How do you write 1000 in expanded form?.

Answers

Answer 1

The number 1000 can be written in its expanded form as

1000 = 1×10³ + 0×10² + 0×10 + 0

Given, a number 1000

we have to write the given number in its expanded form

so, 1000 can be written in its expanded form as

1000 = 1×10³ + 0×10² + 0×10 + 0

and it is the expanded form of the number 1000

where, the place value of 1 is thousand.

So, the number 1000 can be written in its expanded form as

1000 = 1×10³ + 0×10² + 0×10 + 0

Hence, the number 1000 can be written in its expanded form as

1000 = 1×10³ + 0×10² + 0×10 + 0

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Related Questions

When you want a method to be able to change the value of a variable that is passed to it as an argument, the variable must be .
passed by reference

Answers

If you want a method to be able to alter the value of a variable that is supplied to it as an argument. The variable must be pass by reference.

Given that,

If you want a method to be able to alter the value of a variable that is supplied to it as an argument. The variable must be------.

We have to fill the blank.

We know that,

What is a variable?

A variable is an alphabet used to represent an unknown quantity in algebra. It embodies the value. In mathematics, a variable is a value that can be changed depending on the problem. Numerous algebraic expressions and equations use the generic letters x, y, and z. Or to put it another way, a variable is a symbol for a number whose value is unknown.

Therefore, If you want a method to be able to alter the value of a variable that is supplied to it as an argument. The variable must be pass by reference.

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The position vector r describes the path of an object moving in space. Find the velocity v(t), speed s(t), and acceleration a(t), of the object. r(t) = ti + t2j + t2 2 k

Answers

The velocity v(t), speed s(t), and acceleration a(t), of the object are explained below.

What is a vector?

A vector is an amount or peculiarity that has two free properties: greatness and bearing. The term likewise means the numerical or mathematical portrayal of such an amount. Instances of vectors in nature are speed, energy, force, electromagnetic fields, and weight.

According to given data in the question:

We have given,

r(t) = ti+t^2j+t^2k/2 at t = 4

For velocity = dr(t)/dt=d( ti+t^2j+t^2k/2)/dt

v(t) = i+2tj+tk

put t = 4

velocity= i+8j+4k

And speed =[tex]\sqrt{(1)^2+(8)^2+(4)^2}[/tex]= [tex]\sqrt{81}[/tex]= 9 unit/second

acceleration =dv(t)/dt=d( i+2tj+tk)/dt = 2j+k

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apply the karatsuba multiplication procedure for the product: 1234 x 4321. bring this 4-digit multiplication down to 1-digit multiplication and then multiply. use the method discussed in the class.

Answers

The solution of 1234 x 4321 using Karatsuba  multiplication is 5332114

Given,

1234 x 4321

We have to find the solution using Karatsuba  multiplication;

Karatsuba multiplication;

The first multiplication algorithm that was asymptotically quicker than the quadratic "grade school" technique was the Karatsuba algorithm. For sufficiently big n, the Schönhage-Strassen algorithm (1971) is even faster than the Toom-Cook algorithm (1963), which is a faster generalisation of Karatsuba's approach.

Here,

1234 x 4321

Lets see,

12      +      34       =      46

×                 ×                 ×

43     +      21       =       64

                                 2944 -

516    +   714      =      1230

                                 1714

Now,

516 × 100² + 714 + 1714 x 100 = 5332114

That is,

The solution of 1234 x 4321 using Karatsuba  multiplication is 5332114

 

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one of the digits marcel writes down is chosen at random. what is the probability that this digit is a ?

Answers

The probability of randomly selecting alphabet a is 1/26.

What is probability?

Simply put, the probability is the likelihood that something will occur. When we don't know how an event will turn out, we can discuss the likelihood or likelihood of several outcomes.

Statistics is the study of events that follow a probability distribution.

An event's probability is a number between 0 and 1, where, roughly speaking, 0 denotes the event's impossibility and 1 denotes certainty.

So, the probability of the digit a:

We know that there are 26 digits in the alphabet.

Marcel selects 1 digit at random.

The probability of digit a will be:

The probability formula: P(E) = Favourable events/Total events

Put values and calculate:

P(E) = Favourable events/Total events

P(E) = 1/26

Therefore, the probability of randomly selecting alphabet a is 1/26.

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How do you know if a limit is infinity or negative infinity?.

Answers

the limit will go to infinity or negative infinity (depending on the sign of the function).

How do you know if a limit is infinity or negative infinity?

The limit as x approaches zero would be negative infinity, since the graph goes down forever as you approach zero from either side: As a general rule, when you are taking a limit and the denominator equals zero, the limit will go to infinity or negative infinity (depending on the sign of the function).

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kelly earns $288 during her first 8 hour shift. how much would kelly earn on a full paycheck of 36 hours? interpret your answer.

Answers

Answer:

$1,296

Step-by-step explanation:

kelly earns $288 during her first 8 hour shift. how much would kelly earn on a full paycheck of 36 hours? interpret your answer.

288/8 = $36 per hour

If she worked 36 hours at $36 per hour:

36* $36 = $1,296

The correlation coefficient r between the values assumed by two variables, X
and Y is .75, the standard deviations of X and Y are Sx=1.88 and Sy=2.45
respectively, and the point (13, 9) is on the line of best fit.
A. Find the slope of the line of best fit to the raw-score scatterplot.
B. Find the equation of the line of best fit.
C. Find y given that . x = 12

Answers

The slope of the line of best fit to the raw-score scatter plot is 0.98

The equation is y = 0.98x - 3.74The value of y given that x = 12 is 8.02

How to determine the slope of the line?

From the question, we have the following parameters that can be used in our computation:

Standard deviations of X, Sx = 1.88Standard deviations of Y, Sy =2.45Correlation coefficient, r between X and Y = 0.75

The slope (b) of the line is calculated as

b = r * Sy/Sx

Substitute the known values in the above equation, so, we have the following representation

b = 0.75 * 2.45/1.88

Evaluate

b = 0.98

The equation of the line of best fit

A linear equation is represented as

y = bx + c

Where

Slope = b

y-intercept = c

In (a), we have

b = 0.98

So, we have

y = 0.98x + c

Recall that the point (13, 9) is on the line of best fit.

So, we have

9 = 0.98 * 13 + c

This gives

9 = 12.74 + c

Evaluate

c = -3.74

So, we have

y = 0.98x - 3.74

The value of y from x

Here, we have

x = 12

So, we have

y = 0.98 x 12 - 3.74

Evaluate

y = 8.02

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A line of best fit was drawn for the scatter plot below.

Determine the residuals associated with the following x-values.

Answers

The residuals which are associated with the given x values are as follows;

1). For x = 1; Residual = 0.

2). For x = 2; Residual = 1.

3). For x = 3; Residual = -1.

4). For x = 4; Residual = 0.5.

5). For x = 5; Residual = 0.

What are residuals of a scatter plot?

A residual is the difference between what is plotted on a scatter plot at a specific point, and what the regression equation (straight line) predicts "should be plotted" at this specific point.

Consequently, the residuals in each case are;

1). For x = 1; Residual = 1 - 1 = 0.

2). For x = 2; Residual = 3 - 2 = 1.

3). For x = 3; Residual = 2 - 3 = -1.

4). For x = 4; Residual = 4.5 - 4 = 0.5.

5). For x = 5; Residual = 5 - 5 = 0.

Ultimately, the residual values are as listed above.

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determine whether the series is convergent or divergent. if it is convergent, find its sum. (if the quantity diverges, enter diverges.) 1/3+ 2/9+1/27+2 81+1/243+2/729+...

Answers

The series is convergent with sum 5/8

A series is said to be convergent, if it converges to a value as the terms of series tends to infinity.

A series is said to divergent, it it does not converge to a value but keeps on either increasing or decreasing as the terms of series tends to infinity.

In the question ,

[tex]\frac{1}{3} +\frac{2}{9} + \frac{1}{27} +\frac{2}{81}+..[/tex] is given series

dividing the series into two parts ,

[tex](\frac{1}{3} +\frac{1}{27} +\frac{1}{243}+..)[/tex] + [tex](\frac{2}{9} + \frac{2}{81} + \frac{2}{729}+...)[/tex]

Using infinite geometric series formula both the side ,

=> [tex]\frac{\frac{1}{3}}{1- \frac{1}{9}} + \frac{\frac{1}{2}}{1- \frac{1}{9}}[/tex]

=> [tex]\frac{1/3}{8/9}+ \frac{1/2}{8/9}[/tex]

=>  [tex]\frac{3}{8} + \frac{1}{4}[/tex]

=> [tex]\frac{5}{8}[/tex]

Hence , the series is convergent.

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A political researcher takes a survey of 300 randomly selected registered voters in atlanta, and each person was asked who they plan on voting for in the 2020 mayoral election. 101 said they plan on voting for candidate a, 184 said they plan on voting for candidate b, and 15 were unsure or plan to vote for another candidate. In question 8, the political researcher estimated p, the population proportion of all registered voters in atlanta who plan to vote for candidate a, with a 95% confidence interval. The researcher now wants to estimate p with a margin of error of 3%. What is the minimum sample size needed?.

Answers

we are 99% confident that the population proportion lies between the confidence interval.

What is confidence interval?

In statistics, a confidence interval describes the likelihood that a population parameter would fall between a set of values for a given percentage of the time.

Confidence ranges that include 95% or 99% of anticipated observations are frequently used by analysts. Therefore, it can be concluded that there is a 95% probability that the true value falls within that range if a point estimate of 10.00 is produced from a statistical model with a 95% confidence interval of 9.50 - 10.50.

margin of error =E

=0.03p

=101/300

=0.337

For 95% CI, alpha is 5% and z=1.96

Sample size n=(z/E)² × (p(1-p)

=(1.96/0.03)² × (0.337(1-0.337))

=953.7

=954(approximately)

confidence interval is interpreted as that we are 99% confident that the population proportion lies between the confidence interval.

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the sides of a parallelogram are 11 feet and 17 feet. the longer diagonal is 22 feet. find the length of the shorter diagonal.

Answers

Length of the shorter diagonal of the parallelogram will be 18.46 feet

Let the Parallelogram ABCD with BD and AC as it’s diagonal

According to the question,

AB = 17 feet

AD = 11 feet

As the opposite sides of a parallelogram are parallel and equal

Therefore, AB = CD = 17 feet

                AD = BC = 11 feet

Also the longer diagonal, BD = 22 feet

In triangle BCD, using cosine formula

[tex]BD^{2}[/tex] = [tex]CD^{2}[/tex] + [tex]BC^{2}[/tex]- 2BC.CD.CosC

[tex]22^{2}[/tex] = [tex]17^{2}[/tex] + [tex]11^{2}[/tex] - 2(11)(17)Cos C

484 = 289 + 121 - 374CosC

-0.197 = Cos C

C = arc Cos(-0.197)

Therefore, C = [tex]110^{0}[/tex]

Now ∠C + ∠D = [tex]180^{0}[/tex]

101+  ∠D = 180

∠D = [tex]79^{0}[/tex]

Now, in triangle ADC

[tex]AC^{2}[/tex] = [tex]AD^{2}[/tex] + [tex]CD^{2}[/tex] - 2AD.CD.CosD

 [tex]AC^{2}[/tex] = [tex]11^{2}[/tex] + [tex]17^{2}[/tex] - 2(11)(17)Cos79

[tex]AC^{2}[/tex] = 121 + 289 - 374Cos79

[tex]AC^{2}[/tex] = 410 -364(.19)

[tex]AC^{2}[/tex] = 340.84

AC = sqrt(340.84)

AC = 18.46

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Solving by factoring which equation is equivalent to f(x) = 16x4 – 81 = 0?

Answers

(4x² - 9)(4x² + 9) = 0 equation is equivalent to the given equation.

What is factorization?

Factorization in mathematics is the process of dividing a large number into smaller ones that, when multiplied together, give you the original number.

Here, we have

Given equation,

f(x) = 16x⁴ – 81 = 0

The difference of squares is used to solve this equation. There are three perfect squares: 16, x⁴, and 81. ( which means that it is a number multiplied by itself, 16 is 4 x4 for example).

We solve this equation by formula: (a² - b²) = (a - b)(a + b)

= 16x⁴ – 81 = 0

Now, we determine the square root of 16 which is 4, and of x⁴ which is x², and 81 which is 9.

Now we write the equation in the (a - b)(a + b) form :

⇒ (4x² - 9)(4x² + 9) = 0

Hence, the (4x² - 9)(4x² + 9) = 0 equation is equivalent to the given equation.

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What is a 2-digit product?.

Answers

When the original two-digit number is equal to the sum of the number's digits plus the product of its digits, the number is said to be special two-digit number.

We are required to describe the 2-digit special number in the provided question.

When the original two-digit number is equal to the sum of the number's digits plus the product of its digits, the number is said to be special.

Remove the first and last digits of the number, then add and multiply each digit separately. The two-digit number should then be multiplied by the sum and product of its digits, and the output should be compared to the initial value. It is a special two-digit number if they coincide; if not, it is not.

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Child Health and Development Studies (CHDS) has been collecting data about expectant mothers in Oakland, CA since 1959. One of the measurements taken by CHDS is the weight increase (in pounds) for expectant mothers in the second trimester. In a fictitious study, suppose that CHDS finds the average weight increase in the second trimester is 14 pounds. Suppose also that, in 2015, a random sample of 40 expectant mothers have mean weight increase of 16 pounds in the second trimester, with a standard deviation of 6 pounds. At the 5% significance level, we can conduct a one-sided T-test to see if the mean weight increase in 2015 is greater than 14 pounds. Statistical software tells us that the p-value = 0.021.Which of the following is the most appropriate conclusion?There is a 2.1% chance that a random sample of 40 expectant mothers will have a mean weight increase of 16 pounds or greater if the mean second trimester weight gain for all expectant mothers is 14 pounds.There is a 2.1% chance that mean second trimester weight gain for all expectant mothers is 14 pounds in 2015.There is a 2.1% chance that mean second trimester weight gain for all expectant mothers is 16 pounds in 2015.There is 2.1% chance that the population of expectant mothers will have a mean weight increase of 16 pounds or greater in 2015 if the mean second trimester weight gain for all expectant mothers was 14 pounds in 1959.Find the p-value for the hypothesis test. A random sample of size 50 is taken. The sample has a mean of 420 and a standard deviation of 81.H0: µ = 400Ha: µ > 400The p-value for the hypothesis test is

Answers

There is a 2.1% chance that a random sample of 40 expectant mothers will have a mean weight increase of 16 pounds or greater if the mean second trimester weight gain for all expectant mothers is 14 pounds

Given:

In the question;

Suppose that CHDS finds the average weight increase in the second trimester is 14 pounds. Suppose also that, in 2015, a random sample of 40 expectant mothers have mean weight increase of 16 pounds in the second trimester, with a standard deviation of 6 pounds. At the 5% significance level, we can conduct a one-sided T-test to see if the mean weight increase in 2015 is greater than 14 pounds. Statistical software tells us that the p-value = 0.021.

Now, According to the question:

Since we have to test that whether the mean weight is greater than 14 pounds, so test is right tailed and if ta is the value of test static then p-value is P(t> t_a ) . Where t_a={16-14\over 6/\sqrt {40}} .

Now p-value is 0.021.

So, the correct conclusion is:

There is a 2.1% chance that a random sample of 40 expectant mothers will have a mean weight increase of 16 pounds or greater if the mean second trimester weight gain for all expectant mothers is 14 pounds

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at the end of module 35b, you were asked to note and discuss why the double slit interference pattern did not extend over the entire view screen. the reason is that interference can only occur where there is intensity from each of the single slit sources. these slit sources are not point sources, and the width of the intensity pattern due to one slit is governed by diffraction. diffraction is the word used to describe the interference between the infinite number of infinitesimal (huygens) sources that make up the slit itself. you can find a relationship in the

Answers

Therefore, the intensity pattern due to each single slit only extends over a finite region, and the double slit interference pattern can only be observed within this region.

What is interference?

In mathematics, interference is a phenomena that happens when two or more waves interact with one another. Depending on the waves' respective frequency  to reinforce or cancel. Interference can be constructive, where the waves combine to generate a bigger wave, or destructive, where the waves cancel each other out. This phenomena is widely observed in light waves, sound waves, and water waves. The superposition principle, which asserts that the total wave at any place in space equals the sum of all the individual waves existing at that point, is a mathematical concept that describes interference. In disciplines including physics, engineering, and signal processing, this idea is frequently applied.

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Barry wants to buy chickens. He has enough room for up to 12 chickens. Each hen costs $5 and each rooster costs $6. Barry doesn't want to spend more than $50. Write a system of inequalities to represent this scenario where x represents the number of hens and y represents the number of roosters.

Answers

The system of inequalities to represent this scenario for Barry will be:

x + y = 12

5x + 6y ≤ 50

What is an inequality?

Inequalities are created through the connection of two expressions. It should be noted that the expressions in an inequality aren't always equal. Inequalities implies that the expressions are not equal. They are denoted by the symbols ≥ < > ≤.

Let x represents the number of hens.

Let y represents the number of roosters.

The inequality will be:

5(x) + 6(y) ≤ 50

5x + 6y ≤ 50

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an inventory consists of 89 items each marked as available or unavailable. there are 50 available item. show that there are at least 2 available items in the list with exactly 9 items apart.

Answers

If n pigeons are divided among k pigeonholes and k<n, then some pigeonholes contain at least two pigeons.

Pigeonhole principle- It's given a list of 89 items, 50 are available. we have to show there are at least 2 available items in the list with exactly 9 items apart.

Let's number the items in the list from 1 to 115.

Let "Ai" represents the i th available number.

Let the pigeons be the numbers in the two sequences: a1, a2, a3,...... a50 and a1 + 9, a2 + 9, ...... a50 +9.

Now, pigeonholes be the possible numbers of the items in the sequences, there are k = 89+9 = 98 possible numbers for the items in the sequence and n= 50+50=100 numbers in the two sequences.

n= 100, k=98

Since, k<n ,there are at least 2 numbers in the two sequences that are the same number by the pigeonhole principle. Then need to be some number aj in the sequence a1, a2, a3,...... a50 and some number ai + 9 in the sequence a1 + 9, a2 + 9, ...... a50 +9.

ai + 9 = aj

Thus, there are at least 2 available items ( ai and aj ) that are exactly 9 items apart.

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What are the 3 properties of parallel lines?.

Answers

The three properties of parallel lines are transitive property of parallel lines, symmetric properties of parallel lines and properties cut by transversal.

Properties of parallel lines when cut by a transversal

Two lines when cut by a transversal line are parallel if the corresponding angles so formed are equal. Generally, the corresponding angles are in relative positions and lie along the same side of the transversal.

Two lines cut by a transversal line are said to be parallel if the alternate interior angles so formed are equal. In general, the pairs of the alternate interior are found in the inner side but lie on the opposite sides of the transversal.

Two lines cut by a transversal line are said to be parallell if the alternate exterior angles so formed are equal. In general, the pairs of alternate exterior angles are found on the outer side but lie opposite each other.

The above mentioned are 3 properties of parallel lines.

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the variance inflationary factor (vif) measures the group of answer choices contribution of each x variable with the y variable after all other x variables are included in the model. correlation of the x variables with the y variable. correlation of the x variables with each other. standard deviation of the slope. next

Answers

The correct statement that describes variance inflationary factor (VIF) is option (a) the correlation of the x variable with each other  

The variance inflationary factor ( VIF ) defined as the  measure of the amount of multicollinearity in regression analysis.

When there is a correlation between multiple independent variable in multiple regression model, then there will be multicollinearity, therefore it will adversely affect the regression result

Correlation is defined as the extend to which the two variables are linearly connected. Therefore it will change at a constant rate together

Hence, the variance inflationary factor( VIF ) measures option (a) the correlation of the x variable with each other

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Is it possible to have a triangle with 3cm 4cm 9cm?.

Answers

Answer:

No, it is not possible to create a triangle with these measurements.

Step-by-step explanation:

It must follow these rules:

a + b > c

b + c > a

a + c > b

there are 7 children in a family. the number of children defines a population. the number of simple random samples of size 5 (without replacement) that are possible equals . a. 6 b. 21 c. 35 d. 32

Answers

The number of ways to select a simple random sample of size 5 from a population of 7 children in a family is equal to 21ways.

As given in the question,

Number of children in the family 'n' = 7

Number of simple random sample of size  = 5  ( without replacement )

Number of ways to select the children defines a population

= ⁷C₅

= ( 7! ) / ( 7 - 5 )! ( 5! )

= ( 7 × 6 × 5! )/ ( 2! ) ( 5! )

= 7 × 3

= 21 ways

Therefore, the number of ways to select children of simple random sample of size 5 is equal to 21ways.

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Consider the number of blocked intrusions below:
Before firewall change: 56, 47, 49, 37, 38, 60, 50, 43, 43, 59, 50, 56, 54, 58
After firewall change: 53, 21, 32, 49, 45, 38, 44, 33, 32, 43, 53, 46, 36, 48, 39, 35, 37, 36, 39, 45
(a) Construct a 95% confidence interval for the difference between the average number of intrusion attempts per day before and after the change of firewall setting (assume equal variance)
(b) Can we claim significant reduction in the rate of intrusion attempts? The number of intrusion each day has approximately normal distribution. Compute P-values and state your conclusions under the assumption of equal variances and without it. Does this assumption make a difference?

Answers

a)The 95% confidence interval are

0-44,44-88

b))Yes, we can claim significant reduction in the rate of intrusion attempts

The p-value is 0.067No, the given assumption does not make a difference.

We have firewall change of 14 people.

We need to compute total sum before firewall change which can be done by

(56+47+49+37+38+60+50+43+59+50+56+54+58)/14

=657/14

=46.92

Now, similarly, after firewall change total sum is

(53+21+32+49+45+38+44+33+32+43+53+46+36+48+39+35+37+36+39+45)/20

=756/20

=37.8

Now the difference between average number of intrusion attempts before and after firewall change is

(46.92-37.8)

=9.12

Now, we need to make confidence interval to only 95% of this difference=

(95×9.12)/100

=44.196=44(approx)

It means our interval range varies from 0-44,44-88 with a difference of 44.

b)Yes, we can easily claim that rate of intrusion attempts decreases.

Before firewall change, we can see average number of intrusion attempt is =46.92

After firewall change, we can see average number of intrusion attempt is

37.8

So, we can see rate of intrusion decreases on increasing the number of blocked intrusions.

For computing z-value, we just need to take square root of the difference of average number of intrusions attempst

=>Z-value= √9.12=3.01

Using the z-table, we get that for the above z-value, corresponding p-value is 0.067

Hence, the interval range is 0-44,44-88 and b)Yes we can claim, p-value is 0.067.No, this assumption does not make a difference.

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suppose you have a normal distribution with mean 11. if you are given a data value of 9, would you expect the corresponding z-score to be positive or negative?

Answers

According to the given information for the normal distribution, we can expect that the corresponding z-score may be negative.

It is given to us that -

The normal distribution has mean 11

The normal distribution has data value of 9

We have to find out if the corresponding z-score is to be positive or negative.

The z-score calculates the number of standard deviations higher or lower the mean, the data point is present.

The formula for z-score is given by -

[tex]z=\frac{data point - mean}{standard deviation}[/tex]

Although we do not have the value of standard deviation in the question, we can see that the value of

data point - mean = 9-11 = -2

So, we can see that the numerator of the z-value formula is already negative.

Thus, we can expect that the corresponding z-score may be negative according to the information provided for the normal distribution.

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suppose follows the standard normal distribution. use the calculator provided, or this table, to determine the value of so that the following is true. p (z>c)

Answers

The value of c for the statement P(Z>c) = 0.1379 in the standard normal distribution is 1.09.

How to calculate the value of c in standard normal distribution?

Φ is symbol for cumulative distribution function (CDF) for standard normal distribution with mean equal to 0 and standard deviation equal to 1.

Z follow standard normal distribution. So,

Z ∼ N(0,1)

Since,

P(Z>c) = 0.1379

1 - P(Z≤c) = 0.1379

P(Z≤c) = 1 - 0.1379

P(Z≤c) = 0.8621

or

Φ(c) = 0.8621

Next, we know Φ(Z) is equal to P(Z≤z) with z∈R is CDF for N(0,1). So,

P(Z≤z) = 0.8621

From standard normal distribution table or z table, we get z = 1.09. So,

P(Z≤1.09) =  0.8621

Φ(1.09) = 0.8621

Since, Φ(c) = 0.8621. So, c = 1.09

Thus, the value of c is 1.09 for statement P(Z>c) in standard normal distribution is equal to 0.1379.

Your question is incomplete, but most probably your full question is


Suppose Z follows the standard normal distribution. Use the calculator provided, or this table, to determine the value of c so that the following is true.

P(Z>c)=0.1379

Round your answer to two decimal places.

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at a high school administrators wish to collect a sample of 80 students. they decide to randomly sample 20 freshmen, 20 sophomores, 20 juniors, and 20 seniors and ask them how much time they spent on their math homework last night. which of the following methods was use to select the sample?

Answers

For the given a sample of 80 students further divided in subgroups like 20 freshman, 20 juniors ,20 sophomores and 20 senior on the basis of how much time they spent to complete their maths homework last night. This is random sampling, the method which used here is Stratified Sampling.

A sample is a specific group of people from whom we collect data.

Stratified Sampling:

In statistics, a simple random sample is a subset of people selected from a larger set in which subsets of people are randomly selected, all with equal probability. This is the process of randomly selecting samples.

In stratified sampling, a population is divided into subpopulations that may differ in important ways. By ensuring that each subgroup is well represented in your sample, you can draw more precise conclusions.

To use this sampling method, divide the population into subgroups (called strata) based on relevant characteristics (gender identity, age group, income class, occupational role, etc.).

Calculate how many people to sample from each subgroup based on the total population percentage. Then use random or systematic sampling to select one sample from each subgroup.

Using the same sampling technique, subsample of students based on the amount of time they spent completing their math homework.

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A researcher is following the growth of a particular type of flower. She writes the given equation to show the height of the flower g(n), in inches, after ndays. g (n) = 10(1.02)n. What is the average rate of change of the function g (n) from n=1 to n=5 ? Please show all work. HINT: average rate of change ; = slope.

Answers

The average rate of change of function is 10.2 inches per day

The equation to show the height of the flower is

g(n) = 10(1.02)n

Where g(n) is the height of the flower

n is the number of days

The value of n is from n = 1 to n = 5

The average rate of change of the function = f(5) - f(1) / 5 -1

Then,

f(5) = 10(1.02)(5)

= 51 inches

f(1) = 10(1.02)(1)

= 10.2 inches

Substitute the values in the equation

The average rate of change of function = 51 - 10.2 / 5 - 1

= 40.8 / 4

= 10.2 inches per day

Hence, the average rate of change of function is 10.2 inches per day

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Shelly walked 1/3 km. Kelly walked 4/15 km. Who walked farther? How much farther did
one walk than the other?

Answers

Answer:

Shelly walked 1/15 km farther

Step-by-step explanation:

We need to get a common denominator.

1/3 * 5/5 =5/15

Shelly walked 5/15 km

Kelly walked 4/15 km

Shelly walked farther

5/15 - 4/15 = 1/15

She walked 1/15 farther

Answer:

Shelly walked the furthest by 0.06 km.

Step-by-step explanation:

On a calculator (you can do it on paper, but it will take longer), take 1/3 and divide 1 by 3:

1 divided by 3 = 0.33

Then, do the same with 4/15:

4 divided by 15 = 0.27

So, Shelly walked the furthest.

To find out how much farther Shelly walked then Kelly, we simply subtract the 2 answers:

0.33 - 0.27 = 0.06

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What are the solutions of the equation x4 + 6x2 + 5 = 0? use u substitution to solve. X = i and x = i i and x = i and x = and x = -.

Answers

The given equation's solution is x = 5i or x = i.

An equation has been provided.

x⁴+6x²+5 = 0

We to settle it utilizing replacement.

If u = x2, then u2 = x4 In the above equation, we find that u2+6u+5 = 0. Now, use the factorization method.

Divide the middle term of the previous equation as follows: u2+5u+u+5 = 0; u(u+5)+1(u+5) = 0; u(u+5)(u+1) = 0 Using the zero-product property, we can determine that u+5 or u+1 equals 0; u = -5 or u = -1; x2 equals -5 or x2 equals -1; taking the square root of both sides of.

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One circle ha a radiu of 1/4 and another circle ha a radiu of 2. What i the ratio of the circumference of the larger circle to the circumference of the maller circle?

Answers

The ratio of the larger circle's circumference to the smaller circle's circumference is  8π : π.

Given info;

There are two circles, one with a radius of 1/4 and the other with a radius of 2.

To know the ratio of the larger circle's circumference to the smaller circle's circumference,

Let,

Circle's circumference = π * diameter

The circumference of the smaller circle = π/2

The diameter of the larger circle = 4π

Now,

The ratio of the circumference of the larger circle to the circumference of the smaller circle is,

⇒ 4π : π/2

    8π : π

Hence, the ratio is  8π : π.

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FILL IN THE BLANK. the ___ niche is the entire niche that an organism is capable of occupying if there was no competition. whereas, the ___ niche is the niche occupied by the organism in the presence of competitors.

Answers

The fundamental niche is the entire niche that an organism is capable of occupying if there was no competition. whereas, the realized niche is the niche occupied by the organism in the presence of competitors.

What is a niche?

This refers to the role an organism plays in an ecosystem/community.

Types of  niches

.The fundamental niche: This refers to the organism that is capable of occupying if there were no competitors.

. The realized niche:  This refers to organisms that exist in the presence of competitors. They are perceived to be less effective due to the presence of competitors.

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