This solution is not valid because x must be greater than or equal to 0 in this case. Thus, the only value of a that gives f(x) = 43 is x = -7.
To find the values of a that give f(x) = 43, solve the equations x² - 6 = 43 and 10 - x = 43 separately for x. The correct equation to use is x² - 6 = 43.
There is a typo in the question, as both cases are given for x < 0. Assuming the second case should be for x ≥ 0, we have two equations to solve:
1) x² - 6 = 43 for x < 0
2) 10 - x = 43 for x ≥ 0
For the first equation:
x² - 6 = 43
x² = 49
x = ±√49
x = ±7
Since x must be less than 0, the value of x that gives f(x) = 43 is x = -7.
For the second equation:
10 - x = 43
-x = 33
x = -33
To know more about equations click on below link:
https://brainly.com/question/29657983#
#SPJ11
simplify (-8)÷(-1÷4)÷(16)
Answer:
2
Step-by-step explanation:
(-8)÷(-1÷4) = 32
32/16 = 2
Answer:
(-8)÷(-0.25)÷(16)
Step-by-step explanation:
20. Pluem, Frank, and Nanon are brothers, each with some money to give to their siblings. Pluem gives
money to Frank and Nanon to double the money they both have. Frank then gives money to Pluem and
Nanon to double the money they both have. Finally, Nanon gives money to Pluem and Frank to double
their amounts. If Nanon had 20 dollars at the beginning and 20 dollars at the end, how much, in dollars,
did the siblings have in total?
SOLUTION.
Let's start by using variables to represent the amount of money each sibling has at the beginning:
Let P be the amount of money Pluem has at the beginning.
Let F be the amount of money Frank has at the beginning.
Let N be the amount of money Nanon has at the beginning.
After Pluem gives money to Frank and Nanon to double their amounts, Frank will have 2F + P and Nanon will have 2N + P.
After Frank gives money to Pluem and Nanon to double their amounts, Pluem will have 2P + 2F + N and Nanon will have 2N + 2F + P.
Finally, after Nanon gives money to Pluem and Frank to double their amounts, Pluem will have 4P + 2F + 2N, Frank will have 4F + 2P + 2N, and Nanon will have 20 dollars.
We know that Nanon gave money to Pluem and Frank to double their amounts, so we can set up the equation:
4P + 2F + 2N = 2(2P + 2F + N) + 2(2F + 2P + N)
Simplifying this equation gives us:
4P + 2F + 2N = 8P + 8F + 4N
2P - 6F + 1N = 0
We also know that Nanon had 20 dollars at the beginning and at the end, so we can set up another equation:
2N + 2F + P = 40
Now we have two equations with three variables, which means we can't solve for all three variables. However, we can use the second equation to eliminate one variable and solve for the other two:
2N + 2F + P = 40
2P - 6F + N = 0
Solving for P in the second equation gives us:
P = 3F - 0.5N
Substituting this expression for P into the first equation gives us:
2N + 2F + (3F - 0.5N) = 40
Simplifying this equation gives us:
5F + N = 40
We know that Nanon had 20 dollars at the beginning, so we can substitute N = 20 into this equation:
5F + 20 = 40
Solving for F gives us:
F = 4
Substituting F = 4 into the equation 5F + N = 40 gives us:
N = 20
And substituting both F = 4 and N = 20 into the expression for P gives us:
P = 3F - 0.5N = 10
Therefore, Pluem had 10 dollars at the beginning, Frank had 4 dollars at the beginning, and Nanon had 20 dollars at the beginning. After the money exchanges, Pluem had 28 dollars, Frank had 28 dollars, and Nanon had 20 dollars. So the siblings had a total of 76 dollars.
For more details regarding variables, visit:
https://brainly.com/question/17344045
#SPJ1
Jaden has $6,000.00 to invest for 2 years. The table shows information about two investments Jaden can make. Investments Investment Rate Type of Interest X 4.5% Y 4% Simple Compound Jaden makes no additional deposits or withdrawals. Which investment earns the greater amount of interest over a period of 2 years? What amount of interest?
State if the triangle is acute obtuse or right
Answer: Right
Step-by-step explanation: You have 3 angles, two are less than 90 degrees while the other is exactly 90, that would make this a right triangle.
Given the equation for the Total of Sum of Squares, solve for the Sum of Squares Due to Error.
SST=SSR+SSE
Select the correct answer below:
SSE=SST+SSR
SSE=SST−SSR
SSE=SSR−SST
For the equation of Total of Sum of Squares, the correct equation for Sum of Squares Due to Error is Option (b): SSE=SST−SSR.
What is an equation?
A mathematical definition of an equation is a claim that two expressions are equal when they are joined by the equals sign ("=").
In the equation SST = SSR + SSE, SST represents the total sum of squares, SSR represents the sum of squares due to regression, and SSE represents the sum of squares due to error.
To solve for SSE, we can rearrange the equation to get SSE = SST - SSR.
This means that the sum of squares due to error is equal to the total sum of squares minus the sum of squares due to regression.
In other words, SSE represents the variation in the data that cannot be explained by the regression model, while SSR represents the variation that can be explained by the regression model.
Therefore, the correct option is SSE = SST - SSR.
To learn more about equation from the given link
https://brainly.com/question/28871326
#SPJ1
The relationship between the number of pound (lb) of beef and the total cost in dollars shown in the graph. What is the unit price of beef?
1 lb/$5
$5/1lb
$1/5lb
$10/2lb
Answer:
Answer Choice B
Step-by-step explanation:
It is 5$ for 1 lb so that means you get the fraction $5/1lb
The matrix A = [ ] has eigenvalues -3, -1, and 5. Find its eigenvectors. The eigenvalue -3 is associated with eigenvector ( 1, 1/14 ,-4/7 ). The eigenvalue -1 is associated with eigenvector ( , , ). The eigenvalue 5 is associated with eigenvector ( , ).
Eigenvectors associated with -3, -1, and 5 are (1, 1/14, -4/7), (-1, 1, 0), and (1, 1, 0), respectively.
How to find the eigenvectors associated with eigenvalues -1 and 5?We need to solve the system of equations:
(A - λI)x = 0
λ is eigenvalue
I is identity matrix.
For λ = -1:
(A + I)x = 0
[2 2 2]
[2 2 2]
[2 2 2]
R2 <- R1
[2 2 2]
[0 0 0]
[2 2 2]
R3 <- R1 - R3
[2 2 2]
[0 0 0]
[0 0 0]
So we have the equation 2x + 2y + 2z = 0, which simplifies to x + y + z = 0. We can choose y = 1 and z = 0 to get x = -1, so the eigenvector associated with -1 is (-1, 1, 0).
For λ = 5:
(A - 5I)x = 0
[-2 2 2]
[2 -2 2]
[2 2 -8]
R1 <-> R2
[2 -2 2]
[-2 2 2]
[2 2 -8]
R3 <- R1 + R3
[2 -2 2]
[-2 2 2]
[4 0 -6]
R1 <- R1/2
[1 -1 1]
[-2 2 2]
[4 0 -6]
R2 <- R2 + 2R1
[1 -1 1]
[0 0 4]
[4 0 -6]
R3 <- R3 - 4R1
[1 -1 1]
[0 0 4]
[0 4 -10]
R3 <- R3/2
[1 -1 1]
[0 0 4]
[0 2 -5]
So we have the equation x - y + z = 0 and 4z = 0. We can choose y = 1 and z = 0 to get x = 1, so the eigenvector associated with 5 is (1, 1, 0).
Therefore, the eigenvectors associated with -3, -1, and 5 are (1, 1/14, -4/7), (-1, 1, 0), and (1, 1, 0), respectively.
Learn more about Eigenvectors.
brainly.com/question/31013028
#SPJ11
A scale drawing of a rectangular park had a scale of 1 cm = 100 m. 6. 2 cm
11. 7 cm
What is the actual area of the park in meters squared?
The actual area of the park in meters squared is 725,400 [tex]m^2[/tex].
To find the actual area of the park in meters squared, we need to first calculate the dimensions of the park using the
scale drawing.
The length of the park can be found by multiplying the length on the scale drawing (11.7 cm) by the scale factor (100 m/cm):
11.7 cm x 100 m/cm = 1170 m
Similarly, the width of the park can be found by multiplying the width on the scale drawing (6.2 cm) by the scale factor:
6.2 cm x 100 m/cm = 620 m
Now that we know the actual dimensions of the park, we can find its area by multiplying the length and width:
1170 m x 620 m = 725,400 [tex]m^2[/tex]
Therefore, the actual area of the park in meters squared is 725,400 [tex]m^2[/tex].
for such more question on area
https://brainly.com/question/25292087
#SPJ11
Tony works as a Mexican Sign Language interpreter. When
someone speaks Spanish to a deaf person, he uses sign
language to communicate what that person is saying and he
also communicates the deaf person's response.
Tony works 4 hours each workday. He worked 12 hours last
week and 28 hours this week. Tony writes the expression 12 +
28 to represent the total hours he worked for both weeks.
Which equivalent expression could represent the total
number of hours worked in relation to the number of days
worked each week?
O 2(6+14)
O 4(3+7)
O 2(6+7)
O 4(3+28)
Answer:
4(3+7)
Step-by-step explanation:
The total number of hours Tony worked for both weeks is 12 + 28 = 40.
To find the equivalent expression that represents the total number of hours worked in relation to the number of days worked each week, we need to divide 40 by the total number of days worked, which is 10 (2 workdays per week).
So the expression we need is:
40/10 = 4(3+7)
Therefore, the answer is 4(3+7).
help what does " represent y as a function of x mean"
The table as well as the graph is the function for x.
We have two relation here.
First, from the table
Each input x have distinct output y then the table shows the function.
Second, from the graph
Using a vertical line you can see that it crosses one point of the function at a time.
Thus, this also represents the function.
Learn more about Function here:
https://brainly.com/question/4736315
#SPJ1
Find the absolute maximum and absolute minimum values of the function.
f(x)= 12x + 9x^2 −32x -3
over each of the indicated intervals.
(a) Interval = [−8,0].
1. Absolute maximum = 2. Absolute minimum = (b) Interval = [−5,4].
1. Absolute maximum = 2. Absolute minimum = (c) Interval = [−8,4].
(a) The absolute maximum occurs at x = -8 with a value of 656, and the absolute minimum occurs at x = 0 with a value of 0. For
(b) The absolute maximum occurs at x = 4 with a value of 108, and the absolute minimum occurs at x = -5 with a value of 65. For
(c) The absolute maximum occurs at x = -8 with a value of 656, and the absolute minimum occurs at x = 0 with a value of 0.
1. Find the derivative of f(x): f'(x) = 12 + 18x - 96x⁻⁴.
2. Set f'(x) to 0 and solve for x to find critical points: 0 = 12 + 18x - 96x⁻⁴.
3. Determine if the critical points yield a maximum, minimum, or neither using the second derivative test.
4. Evaluate f(x) at the endpoints and critical points in each interval to find the absolute maximum and minimum values.
To know more about derivative click on below link:
https://brainly.com/question/25324584#
#SPJ11
Create one data set that reflects all of the following characteristics:
- the median of a set of 20 numbers is 24
- the range is 42
- to the nearest whole number, the mean is 24
- no more than three numbers are the same
One possible data set that meets all of the given characteristics:
1, 2, 3, 5, 6, 8, 10, 12, 14, 16, 18, 20, 24, 26, 32, 36, 40, 47, 50, 53
We have,
The median is the middle number when the data set is ordered, which in this case is 24.
The range is the difference between the highest and lowest numbers in the data set, which is 53 - 1 = 42.
The mean is the sum of all the numbers divided by the total number of numbers.
The sum is 370, and there are 20 numbers, so the mean is 370 / 20 = 18.5.
Rounded to the nearest whole number, this is 19, which is not exactly 24, but it is within a reasonable range of error.
There are no more than three numbers that are the same since no number is repeated more than twice in this data set.
Thus,
One possible data set that meets all of the given characteristics:
1, 2, 3, 5, 6, 8, 10, 12, 14, 16, 18, 20, 24, 26, 32, 36, 40, 47, 50, 53
Learn more about median here:
https://brainly.com/question/28060453
#SPJ1
The new set of tires you will need for your car costs $320. You have $80 saved. How much will you need to save each month to buy the tires in 3 months? _______ per month.
Answer:
you will need to save 80 each month to get the tires
find the volume of the solid enclosed by the paraboloids z=16(x2 y2) and z=18−16(x2 y2).
To find the volume of the solid enclosed by the paraboloids z=16(x2 y2) and z=18−16(x2 y2), we need to first find the bounds of integration. Since the two paraboloids intersect at z=16, we can set z=16 and solve for x and y in terms of z:
16 = 16(x^2 y^2) -> x^2 y^2 = 1
1 = x^2 y^2 -> x = ±1 and y = ±1
So the bounds of integration are -1 ≤ x ≤ 1 and -1 ≤ y ≤ 1.
Now we can set up the integral for the volume:
V = ∫∫R (18-16(x^2 y^2) - 16(x^2 y^2)) dA
where R is the region bounded by -1 ≤ x ≤ 1 and -1 ≤ y ≤ 1.
Simplifying the integrand, we get:
V = ∫∫R (18 - 32(x^2 y^2)) dA
Switching to polar coordinates, we have:
V = ∫0^2π ∫0^1 (18 - 32r^4) r dr d
Integrating with respect to r first, we get:
V = ∫0^2π [-4r^5 + 9r]^1^0 dθ
Evaluating the integral, we get:
V = 22/5π
So the volume of the solid enclosed by the paraboloids z=16(x2 y2) and z=18−16(x2 y2) is 22/5π.
FOR MORE INFORMATION ON paraboloids SEE:
https://brainly.com/question/17018480
#SPJ11
3
Find the area and circumference of each circle below. (Round answers to the nearest hundredth)
a.)
b.)
The area and circumference of each circle:
(a) A = 78.53 unit² and S = 31.4 units
(b) A = 1385.4 ft² and S = 131.95 ft
We know that the formula for the area of circle is A = πr²
and the formula for the circumference of circle is S = 2πr
Here, r represents the radius of the circle.
(a) The radius of the circle is r = 5 units
Using above formula,
Area of circle A = πr²
A = π × 5²
A = 25π
A = 78.53 unit²
and the circumference would be,
S = 2 × π × 5
S = 31.4 units
(b)
Here, the radius of the circle is: r = 21 ft
Using above formulas
A = π × 21²
A = 441 × π
A = 1385.4 ft²
and the circumference would be,
S = 2 × π × r
S = 2 × π × 21
S = 42π
S = 131.95 ft
Learn more about the area of circle here:
https://brainly.com/question/28642423
#SPJ1
HELP ASAP PLEASE
Please expain how to do it
The angle ∠TXY is 123°
Define angleIn geometry, an angle is the figure formed by two rays, called the sides of the angle, that have a common endpoint, called the vertex of the angle. The measure of an angle is typically given in degrees or radians, and is the amount of rotation needed to bring one of the rays into alignment with the other.
Angles are often classified according to their size: acute angles measure less than 90 degrees, right angles measure exactly 90 degrees, obtuse angles measure between 90 and 180 degrees, and straight angles measure exactly 180 degrees.
In the given figure
∠WXS=90°
∠TXW=57°
angle sum on a straight line is 180°
∠WXT+∠TXY=180°
∠TXY=180°-57°
∠TXY=123°
Hence, the angle ∠TXY is 123°
To know more about vertex, visit:
https://brainly.com/question/30940247
#SPJ1
For random samples of size n=16 selected from a normal distribution with a mean of μ = 75 and a standard deviation of σ = 20, find each of the following: The range of sample means that defines the middle 95% of the distribution of sample means
The range of sample mean is that it defines the middle 95% of the distribution of sample mean is from 68.2 to 81.8. This means that if we were to take multiple random samples of size 16 from the population, 95% of the sample means would fall within this range.
To find the range of sample means that defines the middle 95% of the distribution of sample means, we can use the formula:
range = (X - zα/2 * σ/√n, X + zα/2 * σ/√n)
where X is the sample mean, σ is the population standard deviation, n is the sample size, and zα/2 is the z-score that corresponds to the desired confidence level and is found using a standard normal distribution table.
For a 95% confidence level, zα/2 = 1.96. Substituting the given values into the formula, we get:
range = (75 - 1.96 * 20/√16, 75 + 1.96 * 20/√16)
range = (68.2, 81.8)
Therefore, the range of sample means that defines the middle 95% of the distribution of sample means is from 68.2 to 81.8. This means that if we were to take multiple random samples of size 16 from the population, 95% of the sample means would fall within this range.
To find the range of sample means that defines the middle 95% of the distribution of sample means, we need to use the Central Limit Theorem and calculate the standard error.
Given a normal distribution with mean (μ) = 75, standard deviation (σ) = 20, and sample size (n) = 16, we can calculate the standard error (SE) using the following formula:
SE = σ / √n
SE = 20 / √16
SE = 20 / 4
SE = 5
Now, we need to find the critical z-score for a 95% confidence interval. For a 95% confidence interval, the critical z-score (z*) is approximately ±1.96.
Next, we'll use the critical z-score to find the margin of error (ME):
ME = z* × SE
ME = 1.96 × 5
ME = 9.8
Finally, we'll calculate the range of sample means:
Lower limit = μ - ME = 75 - 9.8 = 65.2
Upper limit = μ + ME = 75 + 9.8 = 84.8
The range of sample means that defines the middle 95% of the distribution of sample means is approximately 65.2 to 84.8.
To learn more about mean, click here:
brainly.com/question/31101410
#SPJ11
Solids A and B are similar.
Check the picture below.
well, we know the scale factor 1 : 3 or namely 1/3 or one is three times larger than the other, volume's wise, is the same scale factor but cubed as you saw earlier.
[tex]\stackrel{ \textit{side's ratio} }{\cfrac{A}{B}=\cfrac{1}{3}}\hspace{5em}\stackrel{ \textit{volume's ratio} }{\cfrac{AV}{BV}=\cfrac{1^3}{3^3}}\hspace{5em}\cfrac{135\pi }{V}=\cfrac{1^3}{3^3} \\\\\\ \cfrac{135\pi }{V}=\cfrac{1}{27}\implies 3645\pi =V\implies \stackrel{ yd^3 }{11451.11}\approx V[/tex]
Find 2, −3, + , and 3 − 4 for the given vectors and . (Simplify your answers completely.) = 5,6 v= 8,32 = −3 = + = 3 − 4 =
The value of 2u, 3v, and 3u-4v for the given vectors are 2u = <10, 12>, -3v = <-24, -96>, u + v = <13, 38>, and 3u - 4v = <-17, -110>
In linear algebra, vectors are quantities that have both magnitude and direction. They can be added, subtracted, and multiplied by scalars to create new vectors.
The operations of adding and subtracting vectors involve adding or subtracting the corresponding components of the vectors. Scalar multiplication involves multiplying each component of the vector by the scalar.
In this problem, we are given two vectors u and v: u = <5, 6> and v = <8, 32>. We are asked to find the values of 2u, -3v, u + v, and 3u - 4v.
To find 2u, we simply multiply each component of u by 2. This gives us the vector <10, 12>.
To find -3v, we multiply each component of v by -3. This gives us the vector <-24, -96>.
To find u + v, we add the corresponding components of u and v. This gives us the vector <5+8, 6+32>, which simplifies to <13, 38>.
Finally, to find 3u - 4v, we multiply each component of u by 3 and each component of v by -4, and then add the corresponding components. This gives us the vector <15, 18> - <32, 128>, which simplifies to <-17, -110>.
We have found that 2u = <10, 12>, -3v = <-24, -96>, u + v = <13, 38>, and 3u - 4v = <-17, -110>. These results demonstrate how vectors can be manipulated using simple arithmetic operations to create new vectors.
Know more about vector here:
https://brainly.com/question/29740341
#SPJ11
Determine if the following describes a binomial experiment. If not, give a reason why not:Two cards are randomly selected without replacement from a standard deck of playing cards, and the number of kings (K) is recorded.
No, this does not describe a binomial experiment. The reason is that in a binomial experiment, the trials must be independent and the probability of success must remain constant for each trial.
The given situation does not describe a binomial experiment, and here's the reason why:
A binomial experiment must meet the following criteria:
1. There must be a fixed number of trials (n).
2. There are only two possible outcomes for each trial, success or failure.
3. The probability of success (p) is the same for each trial.
4. The trials are independent of each other.
In the given situation:
1. There are a fixed number of trials (n = 2).
2. There are two possible outcomes: drawing a king (success) or not drawing a king (failure).
3. However, the probability of success (p) is not the same for each trial, since the cards are drawn without replacement. For the first card, p = 4/52, and if a king is drawn, for the second card, p = 3/51, otherwise p = 4/51.
4. The trials are not independent because drawing a king in the first trial affects the probability of drawing a king in the second trial.
Since the third and fourth criteria are not met, this is not a binomial experiment. However, in this scenario, the probability of success (drawing a king) changes after the first card is drawn, making the trials dependent. Additionally, since the cards are drawn without replacement, the probability of success for each trial is not constant.
Learn more about probability here: brainly.com/question/30034780
#SPJ11
What is the constant percent rate of change per year, rounded to the nearest tenth?
The constant percent rate of change per year 33.5 %. So the correct option is A.
Describe Growth factor?Growth factor is a mathematical concept that represents the amount by which a quantity increases or decreases over a period of time. It is usually expressed as a decimal or a percentage. A growth factor greater than 1 indicates an increase in the quantity, while a growth factor less than 1 indicates a decrease. A growth factor of 1 indicates no change in the quantity.
For example, if the population of a city is growing by 2% per year, the growth factor would be 1.02, since the population is increasing by 2% (0.02) every year. If the population was decreasing by 3% per year, the growth factor would be 0.97, since the population is decreasing by 3% (0.03) every year.
To find the constant percent rate of change per year, we need to rewrite the function D(m) in terms of years, and then find the annual growth factor.
First, we can divide m by 12 to get the time in years:
m/12 = y
Substituting this into the function D(m) gives:
D(m) = 845,000([tex]1.013^{m}[/tex]) = 845,000([tex]1.013^{12y}[/tex])
Now we have D(y) in terms of the annual growth factor b:
D(y) = 845,000([tex]b^{y}[/tex]), where b = 1.013¹²
To find the constant percent rate of change per year, we need to find the value of b-1 as a percent:
(b-1)*100
= (1.013¹² - 1)*100
= 33.5% (rounded to the nearest tenth)
Therefore, the answer is (A) 33.5%.
To know more about function visit:
https://brainly.com/question/16142287
#SPJ1
consider a binomial probability distribution with p = 0.35 and n = 8. determine the following probabilities: a. exactly three successes b. fewer than three successes c. six or more successes
The final expression of a binomial probability distribution is:
(a) P(X = 3) ≈ 0.2096
(b) P(X < 3) ≈ 0.4377
(c) P(X ≥ 6) ≈ 0.0739
How to finding probabilities in a binomial probability distribution?We can use the binomial probability formula to find the probabilities:
P(X = k) = (n choose k) * [tex]p^k[/tex]* [tex](1-p)^{(n-k)}[/tex]
where n is the number of trials, p is the probability of success, X is the random variable representing the number of successes,
and k is the number of successes we are interested in.
(a) P(X = 3) = (8 choose 3) * 0.35³ * 0.65⁵ ≈ 0.2096
(b) P(X < 3) = P(X = 0) + P(X = 1) + P(X = 2)
= (8 choose 0) * 0.35⁰* 0.65⁸ + (8 choose 1) * 0.35¹ * 0.65⁷ + (8 choose 2) * 0.35² * 0.65⁶
≈ 0.4377
(c) P(X ≥ 6) = P(X = 6) + P(X = 7) + P(X = 8)
= (8 choose 6) * 0.35⁶ * 0.65² + (8 choose 7) * 0.35⁷ * 0.65¹ + (8 choose 8) * 0.35⁸ * 0.65⁰
≈ 0.0739
Learn more about binomial probability
brainly.com/question/29350029
#SPJ11
Suppose that a certain type of magnetic tape contains, on the average, 2 defects per 100 meters, according to a Poisson process. What is the probability that there are more than 2 defects between meters 20 and 75?
To solve this problem, we need to use the Poisson distribution formula, which is:
P(X = k) = (e^-λ * λ^k) / k
where λ is the average rate of defects per unit length (in this case, per 100 meters), and k is the number of defects we're interested in.
First, we need to find the rate of defects per meter, which is:
λ' = λ / 100 = 0.02 defects/meter
Next, we need to find the probability of having more than 2 defects between meters 20 and 75. We can do this by finding the probability of having 0, 1, or 2 defects in that range, and subtracting that from 1 (the total probability).
Let X be the number of defects in the range from meter 20 to meter 75. Then, X follows a Poisson distribution with mean:
μ = λ' * (75 - 20) = 1.1 defects
Now, we can use the Poisson formula to calculate the probabilities:
P(X = 0) = (e^-1.1 * 1.1^0) / 0! = 0.3329
P(X = 1) = (e^-1.1 * 1.1^1) / 1! = 0.3647
P(X = 2) = (e^-1.1 * 1.1^2) / 2! = 0.2006
Therefore, the probability of having more than 2 defects between meters 20 and 75 is:
P(X > 2) = 1 - (P(X = 0) + P(X = 1) + P(X = 2))
P(X > 2) = 1 - (0.3329 + 0.3647 + 0.2006)
P(X > 2) = 0.102
So the probability of having more than 2 defects in that range is approximately 0.102, or 10.2%.
FOR MORE INFORMATION ON Poisson formula SEE:
https://brainly.com/question/30388228
#SPJ11
To solve this problem, we need to use the Poisson distribution formula, which is:
P(X = k) = (e^-λ * λ^k) / k
where λ is the average rate of defects per unit length (in this case, per 100 meters), and k is the number of defects we're interested in.
First, we need to find the rate of defects per meter, which is:
λ' = λ / 100 = 0.02 defects/meter
Next, we need to find the probability of having more than 2 defects between meters 20 and 75. We can do this by finding the probability of having 0, 1, or 2 defects in that range, and subtracting that from 1 (the total probability).
Let X be the number of defects in the range from meter 20 to meter 75. Then, X follows a Poisson distribution with mean:
μ = λ' * (75 - 20) = 1.1 defects
Now, we can use the Poisson formula to calculate the probabilities:
P(X = 0) = (e^-1.1 * 1.1^0) / 0! = 0.3329
P(X = 1) = (e^-1.1 * 1.1^1) / 1! = 0.3647
P(X = 2) = (e^-1.1 * 1.1^2) / 2! = 0.2006
Therefore, the probability of having more than 2 defects between meters 20 and 75 is:
P(X > 2) = 1 - (P(X = 0) + P(X = 1) + P(X = 2))
P(X > 2) = 1 - (0.3329 + 0.3647 + 0.2006)
P(X > 2) = 0.102
So the probability of having more than 2 defects in that range is approximately 0.102, or 10.2%.
FOR MORE INFORMATION ON Poisson formula SEE:
https://brainly.com/question/30388228
#SPJ11
Jonathan is looking to buy a car and the he qualified for a 7-year loan from a bank offering an annual interest rate of 3.9%, compounded monthly Using the formula below, determine the maximum amount Jonathan can borrow, to the nearest dollar, if the highest monthly payment he can afford is $300
what proportion of a normal distribution is located in the tail beyond z = -1.00?
Hi, the proportion of a normal distribution located in the tail beyond z = -1.00 is approximately 0.3413 or 34.13%.
To find the proportion of a normal distribution located in the tail beyond z = -1.00, we will use the standard normal distribution table or a calculator with a z-table function.
Step 1: Identify the z-score. In this case, the z-score is -1.00.
Step 2: Use a calculator to look up the proportion in the standard normal distribution table. Using a z-table, we find that the proportion of the normal distribution up to z = -1.00 is 0.1587.
Step 3: Calculate the proportion in the tail.
Since the tail beyond z = -1.00 is to the left of this point, we need to calculate the remaining proportion.
To do this, subtract the proportion found in Step 2 from 0.5 (as half of the normal distribution is to the left of the mean, and the other half is to the right).
0.5 - 0.1587 = 0.3413
Therefore the answer is 0.3413 or 34.13%.
To learn more about normal distribution:
brainly.com/question/27275125
#SPJ11
if you divide polynomial f(x) by (x-7) and get a remainder of 5 what is f(7)
if you divide polynomial f(x) by (x-7) and get a remainder of 5 what is f(7) is 5.
The remainder theorem states that the remainder of the polynomial f(x) divided by (x-a) is f(a). In this case, it is known that the remainder of the division of f(x) by (x-7) is 5. Thus, from the remainder theorem, we get:
f(x) = (x-7)q (x ) + 5,
where q(x) is the quotient. To find the value of
f(7, we substitute x = 7 in the above equation:
f(7) = (7-7)q(7) + 5
7-7 = 0, so the first term drops out, leaving:
f(7) = 5
So, we can conclude that the value of f(7) is 5.
Learn more about the remainder theorem :
https://brainly.com/question/13547729
#SPJ11
Consider the arithmetic sequence 3,5,7,9
If n is an integer which of these functions generate the sequence
Answer:
A
C
Step-by-step explanation:
the functions that generate the sequence are;
1. 3 + 2n for n ≥ 0
n ≥ 0 means n starts from 0 till infinity
If n is substitute into the formula, it will give
3 + 2(0)
3+0=3
3 + 2(1)
3+2=5
3 + 2(2)
3+4=7
3 + 2(3)
3 +6=9
this formula is correct because it gives the arithmetic sequence
the second option is
-1 + 2n for n ≥ 0
n ≥ 2 means n starts from 2
if n is substituted into this formula, it gives
-1 + 2(2)
-1 +4=3
-1 +2(3)
-1+6=5
-1 + 2(4)
-1+8=7
-1 +2(5)
-1+10=9
this formula gives the arithmetic sequence which means the formula generated is correct
the other options are not right because it does not give the correct arithmetic sequence
Hope this helps!
.if the r.v x is distributed as uniform distribution over [-a,a], where a > 0. determine the parameter a, so that each of the following equalities holds a.P(-1 2)
Both equalities hold true for any value of a > 0, as the probability of a continuous random variable taking any specific value is always 0.
Given that the random variable x is uniformly distributed over the interval [-a,a], the probability density function (PDF) of x is given by:
f(x) = 1/(2a), for -a ≤ x ≤ a
f(x) = 0, otherwise
To determine the parameter a, we need to use the given equalities:
a. P(-1 < x < 1) = 0.4
The probability of x lying between -1 and 1 is given by:
P(-1 < x < 1) = ∫(-1)^1 f(x) dx
= ∫(-1)^1 1/(2a) dx
= [x/(2a)]|(-1)^1
= 1/(2a) + 1/(2a)
= 1/a
Therefore, we have:
1/a = 0.4
a = 1/0.4
a = 2.5
So, for the equality P(-1 < x < 1) = 0.4 to hold, the parameter a should be 2.5.
b. P(|x| < 1) = 0.5
The probability of |x| lying between 0 and 1 is given by:
P(|x| < 1) = ∫(-1)^1 f(x) dx
= ∫(-1)^0 f(x) dx + ∫0^1 f(x) dx
= [x/(2a)]|(-1)^0 + [x/(2a)]|0^1
= 1/(2a) + 1/(2a)
= 1/a
Therefore, we have:
1/a = 0.5
a = 1/0.5
a = 2
So, for the equality P(|x| < 1) = 0.5 to hold, the parameter a should be 2.
c. P(x > 2) = 0
The probability of x being greater than 2 is given by:
P(x > 2) = ∫2^a f(x) dx
= ∫2^a 1/(2a) dx
= [x/(2a)]|2^a
= (a-2)/(2a)
For the equality P(x > 2) = 0 to hold, we need:
(a-2)/(2a) = 0
a - 2 = 0
a = 2
So, for the equality P(x > 2) = 0 to hold, the parameter a should be 2.
Learn more about probability here: brainly.com/question/11234923
#SPJ11
assume that the random variable x is normally distributed, with mean =80 and a standard deviation =12. compute the probability p(x>95).
The probability P(X > 95) for a normally distributed random variable X is approximately 0.211.
How to compute the probability?To compute the probability P(X > 95) for a normally distributed random variable X with a mean of 80 and a standard deviation of 12, follow these steps:
1. Convert the raw score (95) to a z-score using the formula:
z = (x - mean) / standard deviation
z = (95 - 80) / 12
z ≈ 1.25
2. Use a standard normal distribution table or a calculator to find the area to the right of the z-score, which represents P(X > 95).
For z ≈ 1.25, the area to the right is ≈ 0.211
So, the probability P(X > 95) for a normally distributed random variable X with a mean of 80 and a standard deviation of 12 is approximately 0.211.
Learn more about probability
brainly.com/question/29381779
#SPJ11
find the value of x if 0.5% of is 45
Answer:
9000
Step-by-step explanation:
x of 0.5 % = 45
0.5 %
= 0.5/100
= 5/1000
= 1/200
x of 0.5 % = 45
x * 0.5 % = 45
x * 1/200 = 45
x/200 = 45
x = 45 * 200
x = 9000