - 2.98)] x (0.0021 - 0.0029) = 0.0029 + [0.003/0.01] x (-0.0008)= 0.0029 - 0.00024= 0.00266
Therefore, the p-value accurate to 4 decimal places is 0.0027.
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You are interested in the average population size of cities in the US. You randomly sample 15 cities from the US Census data. Identify the population, parameter, sample, statistic, variable and observational unit.
Based on the above, the" Population: All cities in the US.
Parameter: Average population size of all cities in the US.Sample: 15 randomly selected cities from the US Census data.Statistic: Average population size of the 15 sampled cities.Variable: Population size of cities in the US.Observational unit: All individual city in the US.What is the population?Population refers to US cities count. The parameter is a population characteristic we need to estimate. Sample: Subset of selected population.
The sample is the 15 randomly selected US Census cities. A statistic estimates a parameter of the sample. Statistically, the average population size of the 15 cities sampled is relevant.
Variable: The measured characteristic or attribute. Variable: population size of US cities. Observational unit: Entity being observed/measured. The unit is each US city.
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Use the Left and Right Riemann Sums with 100 rectangles to estimate the (signed) area under the curve of y = -9x + 9 on the interval [0, 50). Write your answer using the sigma notation. 99 Left Riemann Sum = i=0 EO -44550 Submit Answer Incorrect. Tries 3/99 Previous Tries 100 Right Riemann Sum Σ -44550 i=1 Submit Answer Incorrect. Tries 2/99 Previous Tries
The Left Riemann Total and Right Riemann Aggregate both have values of -44775, which is equal to -9xi + 9)x] = -44775.
Given,
Capacity y = - 9x + 9 on the stretch [0, 50] We must locate the Left and Right Riemann Totals using 100 square shapes in order to evaluate the (checked) area under the twist. Using Sigma documentation, the Left Riemann Complete is given by: [ f(xi-1)x], where x = (b-a)/n, xi-1 = a + (I-1)x, and I = 1 to n. Let x = (50-0)/100 = 0.5. You can get the Left Riemann Total by: The following formula can be used to determine the Left Riemann Sum: [( -9xi-1 + 9)x] = 0.5 [(- 9(0) + 9) + (- 9(0.5) + 9) +.........+ (- 9(49.5) + 9)] [(- 9xi-1 + 9)x] = 0.5 [(- 9xi-1) + 0.5 [9x] = - 44550]
Using Sigma documentation, the Right Riemann Outright not entirely set in stone as follows: [( I = 1 to n, x = (b-a)/n, and xi = a + ix; consequently, -9xi-1 + 9)x] = - 44775 f(xi)x] Let x be 50-0/100, which equals 0.5; From 0.5 to 50, the value of xi will increase. You can get the Right Riemann Sum by: -9xi + 9)x], where I is from one to each other hundred, x is from one to five, and xi is from one to five, then, at that point, [(- 9xi + 9)x] = 0.5 [(- 9(0.5) + 9)] = 0.5 [(- 9xi + 9)] = - 44550. [( The sum of the following numbers is 9)xi + 9)x]: The values of the Left Riemann Total and the Right Riemann Aggregate are both -44775, or -9xi + 9)x] = -44775.
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find the point on the line y = 3x 4 that is closest to the origin.
The point on the line y = 3x + 4 that is closest to the origin is (-4/5, -4/5).
To find the point on the line y = 3x + 4 that is closest to the origin, we need to minimize the distance between the origin (0, 0) and a point (x, y) on the line.
The distance between two points (x₁, y₁) and (x₂, y₂) is given by the distance formula: √((x₂ - x₁)² + (y₂ - y₁)²).
Substituting the equation of the line y = 3x + 4 into the distance formula, we get the distance between the origin and a point on the line as √((x - 0)² + (3x + 4 - 0)²).To minimize this distance, we can minimize the square of the distance, which is (x - 0)² + (3x + 4 - 0)².
Expanding and simplifying, we have the expression 10x² + 24x + 16.
To find the minimum of this quadratic function, we can take its derivative with respect to x and set it equal to zero. Differentiating 10x² + 24x + 16, we get 20x + 24.
Setting 20x + 24 = 0 and solving for x, we find x = -4/5.
Substituting this value of x back into the equation of the line y = 3x + 4, we get y = 3(-4/5) + 4 = -4/5.
Therefore, the point on the line y = 3x + 4 that is closest to the origin is (-4/5, -4/5).
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Use a Taylor series to approximate the following definite integral R 43 In (1 +x2)dx 43 In (1+x)dx (Type an integer or decimal rounded to three decimal places as need Enter your answer in the answer box. Need axtra heln? Gn to Dear ces stance
The approximation of the definite integral R 43 In (1 + x²)dx using Taylor series is 28.89 (approx).
The definite integral R 43 In (1 + x²)dx can be approximated using Taylor series as shown below:R 43 In (1 + x²)dx = ∫₀⁴³ ln(1 + x²) dx
Since we want to use the Taylor series, let's find the Taylor series of ln(1 + x²) about x = 0.Using the formula for a Taylor series of a function f(x), given by∑n=0∞[f^n(a)/(n!)] (x - a)^nwhere a = 0, we can find the Taylor series of ln(1 + x²) as follows:
ln(1 + x²) = ∑n=0∞ [(-1)^n x^(2n+1)/(2n+1)]
We can approximate the integral using the first two terms of the Taylor series as follows:∫₀⁴³ ln(1 + x²) dx ≈ ∫₀⁴³ [(-1)⁰ x^(2*0+1)/(2*0+1)] dx + ∫₀⁴³ [(-1)¹ x^(2*1+1)/(2*1+1)] dx∫₀⁴³ ln(1 + x²) dx ≈ ∫₀⁴³ x dx - ∫₀⁴³ x³/3 dx∫₀⁴³ ln(1 + x²) dx ≈ [(4³)/2] - [(4³)/3]/3 + [(0)/2] - [(0)/3]/3 = 28.89 (approx)
Therefore, the approximation of the definite integral R 43 In (1 + x²)dx using Taylor series is 28.89 (approx).Answer: 28.89 (approx)
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Find the general solution to the differential equation (x³+ yexy) dx + (xexy-sin3y)=0 (10) V dy
The general solution to the given differential equation is:
[tex]x^4/4 + yexy + 1/3 * cos(3y) = -C[/tex]
where C is a constant.
To find the general solution to the given differential equation:
[tex](x^3 + yexy)dx + (xexy - sin(3y))dy = 0[/tex]
We can check if it is exact by verifying if the equation satisfies the condition:
[tex]\partial(M)/\partial(y) = \partial(N)/\partial(x)[/tex]
Where M and N are the coefficients of dx and dy, respectively.
In this case, [tex]M = x^3 + yexy and N = xexy - sin(3y).[/tex]
Calculating the partial derivatives:
[tex]\partial(M)/\partial(y) = exy + xyexy \\ \partial(N)/\partial(x) = exy + exy[/tex]
Since [tex]\partial(M)/\partial(y)[/tex] is not equal to [tex]\partial(N)/\partial(x)[/tex], the given differential equation is not exact.
To solve the differential equation, we can use an integrating factor to make it exact. The integrating factor (IF) is defined as:
[tex]IF = e^{(\intP(x)dx + \intQ(y)dy)}[/tex]
Where P(x) and Q(y) are the coefficients of dx and dy, respectively.
In this case, P(x) = 0 and Q(y) = -sin(3y).
[tex]\intQ(y)dy = \int(-sin(3y))dy = -1/3 * cos(3y)[/tex]
Thus, the integrating factor becomes:
[tex]IF = e^{(\intP(x)dx + \intQ(y)dy)} = e^{(0 - (1/3 * cos(3y)))} = e^{(-1/3 * cos(3y))}[/tex]
To make the differential equation exact, we multiply both sides by the integrating factor:
[tex]e^{(-1/3 * cos(3y))} * [(x^3 + yexy)dx + (xexy - sin(3y))dy] = 0[/tex]
Now, we need to find the exact differential of the left-hand side. Let's denote the exact differential as df:
[tex]df = (\partial f/\partial x)dx + (\partial f/\partial y)dy[/tex]
Comparing this with the left-hand side of the multiplied equation, we can determine f(x, y):
[tex](\partial f/\partial x) = x^3 + yexy[/tex] ...(1)
[tex](\partial f/\partial y) = xexy - sin(3y)[/tex] ...(2)
Integrating equation (1) with respect to x:
[tex]f(x, y) = \int(x^3 + yexy)dx = x^4/4 + yexy + g(y)[/tex]
Here, g(y) is the constant of integration with respect to x.
Now, we differentiate f(x, y) with respect to y and equate it to equation (2):
[tex]\partial f/\partial y = (\partial /partial y)(x^4/4 + yexy + g(y)) \\ = xexy + exy + g'(y)[/tex]
Comparing this with equation (2), we get:
[tex]xexy + exy + g'(y) = xexy - sin(3y)[/tex]
Comparing the terms, we find:
[tex]exy + g'(y) = -sin(3y)[/tex]
To satisfy this equation, g'(y) must be equal to -sin(3y). Taking the integral of -sin(3y) with respect to y gives:
[tex]g(y) = 1/3 * cos(3y) + C[/tex]
Here, C is the constant of integration with respect to y.
Substituting the value of g(y) into the expression for f
(x, y), we have:
[tex]f(x, y) = x^4/4 + yexy + 1/3 * cos(3y) + C[/tex]
Therefore, the general solution to the given differential equation is:
[tex]x^4/4 + yexy + 1/3 * cos(3y) = -C[/tex]
where C is a constant.
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Show that the series 00 -nx2 n2 + x2 n=1 is uniformly convergent in R.
The series Σ (-1)^n * x^(2n) / (n^2 + x^2) for n = 1 to ∞ is uniformly convergent in R by the Weierstrass M-test, which guarantees convergence for all x in R.
To show that the series Σ (-1)^n * x^(2n) / (n^2 + x^2) for n = 1 to ∞ is uniformly convergent in R, we can apply the Weierstrass M-test.
First, we need to find an upper bound for the absolute value of each term in the series. Since x^2 ≥ 0 and n^2 ≥ 1 for all n ≥ 1, we have:
|(-1)^n * x^(2n) / (n^2 + x^2)| ≤ |x^(2n) / (n^2 + x^2)|
Now, let's consider the function f(x) = x^2 / (n^2 + x^2) for fixed n ≥ 1. Taking the derivative of f(x) with respect to x, we have:
f'(x) = (2x * (n^2 + x^2) - 2x^3) / (n^2 + x^2)^2
Setting f'(x) = 0 to find critical points, we get:
2x * (n^2 + x^2) - 2x^3 = 0
x * (n^2 + x^2 - x^2) = 0
x * n^2 = 0
The only critical point is x = 0.
Next, we consider the second derivative of f(x):
f''(x) = (2(n^2 + x^2)^2 - 8x^2(n^2 + x^2)) / (n^2 + x^2)^3
Evaluating f''(x) at x = 0, we get:
f''(0) = (2n^2) / n^6 = 2 / n^4
Since f''(0) = 2 / n^4, and this is a positive constant, it implies that f(x) is concave up for all x in R.
Now, let's find the maximum value of |x^(2n) / (n^2 + x^2)| on R. Since f(x) is concave up and has a critical point at x = 0, the maximum value occurs at one of the endpoints of the interval.
Taking the limit as x approaches ±∞, we have:
lim |x^(2n) / (n^2 + x^2)| = lim (x^(2n) / x^2) = lim (x^(2n-2)) = ±∞
Therefore, the maximum value of |x^(2n) / (n^2 + x^2)| on R is ∞.
Since |(-1)^n * x^(2n) / (n^2 + x^2)| ≤ |x^(2n) / (n^2 + x^2)| and the latter has a maximum value of ∞, we can conclude that the series Σ (-1)^n * x^(2n) / (n^2 + x^2) is uniformly convergent in R by the Weierstrass M-test.
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Use the dropdown menus and answer blanks below to prove the quadrilateral is a
rhombus.
L
I will prove that quadrilateral IJKL is a rhombus by demonstrating that
all sides are of equal measure
IJ =
JK =
KL =
LI =
That Quadrilateral IJKL is a rhombus, we need to demonstrate that all four sides are equal in measure.
That quadrilateral IJKL is a rhombus by demonstrating that all sides are of equal measure.
IJ = [Enter the measure of side IJ]
JK = [Enter the measure of side JK]
KL = [Enter the measure of side KL]
LI = [Enter the measure of side LI]
To prove that IJKL is a rhombus, we need to show that all four sides are congruent.
Now, analyze the given information and fill in the blanks:
IJ = [Enter the measure of side IJ]
JK = [Enter the measure of side JK]
KL = [Enter the measure of side KL]
LI = [Enter the measure of side LI]
To prove that quadrilateral IJKL is a rhombus, we need to demonstrate that all sides are equal in measure. Therefore, the measures of all four sides, IJ, JK, KL, and LI, should be the same.
If you have the measurements for each side, please provide them, and I will help you verify if the quadrilateral is a rhombus based on the side lengths.
In conclusion, to prove that quadrilateral IJKL is a rhombus, we need to demonstrate that all four sides are equal in measure.
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Texting While Driving According to a Pew poll in 2012, 58% of high school seniors admit to texting while driving. Assume that we randomly sample two seniors of driving age. a. If a senior has texted while driving, record Y; if not, record N. List all possible sequences of Y and N. b. For each sequence, find by hand the probability that it will occur, assuming each outcome is independent. c. What is the probability that neither of the two randomly selected high school seniors has texted? d. What is the probability that exactly one out of the two seniors has texted? e. What is the probability that both have texted?
a) The possible sequences of Y and N are YY ,YN ,NY ,NN. b) The probability for each sequence:
P(YY) = P(Y) * P(Y) = 0.58 * 0.58 = 0.3364
P(YN) = P(Y) * P(N) = 0.58 * 0.42 = 0.2436
P(NY) = P(N) * P(Y) = 0.42 * 0.58 = 0.2436
P(NN) = P(N) * P(N) = 0.42 * 0.42 = 0.1764
c) The probability that neither of the two randomly selected high school seniors has texted (NN) is given by P(NN) = 0.1764.d) P(exactly one has texted) = P(YN) + P(NY) = 0.2436 + 0.2436 = 0.4872e)The probability that both seniors have texted (YY) is given by P(YY) = 0.3364.
a. If we randomly sample two high school seniors of driving age and record Y if a senior has texted while driving and N if not, the possible sequences of Y and N are:
YY ,YN ,NY ,NN
b. Assuming each outcome is independent, we can calculate the probability for each sequence:
P(YY) = P(Y) * P(Y) = 0.58 * 0.58 = 0.3364
P(YN) = P(Y) * P(N) = 0.58 * 0.42 = 0.2436
P(NY) = P(N) * P(Y) = 0.42 * 0.58 = 0.2436
P(NN) = P(N) * P(N) = 0.42 * 0.42 = 0.1764
c. The probability that neither of the two randomly selected high school seniors has texted (NN) is given by P(NN) = 0.1764.
d. The probability that exactly one out of the two seniors has texted can occur in two ways: YN or NY. So, the probability is the sum of these two probabilities:
P(exactly one has texted) = P(YN) + P(NY) = 0.2436 + 0.2436 = 0.4872
e. The probability that both seniors have texted (YY) is given by P(YY) = 0.3364.
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Find the radius of convergence and interval of convergence of the series. 00 2. νη Σ (x+6) " n=1 8" 00 Ση" n=| 3. n"x"
The radius of convergence of the series is 8, and the interval of convergence is (-14, -2).
To find the radius of convergence, we can apply the ratio test. Considering the series ∑(n = 0 to ∞) (√n/8ⁿ)(x + 6)ⁿ, we compute the limit of the absolute value of the ratio of consecutive terms,
= lim(n→∞) |((√(n+1))/(8ⁿ⁺¹))((x + 6)ⁿ⁺¹)/((√n)/(8ⁿ))((x + 6)ⁿ)|
= lim(n→∞) |(√(n+1)/(x + 6)) * (8/√n)|.
lim(n→∞) (√(n+1)/√n) * (8/(x + 6)),
So, finally we get after putting n as infinity,
1 * (8/(x + 6)) = 8/(x + 6).
The series converges when the absolute value of this limit is less than 1. Therefore, we have |8/(x + 6)| < 1, which implies -1 < 8/(x + 6) < 1. Solving for x, we find -14 < x + 6 < 14, and after subtracting 6 from each term, we obtain -14 < x < -2. Thus, the interval of convergence is (-14, -2).
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Complete question - Find the radius of convergence and interval of convergence of the series.
1. ∑(n = 0 to ∞) (√n/8ⁿ)(x + 6)ⁿ
y" + 16y = 48(t – 7), y(0) = -1, y'(0) = 0 (a) Convert above ODE to a subsidiary equation and find its solution Y. (b) Find the solution above ODE. (c) Graph the solution.
The correct value of initial condition y'(0) = 0:
[tex]Y'(0) = C1*(\sqrt{(480 - 368)} )e^(\sqrt{(480 - 368)} ) + C2(-\sqrt{(480 - 368)} )e^(-\sqrt{(480 - 368)} )[/tex]
0 = C1(√(-368)) + C2*(-√(-368))
0 = C1√(-368) - C2√(-368)
(a) To convert the given second-order linear ordinary differential equation (ODE) to a subsidiary equation, we assume a solution of the form [tex]Y(t) = e^(rt)[/tex], where r is a constant.
Substituting this solution into the equation, we get:
Y"(t) + 16Y(t) = 48(t - 7)
Taking the derivatives of Y(t), we have:
Y'(t) = [tex]re^(rt)[/tex]
Y"(t) = [tex]r^2e^(rt)[/tex]
Substituting these into the equation, we get:
[tex]r^2e^(rt) + 16e^(rt) = 48(t - 7)[/tex]
Factoring out [tex]e^(rt):[/tex]
[tex]e^(rt) * (r^2 + 16) = 48(t - 7)[/tex]
Dividing both sides by [tex]e^(rt):[/tex]
[tex]r^2 + 16 = 48(t - 7) / e^(rt)[/tex]
Since [tex]e^(rt)[/tex]is never equal to zero, we can divide both sides by it:
[tex]r^2 + 16 = 48(t - 7)[/tex]
This equation is the subsidiary equation that we need to solve to find the solution Y(t).
(b) To find the solution of the subsidiary equation, we solve for [tex]r^2:[/tex]
[tex]r^2 = 48(t - 7) - 16[/tex]
[tex]r^2 = 48t - 352 - 16[/tex]
[tex]r^2 = 48t - 368[/tex]
Taking the square root of both sides, we get:
r = ±√(48t - 368)
Now we have the values of r that will be used in the general solution.
The general solution for Y(t) is given by:
[tex]Y(t) = C1e^(\sqrt{(48t - 368)} ) + C2e^(-\sqrt{(48t - 368)} )[/tex]
(c) To graph the solution, we need specific values for C1 and C2. Given the initial conditions y(0) = -1 and y'(0) = 0, we can find the values of C1 and C2.
Using the initial condition y(0) = -1:
Y(0) = [tex]C1e^(\sqrt{(480 - 368)} ) + C2e^(-\sqrt{(480 - 368)} )[/tex]
[tex]-1 = C1e^0 + C2e^0[/tex]
-1 = C1 + C2
Using the initial condition y'(0) = 0:
[tex]Y'(0) = C1*(\sqrt{(480 - 368)} )e^(\sqrt{(480 - 368)} ) + C2(-\sqrt{(480 - 368)} )e^(-\sqrt{(480 - 368)} )[/tex]
0 = C1(√(-368)) + C2*(-√(-368))
0 = C1√(-368) - C2√(-368)
From these equations, we can solve for C1 and C2. Once we have the specific values of C1 and C2, we can plot the graph of the solution Y(t) using a graphing tool or software.
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To test the hypothesis that the population mean mu=2.5, a sample size n=17 yields a sample mean 2.537 and sample standard deviation 0.421. Calculate the P- value and choose the correct conclusion. Your answer: The P-value 0.012 is not significant and so does not strongly suggest that mu>2.5. The P-value 0.012 is The P-value 0.012 is significant and so strongly suggests that mu>2.5. The P-value 0.003 is not significant and so does not strongly suggest that mu>2.5. The P-value 0.003 is significant and so strongly suggests that mu>2.5. The P-value 0.154 is not significant and so does not strongly suggest that mu>2.5. The P-value 0.154 is significant and so strongly suggests that mu>2.5. The P-value 0.154 is significant and so strongly suggests that mu>2.5. The P-value 0.361 is not significant and so does not strongly suggest that mu>2.5. The P-value 0.361 is significant and so strongly suggests that mu>2.5. The P-value 0.398 is not significant and so does not strongly suggest that mu>2.5. The P-value 0.398 is significant and so strongly suggests that mu>2.5.
The calculated p-value for the hypothesis test is 0.012, which is considered significant. Therefore, it strongly suggests that the population mean is greater than 2.5.
In hypothesis testing, the p-value is used to determine the strength of evidence against the null hypothesis. The null hypothesis in this case is that the population mean (μ) is equal to 2.5. The alternative hypothesis would be that μ is greater than 2.5.
To calculate the p-value, we compare the sample mean (2.537) to the hypothesized population mean (2.5) using the sample standard deviation (0.421) and the sample size (n=17). Since the sample mean is slightly larger than the hypothesized mean, it suggests that the population mean might also be larger.
The p-value represents the probability of observing a sample mean as extreme as the one obtained, assuming the null hypothesis is true. A p-value of 0.012 means that there is a 1.2% chance of obtaining a sample mean of 2.537 or larger if the population mean is actually 2.5.
Since the p-value (0.012) is less than the common significance level of 0.05, we reject the null hypothesis. Therefore, we can conclude that the data provides strong evidence to suggest that the population mean is greater than 2.5.
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Using R Script
TThe length of a common housefly has approximately a normal distribution with mean = 6.4 millimeters and a standard deviation of = 0.12 millimeters. Suppose we take a random sample of n=64 common houseflies. Let X be the random variable representing the mean length in millimeters of the 64 sampled houseflies. Let Xtot be the random variable representing sum of the lengths of the 64 sampled houseflies
a) About what proportion of houseflies have lengths between 6.3 and 6.5 millimeters?
The proportion of houseflies that have lengths between 6.3 and 6.5 millimeters is given as follows:
0.5934.
How to obtain probabilities using the normal distribution?We first must use the z-score formula, as follows:
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
In which:
X is the measure.[tex]\mu[/tex] is the population mean.[tex]\sigma[/tex] is the population standard deviation.The z-score represents how many standard deviations the measure X is above or below the mean of the distribution, and can be positive(above the mean) or negative(below the mean).
The z-score table is used to obtain the p-value of the z-score, and it represents the percentile of the measure represented by X in the distribution
The mean and the standard deviation for this problem are given as follows:
[tex]\mu = 6.4, \sigma = 0.12[/tex]
The proportion is the p-value of Z when X = 6.5 subtracted by the p-value of Z when X = 6.3, hence:
Z = (6.5 - 6.4)/0.12
Z = 0.83
Z = 0.83 has a p-value of 0.7967.
Z = (6.3 - 6.4)/0.12
Z = -0.83
Z = -0.83 has a p-value of 0.2033.
Hence:
0.7967 - 0.2033 = 0.5934.
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The proportion of houseflies that have lengths between 6.3 and 6.5 millimeters is: 0.59346
The formula for the z-score here is expressed as:
z = (x' - μ)/(σ)
where:
x' is sample mean
μ is population mean
σ is standard deviation
We are given the parameters as:
μ = 6.4
σ = 0.12
n = 64
The z-score at x' = 6.3 is:
z = (6.3 - 6.4)/0.12
z = -0.83
The z-score at x' = 6.5 is:
z = (6.5 - 6.4)/(0.12/√64)
= 0.83
The p-value from z-scores calculator is:
P(-0.83<x<0.83) = 0.59346 = 59.35%
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for j(x) = 5x − 3, find j of the quantity x plus h end quantity minus j of x all over h period
The expression (j(x + h) - j(x)) / h simplifies to 5, which means that the difference between j(x + h) and j(x) divided by h equals 5. This indicates a constant rate of change of 5 between the values of j(x + h) and j(x) as h approaches 0.
To find the expression (j(x + h) - j(x))/h, we substitute the given function j(x) = 5x - 3 into the expression:
(j(x + h) - j(x))/h = [(5(x + h) - 3) - (5x - 3)]/h
Simplifying, we have:
= (5x + 5h - 3 - 5x + 3)/h
= (5h)/h
= 5
Therefore, the expression (j(x + h) - j(x))/h simplifies to 5. This means that the derivative of the function j(x) = 5x - 3 is a constant value of 5, indicating a constant rate of change regardless of the value of x.
In conclusion, the expression (j(x + h) - j(x))/h evaluates to 5 for the given function j(x) = 5x - 3.
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A mother explains to her child that the price on the sign is not the total price for a guitar, because the price does not include tax. She points out that a $42 guitar actually costs $44.94 once the sales tax is added. What is the sales tax percentage?
Answer:
7%
Step-by-step explanation:
yea.
Determine if the following statements are true or false in ANOVA, and explain your reasoning for statements you identify as false.
(a) As the number of groups increases, the modified significance level for pairwise tests increases as well.
(b) As the total sample size increases, the degrees of freedom for the residuals increases as well.
(c) The constant variance condition can be somewhat relaxed when the sample sizes are relatively consistent across groups.
(d) The independence assumption can be relaxed when the total sample size is large.
(a) True, (b) True, (c) True, (d) False. As the number of groups increases, (a) and (b) are true, while (c) is true with consistent sample sizes, and (d) is false regardless of sample size.
(a) True: As the number of groups increases, the number of pairwise comparisons also increases, leading to a larger number of tests. Consequently, to maintain the overall significance level, the modified significance level for pairwise tests (such as Bonferroni correction) increases.
(b) True: The degrees of freedom for the residuals in ANOVA increase with a larger total sample size. This is because the degrees of freedom for residuals are calculated as the difference between the total sample size and the sum of degrees of freedom for the model parameters.
(c) True: When sample sizes are consistent across groups, it helps in meeting the assumption of equal variances, and the constant variance condition can be relaxed to some extent.
(d) False: The independence assumption in ANOVA is crucial regardless of the total sample size. Violating the independence assumption can lead to biased and inaccurate results, even with a large sample size.
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le the case for your 6. Find the following integrals. a) b) 12√x
The integral of [tex]\sqrt{x}[/tex] is (2/3)[tex]x^{3/2}[/tex] + C, where C is the constant of integration. The integral of 12√x is 8x^(3/2) + C.
a) To find the integral of [tex]\sqrt{x}[/tex], we can use the power rule for integration. The power rule states that the integral of [tex]x^n[/tex] with respect to x is (1/(n+1))[tex]x^{n+1}[/tex] + C, where C is the constant of integration. In this case, n = 1/2, so the integral of [tex]\sqrt{x}[/tex] is (1/(1/2 + 1))[tex]x^{1/2 + 1}[/tex] + C, which simplifies to (2/3[tex])x^{3/2}[/tex] + C.
b) To find the integral of 12[tex]\sqrt{x}[/tex], we can apply a constant multiple rule for integration. This rule states that the integral of a constant multiple of a function is equal to the constant multiplied by the integral of the function. In this case, we have 12 times the integral of [tex]\sqrt{x}[/tex]. Using the result from part a), we can substitute the integral of [tex]\sqrt{x}[/tex]as (2/3)[tex]x^{3/2}[/tex] + C. Multiplying this by 12 gives us 12((2/3)[tex]x^{3/2}[/tex]+ C), which simplifies to 8[tex]x^{3/2}[/tex] + C.
Therefore, the integral of [tex]\sqrt{x}[/tex] is (2/3)[tex]x^{3/2}[/tex] + C, and the integral of 12 [tex]\sqrt{x}[/tex] is 8[tex]x^{3/2}[/tex] + C, where C represents the constant of integration.
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Convert from rectangular to spherical coordinates.
(Use symbolic notation and fractions where needed. Give your answer as a point's coordinates in the form (*,*,*).)(*,*,*).)
(3,−3-√3,6√3)→
The point (3, -3 - √3, 6√3) in spherical coordinates is (3√14, arccos(√42 / 7), arctan((-3 - √3) / 3)).
To convert the point (3, -3 - √3, 6√3) from rectangular coordinates to spherical coordinates, we need to calculate the radius (r), inclination (θ), and azimuth (φ).
The formulas to convert rectangular coordinates to spherical coordinates are as follows:
r = √(x² + y²+ z²)
θ = arccos(z / r)
φ = arctan(y / x)
Given the coordinates (3, -3 - √3, 6√3), we can calculate:
r = √(3² + (-3 - √3)² + (6√3²)
= √(9 + 9 + 108)
= √(126)
= 3√14
θ = arccos((6√3) / (3√14))
= arccos(2√3 / √14)
= arccos((2√3 * √14) / (14))
= arccos((2√42) / 14)
= arccos(√42 / 7)
φ = arctan((-3 - √3) / 3)
= arctan((-3 - √3) / 3)
The point (3, -3 - √3, 6√3) in spherical coordinates is (3√14, arccos(√42 / 7), arctan((-3 - √3) / 3)).
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Which of the following sequences of functions fx : R → R converge uniformly in R? Find the limit of such sequences. Slx - klif xe [k - 1, k + 1] if x € [k - 1, k + 1] a) fx(x) = { 1 2 b)f(x) = (x/k)? + 1 c)f(x) = sin(x/k) = sin (x) a) f(x) = { if xe [2nk, 2n( k + 1)] if x € [2k, 2(k + 1)]
The sequence of functions that converges uniformly in R is b) [tex]f(x) = (x/k)^2 + 1[/tex], with the limit function being [tex]f(x) = 1[/tex]. The other sequences of functions a) [tex]f(x) = 1/2[/tex], c) [tex]f(x) = sin(x/k)[/tex], and d) [tex]f(x) = \{ if x \in [2nk, 2n(k + 1)] \ if x \in [2k, 2(k + 1)]\}[/tex] does not converge uniformly, and their limit functions cannot be determined without additional information.
To determine the limit of the sequence, we need to analyze the behavior of each function.
a) f(x) = 1/2: This function is a constant and does not depend on x. Therefore, it converges pointwise to 1/2, but it does not converge uniformly.
c) f(x) = sin(x/k): This function oscillates between -1 and 1 as x varies. It converges pointwise to 0, but it does not converge uniformly.
b) [tex]f(x) = (x/k)^2 + 1[/tex]: As k approaches infinity, the term [tex](x/k)^2[/tex] becomes smaller and approaches 0. Thus, the function converges pointwise to 1. To show uniform convergence, we need to estimate the difference between the function and its limit. By choosing an appropriate value of N, we can make this difference arbitrarily small for all x in R. Therefore, [tex]f(x) = (x/k)^2 + 1[/tex] converges uniformly to 1.
a) [tex]f(x) = \{ if x \in [2nk, 2n(k + 1)], if x \in [2k, 2(k + 1)]\}[/tex]: Without additional information or a specific form of the function, it is not possible to determine the limit or establish uniform convergence.
In conclusion, the sequence b) [tex]f(x) = (x/k)^2 + 1[/tex] converges uniformly in R, with the limit function being f(x) = 1.
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What is the probability that at least 2 people out of 23 share a birthday? Probability (at least 2 people share a birthday) =1-p (nobody shares a birthday)
Evaluating the expression given below gives us the probability that at least two people out of 23 share a birthday.
To calculate the probability that at least two people out of 23 share a birthday, we can use the principle of complementary probability. First, let's calculate the probability that nobody shares a birthday.
Assuming that birthdays are equally likely to occur on any day of the year and are independent events, the probability that two people have different birthdays is (365/365) * (364/365) since the first person can have any birthday and the second person must have a different one. Extending this logic, the probability that all 23 people have different birthdays is:
(365/365) * (364/365) * (363/365) * ... * (343/365)
To find the probability that at least two people share a birthday, we subtract this probability from 1:
P(at least 2 people share a birthday) = 1 - [(365/365) * (364/365) * (363/365) * ... * (343/365)]
Evaluating this expression gives us the probability that at least two people out of 23 share a birthday.
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An author and that more busthall players have birthdates in the months immediately following 31, because that was the cutoff date for concerns of the of thdates of randomly selected presional batball players starting with January 30, 370345 346,375,374 39.545.456. 1694 Uniteve shown on the claim that personal al players are bom in different month with the same rouncy be the same values appear trapport the same Demethened and were hypotheses what the month of the year Hath than the them Calculate medical of the electiveness of an burb for preventing colds, the results in the accompanying tables were obtained Use ao or sificance levels of the claim that calde independer de rent group What do the results suggest about the effectiveness of the hub as a prevention against cold?
The results suggest that the effectiveness of the hub as a prevention against cold is not significant.
An author claimed that more baseball players were born in the months immediately following July 31. Because that was the cutoff date for concerns of the of the baseball player's age.
The month of birth dates of a randomly selected professional baseball player, beginning with January is shown in the table below:
Table: 30, 34, 53, 46, 37, 53, 74, 39, 54, 56, 16, 94
The hypothesis of the author and the null hypothesis that the baseball players are born in different months with the same frequency are to be tested to find out which month has more births. Medical effectiveness of a hub for preventing colds is to be calculated using the results in the accompanying table and testing if the colds occur independently of rent group at the significance levels of 0.05 or 0.01.
Therefore, the results suggest that the effectiveness of the hub as a prevention against cold is not significant.
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Let xi, Xn be ii.d random vorables ... 2 given by frasex I(,-) (*) {x...... Xn} . Does E[x] exist? If so find it. Does ECYJ exist? If find it Let Y= min SO
E[x] and ECYJ exists.
Given,
xi, Xn be random variables 2 given by far x I(,-) (*) {x Xn}
Consider Y = min(xi, Xn)Y = {xi if xi < Xn; Xn if xi > Xn}
Probability that Y = xiP(Y=xi) = P(xi < Xn) = (1/2) and P(Y=Xn) = P(xi>Xn) = (1/2)E[Xi] = µ and σ² Var(Xi) exist.
Because xi, Xn are iid from the same distribution, then E[Xn] = µ and σ² Var(Xn) exist.
We know that E[Y] = µ {E[Xi] = E[Xn]}We have, Y = xi or Y = Xn, soY² = Y
Therefore, E[Y²] = E[Y] = µSince we know that E[Y²] = P(Y=xi) xi² + P(Y=Xn)Xn²,
We have, µ = (1/2)xi² + (1/2)Xn²If we add xi and Xn, then Y ≤ xi and Y ≤ Xn, then Y ≤ min(xi, Xn)
So, xi + Xn ≥ 2Y
The left-hand side has mean 2µ,So, 2µ ≥ 2E[Y]µ ≥ E[Y]
The value of E[Y] is µSo, µ ≥ E[Y].
Hence, E[X] exist and E[X] = µ
Given, Y= min(xi, Xn)
So, E[Y] exists and E[Y] = µ / 2
We know that E[Y²] = P(Y=xi) xi² + P(Y=Xn)Xn²= (1/2)xi² + (1/2)Xn²
The variance of Y is Var(Y) = E[Y²] - [E[Y]]²= [(1/2)xi² + (1/2)Xn²] - (µ/2)²= (1/2)[xi² + Xn²] - (µ²/4)
Since xi, Xn are iid from the same distribution, Var(Xi) = Var(Xn) = σ²Var(Y) = (1/2)[2σ² - (µ²/2)]
As we know that E[Y] = µ/2, so ECYJ exists.
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We already know that a solution to Laplace's equation attains its maximum and minimum on the boundary. For the special case of a circular domain, prove this fact again using the Mean Value Property.
The maximum and minimum values of a solution to Laplace's equation in a circular domain can be proven using the Mean Value Property.
This property states that the value of the solution at any point is equal to the average value of the solution over the boundary of the circle.
Consider a circular domain with center (0,0) and radius r. Let u(x, y) be a solution to Laplace's equation within this domain. According to the Mean Value Property, the value of u at any point (x0, y0) within the circle is given by the average value of u over the boundary of the circle.
Let's assume that the maximum value of u occurs at an interior point (x1, y1) within the circle. Since the boundary of the circle is a closed and bounded set, it must contain its maximum value. Let (x2, y2) be a point on the boundary where the maximum value of u is attained.
Now, we can construct a circle with center (x1, y1) and radius r'. Since (x1, y1) is an interior point, this new circle lies entirely within the original circle. By the Mean Value Property, the value of u at (x1, y1) is equal to the average value of u over the boundary of the smaller circle. However, this contradicts the assumption that (x1, y1) is the point of maximum value, as the average value over the smaller circle is larger.
A similar argument can be made for the minimum value of u, proving that it must also occur on the boundary of the circle. Therefore, the maximum and minimum values of a solution to Laplace's equation within a circular domain are attained on the boundary.
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Assuming that the distribution of pretest scores for the control group is normal, between what two values are the middle 95%
of participants (approximately)?
Assuming a normal distribution of pretest scores for the control group, the middle 95% of participants will have scores that fall between approximately two standard deviations below and two standard deviations above the mean.
In a normal distribution, the data is symmetrically distributed around the mean, and the spread of the data can be characterized by the standard deviation. According to the empirical rule, about 95% of the data falls within two standard deviations of the mean. This means that if we consider the control group's pretest scores, approximately 95% of the participants will have scores that lie within the range of the mean minus two standard deviations to the mean plus two standard deviations.
To understand this concept further, let's consider an example. Suppose the mean pretest score for the control group is 80, and the standard deviation is 5. Applying the empirical rule, we can calculate the range within which the middle 95% of participants' scores will fall. Two standard deviations below the mean would be 80 - 2(5) = 70, and two standard deviations above the mean would be 80 + 2(5) = 90. Therefore, the middle 95% of participants' scores will lie between 70 and 90. It's important to note that the assumption of a normal distribution is crucial for this calculation to be valid. If the distribution of pretest scores is not approximately normal, the range for the middle 95% may not follow the same pattern.
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Find the constant c such that the function = f(x) = {cx? 0 < x < 4 otherwise 0 b- compute p(1 < x < 4)
To find the constant c in the function f(x) = {cx, 0 < x < 4; 0 otherwise, we need to calculate the probability p(1 < x < 4). The value of c can be determined by ensuring that the function satisfies the properties of a probability distribution.
To find the constant c, we need to ensure that the function f(x) satisfies the properties of a probability distribution. A probability distribution must have two properties: non-negativity and the sum of all probabilities must equal 1.
In this case, the function f(x) is defined as cx for values of x between 0 and 4, and 0 otherwise. To satisfy the non-negativity property, c must be greater than or equal to 0.
To calculate p(1 < x < 4), we need to find the area under the curve of the function f(x) between x = 1 and x = 4. Since the function is defined as cx within this interval, we can integrate the function with respect to x over this range. The result will give us the probability of x being between 1 and 4.
Once we have the probability p(1 < x < 4), we can set it equal to 1 and solve for the value of c. This will determine the specific constant that satisfies the properties of a probability distribution.
In conclusion, finding the constant c requires calculating the probability p(1 < x < 4) by integrating the function f(x) over the given interval and then solving for c using the condition that the sum of probabilities equals 1.
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Which of the following probabilities is equal to approximately 0.2957? Use the portion of the standard normal table below to help answer the question.
z
Probability
0.00
0.5000
0.25
0.5987
0.50
0.6915
0.75
0.7734
1.00
0.8413
1.25
0.8944
1.50
0.9332
1.75
0.9599
The probability that a standard normal variable is less than or equal to 0.25 is approximately 0.2957. This can be found by looking up the value of 0.25 in the standard normal table.
The standard normal table is a table that gives the probability that a standard normal distribution will be less than or equal to a certain value. The values in the table are expressed as percentages. To find the probability that a standard normal variable is less than or equal to 0.25, we look up the value of 0.25 in the table and find the corresponding percentage. The percentage we find is 0.2957.
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The given standard normal table does not provide a z-score that corresponds to a probability of 0.2957. The table's probability range spans from 0.5000 to 0.9599, which doesn't include 0.2957.
Explanation:The standard normal table lists the probability that a normally distributed random variable Z is less than z. If we are looking for a probability equal to 0.2957, we need to find the z-score that corresponds to this probability in the given table.
However, the given table does not provide a probability of 0.2957. The table only provides the probabilities for z-scores from 0 to 1.75. The probability range in this table spans from 0.5000 to 0.9599. Therefore, with the provided information, it is not possible to determine which z-score corresponds to a probability of 0.2957.
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Solve for x. Show work. Show result to three decimal places
[tex]3^{x+1}=8^x\\\log3^{x+1}=\log8^x\\(x+1)\log 3=x\log 8\\x\log 3+\log 3=x\log 8\\x\log8-x\log 3=\log 3\\x(\log 8 -\log 3)=\log 3\\x=\dfrac{\log3}{\log 8-\log3}=\dfrac{\log 3}{\log\left(\dfrac{8}{3}\right)}\approx1.12[/tex]
[tex]3^{x+1}=8^x\implies 3^x\cdot 3=8^x\implies 3=\cfrac{8^x}{3^x}\implies 3=\left( \cfrac{8}{3} \right)^x \\\\\\ \log(3)=\log\left[\left( \cfrac{8}{3} \right)^x \right]\implies \log(3)=x\log\left[\left( \cfrac{8}{3} \right) \right] \\\\\\ \frac{\log(3)}{ ~~ \log\left( \frac{8}{3} \right) ~~ }=x\implies 1.120\approx x[/tex]
consider the solid obtained by rotating the region bounded by the given curves about the x-axis.
y = 2-1/2x,y = 0, x = 1, x = 2
Find the volume V of this solid.
The volume V of the solid obtained by rotating the region bounded by the given curves about the x-axis is π cubic units.
To find the volume V of the solid obtained by rotating the region bounded by the curves y = 2 - (1/2)x, y = 0, x = 1, and x = 2 about the x-axis, the method of cylindrical shells.
The volume V can be calculated using the following formula:
V = ∫(2πx × h) dx
where h represents the height of the cylindrical shell at each value of x.
The height h can be determined as the difference between the y-values of the curves y = 2 - (1/2)x and y = 0.
The integral,
V = ∫(2πx × h) dx
= ∫(2πx ×(2 - (1/2)x)) dx
= 2π ∫(2x - (1/2)x²) dx
= 2π [(x²) - (1/6)(x³)] evaluated from 1 to 2
Evaluating the definite integral,
V = 2π [(2²) - (1/6)(2³)] - 2π [(1²) - (1/6)(1³)]
= 2π [4 - (1/6)(8)] - 2π [1 - (1/6)(1)]
= 2π [4 - (4/6)] - 2π [1 - (1/6)]
= 2π [4 - (2/3)] - 2π [1 - (1/6)]
= 2π [4/3] - 2π [5/6]
= (8π/3) - (5π/3)
= (3π/3)
= π
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