4. A set of exam marks has mean 70, median 65, inter-quartile range 25 and SD 15 marks. It is decided to subtract 10 from all the marks. For the new set of marks, a) what is the mean? b) what is the m

Answers

Answer 1

If the inter-quartile range is 25 and SD 15 marks then For the new set of marks, a) the mean is 60, b) the median is 55.

By subtracting 10 from all the marks, we shift the entire distribution downward by 10 units. Since the mean represents the average value, subtracting 10 from each mark will decrease the mean by 10. Therefore, the new mean is 70 - 10 = 60.

The median represents the middle value in a sorted list of marks. Since we only subtract a constant value, the order of the marks remains unchanged, and the relative positions of the marks do not shift. Thus, subtracting 10 from all the marks will also decrease the median by 10. Therefore, the new median is 65 - 10 = 55.

It is important to note that subtracting a constant from all the marks does not affect the interquartile range (IQR) or the standard deviation (SD) because these measures are based on the relative positions and deviations of the marks rather than their absolute values.

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Related Questions

Suppose a board game dice (8 faces/sides) is rolled twice. What
is the probability (Pr) that the sum of the outcome of the two
rolls is?
Calculate the following given mathematical analysis Step by
Ste

Answers

The sample space would have 8 outcomes for the first roll and 8 outcomes for the second roll, resulting in a total of 8 x 8 = 64. The sample space S = { (1,1), (1,2), (1,3), ..., (8,7), (8,8) } contains all possible outcomes.

To find the sample space and set for the given situation of rolling a board game dice twice, we consider all possible outcomes that can occur.

For each roll, there are 8 possible outcomes since the dice has 8 faces or sides. Therefore, the first roll can result in any of the numbers 1, 2, 3, 4, 5, 6, 7, or 8. Similarly, the second roll can also result in any of these numbers.

To determine the sample space, we combine all possible outcomes of the first roll with all possible outcomes of the second roll. This results in a set of ordered pairs where each pair represents a specific outcome for both rolls. Since there are 8 possibilities for each roll, there are a total of 8 x 8 = 64 possible outcomes.

Thus, the sample space for rolling a board game dice twice is given by the set S = { (1,1), (1,2), (1,3), ..., (8,7), (8,8) }, where each element represents a specific outcome of the two rolls.

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Complete question:

Suppose a board game dice (8 faces/sides) is rolled twice. What is the probability (Pr) that the sum of the outcome of the two rolls is?

Calculate the following given mathematical analysis Step by Step

1. Find out Sample Space and Set

What is the net price of a 2-pole, 100-ampere, 230-volt entrance switch if the list price is $137 with successive discounts of 35% and 3%? Round to the nearest hundredth.

Answers

The net price of a 2-pole, 100-ampere, 230-volt entrance switch, if the list price is $137 with successive discounts of 35% and 3% is $ 80.72 (rounded to the nearest hundredth).

It is given the list price is $137 with successive discounts of 35% and 3%.To calculate the main answer (net price), let's find the first discount: Discount 1 = 35% of $137= 35/100 x 137= $ 47.95Therefore, the price after the first discount = List price − Discount 1= $ 137 − $ 47.95= $ 89.05Now let's find the second discount: Discount 2 = 3% of $89.05= 3/100 x 89.05= $ 2.67Therefore, the price after the second discount = Price after the first discount − Discount 2= $ 89.05 − $ 2.67= $ 86.38Hence, the net price (main answer) of a 2-pole, 100-ampere, 230-volt entrance switch is $ 80.72 (rounded to the nearest hundredth). Therefore, the main answer is $ 80.72.

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Which equation can be used to solve for the unknown number? Seven less than a number is thirteen.
a. n - 7 = 13
b. 7 - n = 13
c. n7 = 13
d. n13 = 7

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The equation that can be used to solve for the unknown number is option A: n - 7 = 13.

To solve for the unknown number, we need to set up an equation that represents the given information. The given information states that "seven less than a number is thirteen." This means that when we subtract 7 from the number, the result is 13. Therefore, we can write the equation as n - 7 = 13, where n represents the unknown number.

Option A, n - 7 = 13, correctly represents this equation. Option B, 7 - n = 13, has the unknown number subtracted from 7 instead of 7 being subtracted from the unknown number. Option C, n7 = 13, does not have the subtraction operation needed to represent "seven less than." Option D, n13 = 7, has the unknown number multiplied by 13 instead of subtracted by 7. Therefore, option A is the correct equation to solve for the unknown number.

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5- For the regression equation 9 = 7 - 1.2x the predicted value y when x=4is? a) 0 b) 2.2√ c) 3.4 $1.6 6- If A and B make a partition of the sample space, (i. e AUB-S). Then the probability that at

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For the regression equation 9 = 7 - 1.2x the predicted value y when x=4 is (b) 2.2√ is the predicted value of y.

The regression equation 9 = 7 - 1.2x is given. The task is to find the predicted value y when x = 4. Let's find out:

Putting x = 4 in the regression equation: 9 = 7 - 1.2x

⇒ y = 7 - 1.2(4)

⇒ y = 7 - 4.8

⇒ y = 2.2

Therefore, when x = 4, the predicted value of y is 2.2. Hence, the option (b) 2.2√ is correct.

Next, the second question is incomplete and the options are not provided. Please provide the complete question and options so that I can assist you better.

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5- For the regression equation 9 = 7 - 1.2x the predicted value y when x=4is? a) 0 b) 2.2√ c) 3.4 $1.6 6- If A and B make a partition of the sample space, (i. e AUB-S). Then the probability that at  least one of the events occur is equal to a) 0 b) 0.25 c) 0.50 7- Let X be a continuous random variable and pdf f(x)=, 0sxs3 then P<X<D) is: a)- b) 8- If X is a discrete random variable with values (2, 3, 4, 5), which of the following functions is the probability mass function of X: C) IS

The predicted value of y when x=4 for the regression equation 9 = 7 - 1.2x is 2.2.

Explanation:

Given the regression equation: 9 = 7 - 1.2x, we need to find the predicted value of y when x=4.

To do this, we substitute x=4 into the equation and solve for y.

Substituting x=4 into the equation, we have:

9 = 7 - 1.2 × 4

9 = 7 - 4.8

9 = 2.2

Therefore, the predicted value of y when x=4 is 2.2.

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Let Y be an exponential random variable with mean 2. Find P(Y > 1). O 0.283 0.135 O 0.865 O 0.607 O 0.717 O 0.950 O 0.050 O 0.393

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The probability P(Y > 1) is approximately 0.393, where Y be an exponential random variable with mean 2.

To find P(Y > 1) for an exponential random variable Y with mean 2, we can use the exponential distribution formula:

P(Y > 1) = 1 - P(Y ≤ 1)

Since the mean of an exponential distribution is equal to the reciprocal of the rate parameter (λ), and the rate parameter (λ) is equal to 1/mean, we can calculate the rate parameter as λ = 1/2.

Now, we can use the exponential distribution formula with the rate parameter λ = 1/2:

P(Y > 1) = 1 - P(Y ≤ 1) = 1 - (1 - e^(-λx)) = 1 - (1 - e^(-1/2 * 1)) = 1 - (1 - e^(-1/2)) ≈ 0.393

Therefore, the probability P(Y > 1) is approximately 0.393.

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the rectangular coordinates of a point are given. plot the point. (1, 5)

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To plot the point (1, 5) on a rectangular coordinate system, follow these steps:

Draw two perpendicular axes, the x-axis (horizontal) and the y-axis (vertical).

Label the x-axis and y-axis with appropriate numerical values, if necessary.

Locate the point (1, 5) on the graph by starting at the origin (0, 0) and moving 1 unit to the right along the x-axis.

From that point on the x-axis, move 5 units upward along the y-axis.

Mark the intersection of the x and y coordinates at the point (1, 5) on the graph.

The resulting plot will have a point labeled (1, 5) located 1 unit to the right of the origin and 5 units above it.

Visual representation:

      |          

      |          

      |          

      |          

      |   ●      

      |          

-------|-------

      |          

      1          

Note: The point (1, 5) is represented by the dot (●) in the visual representation.

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Before making a final decision on the production plan to adopt, the bakery's manager decides to contact Professor Leung in the Math Department to conduct a market research survey. The results of the survey will indicate either favourable or unfavourable market conditions for premium breads.

In the past, when there was medium demand, Professor Leung's predictions were favourable 46% of the time. The professor's predictions have also been unfavourable given low demand 85% of the time, and favourable given high demand 69% of the time.

Assume prior probabilities of 0.2 and 0.3 for high and low demand respectively.
Calculate posterior (revised) probabilities and enter them in the table below.
Round answers to 3 decimal places; do not round intermediate results.

Note:
  The first cell of the table represents P(Low | Favourable)
  The last cell of the table represents P(High | Unfavourable)
Low Medium High
Favourable
Unfavourable

Determine the marginal probabilities of favourable and unfavourable predictions.

P(Favourable)=P(Favourable)=

P(Unfavourable)=P(Unfavourable)=

Answers

P(Favorable) = P(Favorable) = 0.853

P(Unfavorable) = P(Unfavorable) = 0.474

The marginal probabilities of favorable and unfavorable predictions are given as follows:

P(Favorable) = P(Favorable) = (P(Favorable|Low) × P(Low)) + (P(Favorable|Medium) × P(Medium)) + (P(Favorable|High) × P(High)) = (0.46 × 0.3) + (0.5 × 0.5) + (0.69 × 0.2) = 0.465 + 0.25 + 0.138 = 0.853

P(Unfavorable) = P(Unfavorable) = (P(Unfavorable|Low) × P(Low)) + (P(Unfavorable|Medium) × P(Medium)) + (P(Unfavorable|High) × P(High)) = (0.54 × 0.3) + (0.5 × 0.5) + (0.31 × 0.2) = 0.162 + 0.25 + 0.062 = 0.474

The required table is given below:

Low Medium High

Favourable 0.358 0.25 0.138

Unfavourable 0.642 0.75 0.862

Therefore, the marginal probabilities of favorable and unfavorable predictions are:

P(Favorable) = P(Favorable) = 0.853

P(Unfavorable) = P(Unfavorable) = 0.474

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You are making extra part kits for a game. The table below lists the number of each part needed per kit, as well as the number of each part that you have available.
Part Number in each kit Number available
People marker 6 287
6-sided die 3 143
Teleporter marker 7 341
You make as many kits as you can. With the parts remaining, you could make 1 more kit if you had:
A.1 more people marker and 1 more die.
B.1 more die and 1 more teleporter marker.
C.1 more teleporter marker and 1 more people marker.
D.2 more people markers.
E.2 more teleporter markers.

Answers

In order to make one more kit with the remaining parts, you would need 1 more people marker and 1 more die using mathematical operations

Let's analyze the number of parts available and the requirements for each kit. To make a kit, you need 6 people markers, 3 six-sided dice, and 7 teleporter markers. From the available parts, you have 287 people markers, 143 six-sided dice, and 341 teleporter markers.

We can determine the maximum number of kits you can make by dividing the available quantity of each part by the number required per kit. For the people markers, you have enough to make 287 / 6 = 47 kits. For the six-sided dice, you have enough to make 143 / 3 = 47 kits as well. Finally, for the teleporter markers, you have enough to make 341 / 7 = 48 kits.

After making the maximum number of kits, you will have some remaining parts. To determine if you can make one more kit, you need to identify the part(s) for which you have the least availability. In this case, the limiting factor is the people marker, as you have only 287 available. Therefore, to make one more kit, you would need 1 more people marker. Additionally, since you have 143 six-sided dice available, you also need 1 more die to match the requirement. Therefore, the answer is A. 1 more people marker and 1 more die.

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the intelligence quotient (iq) test scores for adults are normally distributed with a population mean of 100 and a population standard deviation of 15.

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The intelligence quotient (IQ) test scores for adults are normally distributed with a population mean of 100 and a population standard deviation of 15.

If a person scores 130, it means that they have scored 2 standard deviations above the mean. About 2.5% of the population will score a 130 or higher on the IQ test. If a person scores below 70, it means that they have scored more than 2 standard deviations below the mean. Again, about 2.5% of the population will score a 70 or lower on the IQ test. In a sample of 100 people, we would expect the average IQ score to be 100. The given data isμ = 100σ = 15To determine the percentage of the population that scores above a certain level, we can use the Z-score formula. The Z-score formula is :Z = (X - μ) / σWhere,Z is the number of standard deviations fromthe meann XX is the individual scoreμ is the population meanσ is the population standard deviation. If a person scores 130 on the IQ test, the Z-score formula would look like this:Z = (130 - 100) / 15Z = 2.0This means that a person who scores 130 has scored 2 standard deviations above the mean.

We can use a Z-score table to determine the percentage of the population that scores a 2.0 or higher. About 2.5% of the population will score a 130 or higher on the IQ test. If a person scores below 70, the Z-score formula would look like this:Z = (70 - 100) / 15Z = -2.0This means that a person who scores 70 has scored more than 2 standard deviations below the mean. Again, we can use a Z-score table to determine the percentage of the population that scores a -2.0 or lower. About 2.5% of the population will score a 70 or lower on the IQ test.In a sample of 100 people, we would expect the average IQ score to be 100. This is because the population mean is 100. When we take a sample, we expect the average of that sample to be close to the population mean. The larger the sample size, the closer the sample mean will be to the population mean.

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find the taylor series for f centered at 5 if f(n)(5) = e5 14 for all n.

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The Taylor series for the function f centered at 5 is given by f(x) = [tex]e^5[/tex] + (x - 5)[tex]e^5[/tex] + (1/2!)[tex](x - 5)^2[/tex][tex]e^5[/tex] + (1/3!)[tex](x - 5)^3[/tex][tex]e^5[/tex] + ...

The Taylor series expansion of a function f(x) centered at a point a is given by the formula:

f(x) = f(a) + f'(a)(x - a) + (1/2!)f''(a)[tex](x - a)^2[/tex] + (1/3!)f'''(a)[tex](x - a)^3[/tex] + ...

In this case, we are given that f(n)(5) = [tex]e^5[/tex] * 14 for all n. This implies that all the derivatives of f at x = 5 are equal to [tex]e^5[/tex] * 14.

Therefore, the Taylor series for f centered at 5 can be written as:

f(x) = f(5) + f'(5)(x - 5) + (1/2!)f''(5)[tex](x - 5)^2[/tex] + (1/3!)f'''(5)[tex](x - 5)^2[/tex] + ...

Substituting the given values, we have:

f(x) = [tex]e^5[/tex] * 14 + (x - 5)[tex]e^5[/tex] * 14 + (1/2!)[tex](x - 5)^2[/tex][tex]e^5[/tex] * 14 + (1/3!)[tex](x - 5)^3[/tex][tex]e^5[/tex] * 14 + ...

Therefore, the Taylor series for f centered at 5 is given by the above expression.

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The lifetime in hours of an electronic tube is a random variable having a probability density function given by f(x)=xexp(−x),x≥0

Answers

The probability density function (PDF) for the lifetime of an electronic tube is f(x) = x ˣ exp(-x), x ≥ 0.

What is the probability density function for the lifetime of an electronic tube?

To determine the probability density function (PDF) for the lifetime of an electronic tube, we are given the function:

f(x) = x ˣ exp(-x), x ≥ 0

To ensure that the PDF integrates to 1 over the entire range, we need to determine the appropriate normalization constant. We can achieve this by integrating the function over its entire range and setting it equal to 1:

∫[0,∞] f(x) dx = ∫[0,∞] (x ˣ exp(-x)) dx = 1

To solve this integral, we can integrate by parts:

Let u = x, dv = exp(-x) dx

Then du = dx, v = -exp(-x)

∫[0,∞] (x ˣ exp(-x)) dx = -x ˣ exp(-x) - ∫[0,∞] (-exp(-x)) dx= -x ˣ exp(-x) + exp(-x) |_0^∞= 0 + 1 = 1

Therefore, the PDF is normalized, and the probability density function for the lifetime of an electronic tube is given by:

f(x) = x ˣ exp(-x), x ≥ 0

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determine whether the set 6 6 6 , 6 6 0 , 6 0 0 is a basis for ℝ3. if the set is not a basis, determine whether the set is linearly independent and whether the set spans ℝ3.

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The set { (6, 6, 6), (6, 6, 0), (6, 0, 0) } is not a basis for ℝ3 because it is not linearly independent. However, it does span ℝ3.

To determine if the set { (6, 6, 6), (6, 6, 0), (6, 0, 0) } is a basis for ℝ3, we need to check two conditions: linear independence and spanning.

Linear Independence:

We can check linear independence by forming a matrix with the vectors as columns and finding its rank. If the rank is equal to the number of vectors, the set is linearly independent.

Forming the matrix and performing row reduction, we find that the rank is 2, which is less than 3 (the number of vectors). Therefore, the set is not linearly independent.

Spanning:

To check if the set spans ℝ3, we need to determine if any vector in ℝ3 can be expressed as a linear combination of the vectors in the set. Since the vectors in the set have non-zero entries only in the first component, any vector in ℝ3 that has non-zero entries in the second or third component cannot be obtained as a linear combination. Thus, the set does not span ℝ3.

In conclusion, the set { (6, 6, 6), (6, 6, 0), (6, 0, 0) } is not a basis for ℝ3. It is not linearly independent but it does not span ℝ3.

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Tally job satisfaction in general completely dissatisfied completely satisfied fairly dissatisfied fairly satisfied neither satisfied nor dissatisfied very dissatisfied very satisfied |N= * 11 Count 5

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The tally chart represents job satisfaction levels, categorized as "completely dissatisfied," "completely satisfied," "fairly dissatisfied," "fairly satisfied," "neither satisfied nor dissatisfied," "very dissatisfied," and "very satisfied.

Each category is represented by tally marks denoted as "|N=" and the count for the "completely dissatisfied" category is indicated as "*".

Job satisfaction is a crucial aspect of one's professional life as it directly impacts overall well-being, motivation, and productivity. In this particular survey, participants were asked to express their level of job satisfaction by choosing from different categories. The "completely dissatisfied" category refers to individuals who are extremely unhappy with their job situation.

According to the tally chart, the count for the "completely dissatisfied" category is 5. This implies that out of the total respondents, five individuals expressed a high level of dissatisfaction with their jobs. It is important to note that these results are specific to the survey sample and may not be representative of the entire population.

Job dissatisfaction can have various underlying reasons, such as inadequate compensation, lack of career growth opportunities, poor work-life balance, unsupportive work environment, or mismatch between job expectations and reality. When employees are completely dissatisfied, it often results in decreased morale, reduced productivity, and a higher likelihood of turnover.

Addressing job dissatisfaction requires a proactive approach from employers and organizations. They should focus on understanding the concerns and grievances of dissatisfied employees and take appropriate measures to improve job satisfaction. This can include offering competitive salaries and benefits, providing opportunities for skill development and career advancement, fostering a positive work culture, and implementing policies that support work-life balance.

By addressing the specific concerns of dissatisfied employees, organizations can create a more engaged and motivated workforce. This, in turn, can lead to increased productivity, higher employee retention rates, and a positive impact on overall organizational performance.

In conclusion, the tally chart indicates that five individuals expressed complete dissatisfaction with their job. Addressing job dissatisfaction is crucial for organizations to create a supportive and engaging work environment, which can positively impact employee motivation, productivity, and overall satisfaction. Organizations should strive to understand the underlying reasons for job dissatisfaction and take appropriate actions to improve job satisfaction levels for the well-being of their employees and the success of the organization.

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19-21: A statistics class is taken by a group of registered students. In the third test, the correlation between the study hours and test scores was calculated and the value is r = 0.576. Use the corr

Answers

The value of the coefficient of determination is 0.331776.

The given correlation coefficient, r = 0.576, is used to find the coefficient of determination, which is the square of the correlation coefficient.  

To obtain the coefficient of determination, we will square the value of the correlation coefficient:

r = 0.576;

r² = (0.576)²

= 0.331776

So, the value of the coefficient of determination is 0.331776.

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IfE and F are two disjoint events in S with P(E)=0.44 and P(F) = 0.32, find P(E U F), P(EC), P(En F), and P((E u F)C) PLEUF)= PIEC)= P(EnF)= PILE U F))=

Answers

The probabilities related to two disjoint events E and F in a sample space S, where P(E) = 0.44 and P(F) = 0.32, we need to find the probability of their union (E U F), the complement of E (EC), the intersection of E and F (EnF), and the complement of their union ((E U F)C).

The probability of the union of two disjoint events E and F, denoted as P(E U F), can be calculated by summing their individual probabilities since they have no elements in common. Thus, P(E U F) = P(E) + P(F) = 0.44 + 0.32 = 0.76.

The complement of event E, denoted as EC, represents all the outcomes in the sample space S that are not in E. The probability of EC, denoted as P(EC), can be calculated by subtracting P(E) from 1 since the probabilities in a sample space always add up to 1. Therefore, P(EC) = 1 - P(E) = 1 - 0.44 = 0.56.

The intersection of events E and F, denoted as EnF, represents the outcomes that are common to both E and F. Since E and F are disjoint, their intersection is an empty set, meaning EnF has no elements. Therefore, the probability of EnF, denoted as P(EnF), is 0.

The complement of the union of events E and F, denoted as (E U F)C, represents all the outcomes in the sample space S that are not in their union. This can be calculated by subtracting P(E U F) from 1. Hence, P((E U F)C) = 1 - P(E U F) = 1 - 0.76 = 0.24.

To summarize:

P(E U F) = 0.76

P(EC) = 0.56

P(EnF) = 0

P((E U F)C) = 0.24

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Find the probability that a randomly
selected point within the circle falls
in the red shaded area.
r = 4 cm
a = 3.2 cm
s = 4.7 cm
[? ]%
Round to the nearest tenth of a percent

Answers

The radius of the circle = r = 4 cm.The length of the segment = a = 3.2 cm.The length of the chord = s = 4.7 cm.We need to find the probability that a randomly selected point within the circle falls in the red shaded area.The red shaded area is a segment of the circle.

Let O be the centre of the circle. Join OA and OB.Let the chord AB cut the circle at C. Join OC. Now, ΔOCA and ΔOCB are congruent (RHS congruence) becauseOA = OB (radii of the same circle)AC = BC (length of the chord)OC = OC (common side)Therefore, ∠OCA = ∠OCB = θ (say)Also, ∠OAC = ∠OBC (vertically opposite angles)Now, ∠OCA + ∠OAC = 90° (angle sum property of the triangle) ⇒ θ + ∠OAC = 90°and ∠OCB + ∠OBC = 90° (angle sum property of the triangle) ⇒ θ + ∠OBC = 90°Adding the above two equations, we get,2θ + ∠OAC + ∠OBC = 180°2θ + ∠AOB = 180° (angles in a straight line)θ = (180° - ∠AOB) / 2

Therefore, θ = (180° - ∠AOB) / 2= (180° - 60°) / 2= 60° / 2= 30°Using the formula for the area of the segment of the circle, we have,Area of the segment = (1/2)rsinθArea of the segment = (1/2)×4×7.56×(sin30°)Area of the segment = 6.28 cm2Now, the area of the circle is πr2 = π×42 = 16π cm2.So, the probability that a randomly selected point within the circle falls in the red shaded area is given by the ratio of the area of the segment to the area of the circle.P(red shaded area) = Area of the segment/Area of the circleP(red shaded area) = 6.28/(16π)P(red shaded area) = 0.125 or 12.5%Therefore, the required probability is 12.5%.Hence, the answer is 12.5%.

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Find the area of the surface.
The part of the cylinder x2+ z2 4 that lies above the square with vertices (O, 0), (1, 0), (0, 1), and (1, 1)

Answers

The given equation is x² + z² = 4, which is a cylinder of radius 2, and the square has vertices O(0,0), P(0,1), Q(1,1), and R(1,0) with sides of length 1.To find the surface area of the given cylinder, we have to find the area of its top, bottom, and curved surface and then add them together.

Now, let's use integration to calculate the curved surface area of the cylinder.

Integration:x² + z² = 4...eq1z² = 4 − x²dz/dx = -x/√(4-x²)...eq2

Surface area,

S = ∫∫√(1 + (∂z/∂x)² + (∂z/∂y)²) dA...eq3

Since the surface area is symmetrical, it will be twice the area of one quadrant.

S = 2 * ∫(1/2 ∫0¹ z dx) dy where the limits of integration for x are from 0 to 1, and for y from 0 to 1.S = ∫0¹ ∫0¹ z dy dx...eq4Putting the value of z from eq1 to eq4,

S = ∫0¹ ∫0¹ √(4 - x²) dy dx Putting the limits,

we have:S = ∫0¹ √(4 - x²) dx

Therefore, on evaluating the integralS = πr²S = π * 2² = 4π square unitsHence, the surface area of the part of the cylinder x² + z² = 4 that lies above the square with vertices (0, 0), (1, 0), (0, 1), and (1, 1) is 4π square units.

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The random variable x is the number of occurrences of an event over an interval of 15 minutes. It can be assumed that the probability of an occurrence is the same in any two time periods of an equal length. It is known that the mean number of occurrences in 15 minutes is 7.4. The expected value of the random variable X is: 15. 3.7. 2. 7,4.

Answers

The given problem is related to the concept of the expected value of a discrete random variable. Here, the random variable X represents the number of occurrences of an event over an interval of 15 minutes. It is given that the mean number of occurrences in 15 minutes is 7.4.

It can be assumed that the probability of an occurrence is the same in any two time periods of equal length.The expected value of a discrete random variable is the weighted average of all possible values that the random variable can take.For a discrete random variable X, the expected value E(X) is calculated using the formula: E(X) = Σ[xP(x)]Here, x represents all possible values that X can take and P(x) represents the probability that X takes the value x.

Therefore, we have to use the formula: E(X) = Σ[xP(x)]To use this formula, we need to know all possible values of X and the probability that X takes each of these values.  Therefore, the correct answer is option D: 7.4.

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f varies directly with m and inversely with the square of d . if d = 4 when m = 800 and f = 200 , find d when m = 750 and f = 120 .

Answers

Let f = k(m/d²) be an equation in the form of f varying directly with m and inversely with the square of d, where k is a constant that is determined by the initial conditions provided by the problem.

In mathematics, a direct variation is a mathematical relationship between two variables. If y is directly proportional to x, that is, if y = kx for some constant k, the constant k is the proportionality constant of the direct variation. A variation in which the product of two variables is constant is known as an inverse variation. This implies that if one variable increases, the other must decrease and vice versa. The relationship between f, m, and d is a combined variation because it involves both direct and inverse variations. This may be written as:

f = k(m/d²) where k is the constant of variation.

Determine the value of k by substituting the provided values of f, m, and d into the equation.

f = k(m/d²)

200 = k(800/4²)

200 = k(800/16)

200 = k(50)

k = 4

Substituting the value of k into the original equation yields:

f = 4(m/d²)

Using this equation to find the value of d when m = 750 and f = 120 yields:

f = 4(m/d²)

120 = 4(750/d²)

30 = 750/d²

d² = 750/30

d² = 25

d = ±5

However, since d cannot be negative, the answer is d = 5.

Therefore, the value of d when m = 750 and f = 120 is 5.

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Use the figure to identify each pair of angles as complementary angles, supplementary angles, vertical angles, or none of these.
a.angles 1 and 5
b.angles 3 and 5
c.angles 3 and 4

Answers

a. Angles 1 and 5 are vertical angles.

b. Angles 3 and 5 are complementary angles.

c. Angles 3 and 4 are supplementary angles.

Explanation:

a. Angles 1 and 5 are vertical angles. Vertical angles are formed by the intersection of two lines and are opposite to each other. In the given figure, angles 1 and 5 are opposite angles formed by the intersection of the lines, and therefore they are vertical angles.

b. Angles 3 and 5 are complementary angles. Complementary angles are two angles whose sum is 90 degrees.

In the given figure, angles 3 and 5 add up to form a right angle, which is 90 degrees. Hence, angles 3 and 5 are complementary angles.

c. Angles 3 and 4 are supplementary angles. Supplementary angles are two angles whose sum is 180 degrees.

In the given figure, angles 3 and 4 form a straight line, and the sum of the measures of the angles in a straight line is 180 degrees. Therefore, angles 3 and 4 are supplementary angles.

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Solve for dimensions

Answers

The dimensions of the field are 16 meters by 14 meters or 14 meters by 16 meters.

Let's solve for the dimensions of the rectangular plot of land. Let's assume the length of the plot is L meters and the width is W meters.

Given that the perimeter of the fence is 60 meters, we can write the equation:

2L + 2W = 60

We are also given that the area of the land is 224 square meters, so we can write another equation:

L * W = 224

Now we have a system of two equations with two variables. We can solve this system of equations to find the values of L and W.

From the first equation, we can simplify it to L + W = 30 and rearrange it to L = 30 - W.

Substituting this value of L into the second equation, we get:

(30 - W) * W = 224

Expanding the equation, we have:

30W - W^2 = 224

Rearranging the equation, we get a quadratic equation:

W^2 - 30W + 224 = 0

We can factorize this equation:

(W - 14)(W - 16) = 0

So, we have two possible values for W: W = 14 or W = 16.

Substituting these values into the equation L + W = 30, we find:

If W = 14, then L = 30 - 14 = 16

If W = 16, then L = 30 - 16 = 14.

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1₁,6X and X2 are 2 Randan vanables (Normally Distributed) 4262 Cor (X₁, X₂) = S Excercise: Show that Cov[X₁ X₂ ] = f Given that: x₁ = M₁ + 6₁.Z₁ X₂ = 1₂ + 6₂ (S-Z₁ + √₁-g

Answers

The resultant function is: Cov[X₁,X₂] = 0.4262 + M₁(1₂ + 6₂(S - Z₁ + √(1-g)))

Given the variables, 1₁,6X, and X2 are normally distributed and the correlation between X₁ and X₂ is 0.4262, we have to show that Cov[X₁, X₂] = f.

We are also given that x₁ = M₁ + 6₁.Z₁ and x₂ = 1₂ + 6₂(S - Z₁ + √(1-g)).

Covariance is defined as:

Cov(X₁,X₂) = E[(X₁ - E[X₁])(X₂ - E[X₂])]

To show that Cov[X₁,X₂] = f, we have to find the value of f.

E[X₁] = M₁E[X₂]

= 1₂ + 6₂(S - Z₁ + √(1-g))E[X₁X₂]

= Cov[X₁,X₂] + E[X₁].E[X₂]Cov[X₁,X₂]

= E[X₁X₂] - E[X₁].E[X₂]

= 0.4262 + M₁(1₂ + 6₂(S - Z₁ + √(1-g)))

Therefore,Cov[X₁,X₂] = 0.4262 + M₁(1₂ + 6₂(S - Z₁ + √(1-g)))

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The differential equation shown below models temperature, T, of a body as a function of time, t, (seconds). The initial temperature, T(0) = 90°C. Use Euler's method with %3D time steps of 0.5 seconds to determine the temperature (in °C) of the body at a time equal to 1.5 seconds.b

Answers

Firstly, we need to know the given differential equation.The differential equation is:dT/dt = -k(T - A)Where:T = Temperature (in °C)t = Time (in seconds)k = ConstantA = Ambient Temperature (in °C)We also know that the initial temperature, T(0) = 90°C.

Now, we can use Euler's method with time steps of 0.5 seconds to determine the temperature (in °C) of the body at a time equal to 1.5 seconds.Step 1:We need to find the value of k. The value of k is given in the question. k = 0.2.Step 2:We also know that T(0) = 90°C. Therefore, T(0.5) can be found using the following formula:T(0.5) = T(0) + [dT/dt] × ΔtwhereΔt = 0.5 secondsdT/dt = -k(T - A)T(0) = 90°C

Therefore,T(0.5) = 90 + [-0.2(90 - 20)] × 0.5T(0.5) = 68°CStep 3:We can now use T(0.5) to find T(1.0) using the same formula:T(1.0) = T(0.5) + [dT/dt] × ΔtwhereΔt = 0.5 secondsdT/dt = -k(T - A)T(0.5) = 68°CTherefore,T(1.0) = 68 + [-0.2(68 - 20)] × 0.5T(1.0) = 51.6°CStep 4:Finally, we can use T(1.0) to find T(1.5) using the same formula:T(1.5) = T(1.0) + [dT/dt] × ΔtwhereΔt = 0.5 secondsdT/dt = -k(T - A)T(1.0) = 51.6°CTherefore,T(1.5) = 51.6 + [-0.2(51.6 - 20)] × 0.5T(1.5) = 39.86°CTherefore, the temperature (in °C) of the body at a time equal to 1.5 seconds is approximately 39.86°C.

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There are 453 students at Alexander II Elementary School, of which 80 are 5th graders. The flu has been spreading among all of the other grades aside from the 5th grade. The probability that a student is not in the 5th grade and gets the flu is 30%. Given that the student is not in the 5th grade, what is the probability they get the flu?

Answers

The required probability is 12.43% or 0.1243 (rounded to two decimal places).

The number of students not in the fifth grade is `453 - 80 = 373` students. Let's call the event that a student has the flu F and the event that a student is not in the fifth grade N. Therefore, the probability of a student not being in fifth grade and getting flu is P(F ∩ N). We are given P(N) = 1 - P(5th grade) = 1 - 80/453 = 373/453 = 0.823, and P(F | N) = 0.3. We are to find P(F | N), the probability that a student has the flu given that they are not in the fifth grade. We can use the Bayes' theorem. According to Bayes' theorem, P(F ∩ N) = P(N | F) P(F) = P(F | N) P(N).So, P(F | N) = [P(N | F) P(F)] / P(N)Now, we can substitute the given probabilities to find P(F | N).P(F | N) = [P(N | F) P(F)] / P(N)= [(1-P(F | N))P(F)] / P(N)= [0.7 × (1-0.823)] / 0.823≈ 0.1243Therefore, the probability that a student not in the 5th grade gets the flu is about 0.1243 or approximately 12.43% or 0.1243 × 100% = 12.43% (rounded to two decimal places).Hence, the required probability is 12.43% or 0.1243 (rounded to two decimal places).

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When using BINOM.DIST to calculate a probability mass function, which argument should be set to FALSE?
Select an answer:
number_s
probability_s
trials
cumulative

Answers

When using BINOM.DIST to calculate a probability mass function, the argument "cumulative" should be set to FALSE. The Option D.

Which argument should be set to FALSE when using BINOM.DIST for a probability mass function?

In the BINOM.DIST function in Excel, the "cumulative" argument determines whether the function calculates the cumulative probability or the probability mass function.

When set to TRUE, the function calculates the cumulative probability up to a specified value. But when set to FALSE, it calculates the probability mass function for a specific value or range of values. By setting the "cumulative" argument to FALSE, you can obtain the probability of a specific outcome or a set of discrete outcomes in a binomial distribution.

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Calculate and interpret the residual for the year when the average march temperature was 4 degrees Celsius and the first blossom was April 14

Equation: y= 33.1203-4.6855x

Answers

The residual for the given data is approximately -0.3783.

To calculate the residual, we first need to determine the predicted value of the response variable (y) based on the given equation and the provided values of x (average March temperature) and y (first blossom date).

The equation given is: y = 33.1203 - 4.6855x

Given:

Average March temperature (x) = 4 degrees Celsius

First blossom date (y) = April 14

Substituting the values into the equation:

y = 33.1203 - 4.6855(4)

y = 33.1203 - 18.742

Simplifying:

y ≈ 14.3783

The predicted value for the first blossom date is approximately April 14.3783.

To calculate the residual, we subtract the predicted value from the observed value:

Residual = Observed value - Predicted value

Given:

Observed value = April 14

Predicted value = April 14.3783

Residual = April 14 - April 14.3783

Residual ≈ -0.3783

The residual for the given data is approximately -0.3783.

Interpretation: A negative residual indicates that the observed value (April 14) is slightly less than the predicted value (April 14.3783). This suggests that the first blossom date occurred slightly earlier than expected based on the average March temperature of 4 degrees Celsius.

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160°
Find the value of angle marked t in th
diagram.

Answers

The value of the angle marked t in the diagram is determined as 80⁰.

What is the value of angle marked t in the diagram?

The value of the angle marked t in the diagram is calculated by applying circle theorem as follows;

For this given problem, we will apply the circle theorem that states that the angle subtended at the center of the circle is twice the angle subtended at the circumference of the circle.

The value of the angle marked t in the diagram is calculated as;

2t = 160⁰

divide both sides of the equation by 2;

2t / 2 = 160 / 2

t = 80⁰

Thus, the value of the angle marked t in the diagram is calculated by applying circle theorem.

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determine whether the sequence converges or diverges. if it converges, find the limit. (if an answer does not exist, enter dne.) an = cos(n/2)

Answers

The given sequence is defined by an=cos(n/2). Now, we are supposed to determine if the sequence converges or diverges and if it converges, we are supposed to find the limit.

The given sequence is defined by an=cos(n/2). Now, we are supposed to determine if the sequence converges or diverges and if it converges, we are supposed to find the limit. Using the limit comparison test, the limit as n approaches infinity of cos(n/2) over 1/n is 0. As a result, the given sequence and the harmonic series have the same behavior. Thus, the series diverges. When a sequence is divergent, it does not have any limit, and the limit does not exist, which means the limit in this case is DNE.

Since it has been proven that the given sequence diverges, its limit does not exist (DNE). Therefore, the answer to the question "determine whether the sequence converges or diverges. if it converges, find the limit. (if an answer does not exist, enter dne.) an = cos(n/2)" is "The sequence diverges, and the limit is DNE."

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jenna is redoing her bathroom floor with tiles measuring 6 in. by 14 in. the floor has an area of 8,900 in2. what is the least number of tiles she will need?

Answers

The area of the bathroom floor = 8,900 square inchesArea of one tile = Length × Width= 6 × 14= 84 square inchesTo determine the least number of tiles needed, divide the area of the bathroom floor by the area of one tile.

That is:Number of tiles = Area of bathroom floor/Area of one tile= 8,900/84= 105.95SPSince she can't use a fractional tile, the least number of tiles Jenna needs is the next whole number after 105.95. That is 106 tiles.Jenna will need 106 tiles to redo her bathroom floor.

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Identify the function shown in this graph.
-54-3-2-1
5
132
-
-1
2345
1 2 3 4 5
A. y=-x+4
OB. y=-x-4
OC. y=x+4
OD. y=x-4

Answers

Answer:

Step-by-step explanation:

a

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