The probability that 0.5 < X ≤ 0.8 is 1.
Given that X₁,..., Xn is a random sample from a probability density function given by f(x)=0, and 0≤x<1.
The probability density function (pdf) can be written as follows:
f(x) = { 0, x ∈ [0,1)
Then the cumulative distribution function (CDF) of f(x) can be written as follows:
F(x) = P(X ≤ x) = ∫₀ˣ f(t)dt
As f(x) is a step function with height 0, the CDF F(x) will be a step function with a unit step at each xᵢ value.
Therefore, the value of F(x) can be obtained as follows:
For 0 ≤ x < 1,
F(x) = ∫₀ˣ f(t)dt
= ∫₀ˣ 0 dt
= 0
For x ≥ 1, F(x)
= ∫₀¹ f(t)dt + ∫₁ˣ f(t)dt
= 1 + ∫₁ˣ 0 dt
= 1
Hence, the CDF F(x) for the given probability density function is given by:
F(x) = { 0, x ∈ [0,1)1, x ≥ 1
Therefore, the probability that Xᵢ value falls in the interval (a,b] can be obtained by using the CDF as:
P(a < X ≤ b) = F(b) - F(a)
Using the above CDF, the probability that 0.5 < X ≤ 0.8 is:
P(0.5 < X ≤ 0.8) = F(0.8) - F(0.5) = 1 - 0 = 1
Therefore, the probability that 0.5 < X ≤ 0.8 is 1.
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A probability experiment is conducted in which the sample space of the experiment is S=(2, 3, 4, 5, 6, 7, 8, 9, 10, 11, 12, 13), event F-(2, 3, 4, 5, 6, 7), and event G8, 7, 8, 9). Assume that each ou
The event [tex]F^{c}[/tex] is expressed as: [tex]F^{c}[/tex] = (8, 9, 10, 11, 12, 13)
The probability P( [tex]F^{c}[/tex]) is expressed as: 0.5
What is the probability of the sample space?We are given the sample space as:
S = (2, 3, 4, 5, 6, 7, 8, 9, 10, 11, 12, 13)
Event F = (2, 3, 4, 5, 6, 7)
Event G = (8, 7, 8, 9)
The complement [tex]F^{c}[/tex] of event F consists of all results in sample space that are not in event F. Complementary probabilities can be found from the original events using the following formula:
P( [tex]F^{c}[/tex]) = 1 − P(F)
Thus:
[tex]F^{c}[/tex]= (8, 9, 10, 11, 12, 13)
P( [tex]F^{c}[/tex]) = 6/12 = 0.5
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The complete question is:
A probability experiment is conducted in which the sample space of the experiment is S=(2, 3, 4, 5, 6, 7, 8, 9, 10, 11, 12, 13), event F = (2, 3, 4, 5, 6, 7), and event G8, 7, 8, 9). Assume that each outcome is equally likely. List the outcomes in F^c and find P(F^c)
Consider the following data for a dependent variable y and two independent variables, ₁ and 2; for these data SST = 15,188.1, and SSR 14,228.1. = x1 X2 Y 13 94 10 109 18 113 17 178 6 95 20 176 7 170
Here, we are given the data for a dependent variable Y and two independent variables ₁ and 2.
For these data SST = 15,188.1, and SSR 14,228.1.The following is a model to regress Y on ₁ and 2:Y = β₀ + β₁₁ + β₂₂ +
Now, we can find the SSE using SST and SSR.SSE = SST - SSR= 15,188.1 - 14,228.1= 960.0
Summary: SSE is a measure of how well a linear regression model fits the data. It calculates the sum of the squared residuals, which is the difference between the predicted values and the actual values.
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You wish to test the following claim ( H a ) at a significance
level of α = 0.005 .
H o : μ = 78.5
H a : μ > 78.5
You believe the population is normally distributed, but you do
not know the stan
Conduct a one-tailed hypothesis test with a significance level of 0.005 to determine if the population mean is greater than 78.5.
To test the claim that the population mean is greater than 78.5, you can conduct a one-tailed hypothesis test with a significance level of α = 0.005. Since you believe the population is normally distributed but do not know the standard deviation, you can use the t-distribution.
Calculate the sample mean and sample standard deviation from a representative sample. Then, calculate the t-statistic using the formula: t = (sample mean - hypothesized mean) / (sample standard deviation / √n). Compare the calculated t-statistic to the critical t-value for the given significance level and degrees of freedom (based on sample size minus 1).
If the calculated t-statistic exceeds the critical t-value, reject the null hypothesis and conclude that there is evidence to support the claim that the population mean is greater than 78.5.
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find parametric equations for the line. (use the parameter t.) the line through (3, 3, 0) and perpendicular to both i j and j k
Given a point and a normal vector, the line is said to be perpendicular to the normal vector if it passes through the point and its direction is normal to the normal vector.
To solve this problem, we will first obtain the normal vector and then use it to derive the parametric equations. The normal vector must be perpendicular to both i j and j k. We obtain the normal vector as the cross product of these vectors:n = i j × j k= i kThe normal vector is a vector normal to both i j and j k and has a direction of i k. We can now use the normal vector to derive the parametric equations of the line.
The general equation of a line is given by:r = a + where a is the point on the line and n is the normal vector. In this case, we can use the point (3, 3, 0) and the normal vector (1, 0, 0) to obtain the parametric equation s:r = (3, 3, 0) + t(1, 0, 0)Expanding this equation gives:r = (3 + t, 3, 0)The parametric equations of the line are:r = (3 + t, 3, 0)Explanation:We obtained the normal vector n by taking the cross product of i j and j k, n = i j × j k = i k. Since the line is perpendicular to this vector, we used it as the normal vector to derive the parametric equations of the line. We used the general equation of a line, r = a + tn, where a is a point on the line and n is the normal vector. We then substituted the values of the point and the normal vector to obtain the specific parametric equations of the line, r = (3 + t, 3, 0).
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Determine whether the points are collinear. If so, find the line y = c0 + c1x that fits the points. (If the points are not collinear, enter NOT COLLINEAR.) (0, 2), (1, 5), (2, 8)
The slope of the line passing through any two of the points is the same, the points are collinear & the line that fits the given points is y = 3x + 2.
The given points are (0, 2), (1, 5), (2, 8).
To determine whether the points are collinear,
we can find the slope of the line passing through any two of the points and then check if the slope is the same for all the pairs of points.
Let's take (0, 2) and (1, 5) to find the slope of the line passing through them:
Slope (m) = (y₂ - y₁) / (x₂ - x₁)
= (5 - 2) / (1 - 0)
= 3 / 1
= 3Now
Let's take (1, 5) and (2, 8) to find the slope of the line passing through them:
Slope (m) = (y₂ - y₁) / (x₂ - x₁)
= (8 - 5) / (2 - 1)
= 3 / 1
= 3
Since the slope of the line passing through any two of the points is the same, the points are collinear.
To find the line y = c₀ + c₁x that fits the points,
we can use the point-slope form of the equation of a line:
y - y₁ = m(x - x₁)
We can use any of the points and the slope found above.
Let's use (0, 2):
y - 2 = 3(x - 0)
y - 2 = 3x + 0
y = 3x + 2
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I need with plissds operations.. area= perimeter=
The perimeter of the solid figure shown is 57.5 cm
What is an equation?An equation is an expression that shows how numbers and variables are related to each other using mathematical operations.
The perimeter of a solid figure is gotten by summing the individual length of each side.
For the figure shown:
Perimeter = 11.1 + 11.1 + 11.1 + 12.1 + 12.1 = 57.5 cm
The perimeter is 57.5 cm
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what is the explicit rule for the geometric sequence? 9,6,4,83,… enter your answer in the box.
The explicit rule for the geometric sequence 9,6,4,83,… is [tex]a_n = 9(\frac{1}{3} )^{n-1}[/tex].
How to calculate the nth term of a geometric sequence?In Mathematics and Geometry, the nth term of a geometric sequence can be calculated by using this mathematical equation (formula):
aₙ = a₁rⁿ⁻¹
Where:
aₙ represents the nth term of a geometric sequence.r represents the common ratio.a₁ represents the first term of a geometric sequence.Next, we would determine the common ratio as follows;
Common ratio, r = a₂/a₁
Common ratio, r = 6/9
Common ratio, r = 2/3
For the explicit rule, we have:
aₙ = a₁rⁿ⁻¹
[tex]a_n = 9(\frac{1}{3} )^{n-1}[/tex]
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If the average daily income for small grocery markets in Riyadh
is 6000 riyals, and the standard deviation is 900 riyals, in a
sample of 600 markets find the standard error of the mean?
3.75
The standard error of the mean for the given sample of 600 small grocery markets in Riyadh is approximately 36.75 riyals.
To find the standard error of the mean, we divide the standard deviation by the square root of the sample size.
Given:
Average daily income (mean) = 6000 riyals
Standard deviation = 900 riyals
Sample size = 600
The formula to calculate the standard error of the mean is:
Standard Error = Standard Deviation / √(Sample Size)
Plugging in the values:
Standard Error = 900 / √600
Calculating the square root of 600:
√600 ≈ 24.49
Standard Error = 900 / 24.49
Standard Error ≈ 36.75
Therefore, the standard error of the mean for the given sample of 600 small grocery markets in Riyadh is approximately 36.75 riyals.
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find a parametrization of the line in which the planes x−2y 2z=−5 and x 3y−3z=0 intersect.
The given planes intersect at some line. The objective is to find the parametric representation of that line. Now, the direction of the line can be determined by the cross product of the normal vectors of the planes.
Then, the position of a point on the line can be obtained by solving for the point that satisfies both the plane equations. Using x−2y+2z=−5 and x+3y−3z=0, we can obtain the normal vectors of the planes.\[tex][\vec{n_1} = \begin{bmatrix} 1 \\ -2 \\ 2 \end{bmatrix}\][/tex]and \[tex][\vec{n_2} = \begin{bmatrix} 1 \\ 3 \\ -3 \end{bmatrix}\][/tex]Taking the cross product of the two vectors, we can obtain the direction of the line. [tex]\[\vec{d} = \vec{n_1} \times \vec{n_2} = \begin{bmatrix} 6 \\ 3 \\ 9 \end{bmatrix}\][/tex]Now, we need to find a point on the line.
That can be obtained by solving the two equations. Let's solve for x in the first equation. [tex]\[x = 2y-2z-5\][/tex]Then, substitute this value of x in the second equation and solve for y and z. \[tex][2y-2z-5 + 3y - 3z = 0\]\[5y - 5z = 5\]\[y - z = 1\][/tex]Let y = t. Then, z = t - 1 and x = 2t - 2(t-1) - 5. Simplifying, we get[tex]\[x = 4-2t\][/tex]Therefore, the parametric representation of the line is: [tex]\[\begin{aligned} x(t) &= 4 - 2t \\ y(t) &= t \\ z(t) &= t - 1 \end{aligned}\][/tex]The above information counts up to a total of 121 words.
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A syllabus has the following weighted grade scale: 15% HW 60% Exams 25% Final The lowest exam from the class will be dropped. A student had the following scores: 100% HW 90% Exam 1, 86% Exam 2, 92% Exam 3, 84% Exam 4 78% Final. Calculate the final grade in the course.
To calculate the final grade in the course, we need to take into account the weighted grade scale and the fact that the lowest exam score will be dropped.
Let's break down the calculation step by step:
Calculate the average exam score after dropping the lowest score:
Exam 1: 90%
Exam 2: 86%
Exam 3: 92%
Exam 4: 84%
We drop the lowest score, which is Exam 2 (86%), and calculate the average of the remaining three exam scores:
Average exam score = (90% + 92% + 84%) / 3
= 88.67%
Calculate the weighted score for each category:
Homework (HW): 15% of the final grade
Exams (average of three exams): 60% of the final grade
Final Exam: 25% of the final grade
Weighted HW score = 100% * 15%
= 15%
Weighted Exam score = 88.67% * 60%
= 53.20%
Weighted Final Exam score = 78% * 25%
= 19.50%
Calculate the final grade:
Final Grade = Weighted HW score + Weighted Exam score + Weighted Final Exam score
Final Grade = 15% + 53.20% + 19.50%
= 87.70%
The final grade in the course, taking into account the weighted grade scale and dropping the lowest exam score, is 87.70%
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about 96% of the population have iq scores that are within _____ points above or below 100. 30 10 50 70
About 96% of the population has IQ scores that are within 30 points above or below 100.
In this case, we are given the percentage (96%) and asked to determine the range of IQ scores that fall within that percentage.
Since IQ scores are typically distributed around a mean of 100 with a standard deviation of 15, we can use the concept of standard deviations to calculate the range.
To find the range that covers approximately 96% of the population, we need to consider the number of standard deviations that encompass this percentage.
In a normal distribution, about 95% of the data falls within 2 standard deviations of the mean. Therefore, 96% would be slightly larger than 2 standard deviations.
Given that the standard deviation for IQ scores is approximately 15, we can multiply 15 by 2 to get 30. This means that about 96% of the population has IQ scores that are within 30 points above or below the mean score of 100.
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Let X be the number of 1's and Y the number of 2's that occur in N rolls of a fair die.
a. Find Cov (X,Y) and\rho(X,Y)
b. Suppose that we have N = 1000. What should Cov (X,Y) and\rho(X,Y) be in this case?
a. The covariance of (X, Y) is o and the coefficient of correlation is 0
b. The value covariance of (X, Y) and coefficient of correlation is 0.
What is Covariance (X, Y) and ρ(X, Y)?a. The covariance (Cov) between X and Y can be calculated using the formula:
Cov(X, Y) = E(XY) - E(X)E(Y)
Since we are rolling a fair die, the probability of getting a 1 is 1/6 and the probability of getting a 2 is 1/6.
E(X) = N * P(X = 1) = N * (1/6)
E(Y) = N * P(Y = 2) = N * (1/6)
To calculate E(XY), we need to consider the joint probabilities of X and Y. Since X and Y are counting the number of 1's and 2's respectively, they are independent random variables.
E(XY) = E(X)E(Y) = N * (1/6) * N * (1/6) = N^2/36
Therefore, Cov(X, Y) = E(XY) - E(X)E(Y) = N^2/36 - (N/6)(N/6) = N^2/36 - N^2/36 = 0
The correlation coefficient (ρ) between X and Y can be calculated as:
ρ(X, Y) = Cov(X, Y) / (σ(X)σ(Y))
Since we are rolling a fair die, the variance of X and Y can be calculated as follows:
σ(X)^2 = N * P(X = 1)(1 - P(X = 1)) = N * (1/6)(5/6)
σ(Y)^2 = N * P(Y = 2)(1 - P(Y = 2)) = N * (1/6)(5/6)
ρ(X, Y) = Cov(X, Y) / (σ(X)σ(Y)) = 0 / (√(N * (1/6)(5/6)) * √(N * (1/6)(5/6)))
= 0 / (√(N^2/36) * √(N^2/36))
= 0 / (N/6 * N/6)
= 0
b. If N = 1000, Cov(X, Y) and ρ(X, Y) would still be 0. This is because X and Y are independent random variables in this case, and the covariance and correlation would be 0 regardless of the value of N.
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If one card is drawn from a deck, find the probability of getting, a 10 or a Jack. Write the fraction in lowest terms. O a. 8 13 Ob. 2 13 O c. O d. 1 18-18 7 26 26
The probability of getting a 10 or a Jack is 2/13. The correct answer is option B.
The probability of getting a 10 or a Jack from a deck of cards can be calculated by finding the number of favorable outcomes (cards that are either a 10 or a Jack) and dividing it by the total number of possible outcomes (total number of cards in the deck).
In a standard deck of 52 cards, there are 4 10s and 4 Jacks. Therefore, the number of favorable outcomes is 4 + 4 = 8.
The total number of possible outcomes is 52 (since there are 52 cards in the deck).
Therefore, the probability of getting a 10 or a Jack is 8/52, which can be simplified to 2/13.
So the correct answer is option B: 2/13.
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61 of the 856 digital video recorders (DVRs) in an inventory
are known to be defective. What is the probability that a randomly
selected item is defective? Express your answer as a percentage
ro
The probability that a randomly selected item is defective is 7.12%.
The given data can be represented in a tabular form as shown below:
Defective (D)Non-Defective (ND)
Total Sample Space (T)D61T856
Now, we need to calculate the probability that a randomly selected item is defective.
So, the probability that a randomly selected item is defective is given by:
P(D) = Number of Defective Items / Total Sample SpaceP(D)
= 61/856
Let's calculate the value of P(D) as follows:
P(D) = 61/856
= 0.0712
So, the probability that a randomly selected item is defective is 0.0712 or 7.12% (approximately)
Therefore, the probability that a randomly selected item is defective is 7.12%.
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find the absolute maximum value of g(x)=−2x2 x−1 over [−3,5].
To find the absolute maximum value of the function g(x)=−2x^2/x−1 over the closed interval [−3,5], we will use the Extreme Value Theorem (EVT).EVT states that if a function is continuous over a closed interval, then the function will have an absolute maximum and minimum over that interval.
So, for finding the absolute maximum value of the given function, we will follow these steps:Step 1: Check the function's domain.We know that the denominator of the function g(x) is x - 1, so the function is not defined at x = 1. However, the closed interval we are working with is [-3, 5], which does not include x = 1. Hence, the function is defined over this interval.Step 2: Find the critical points of the functionTo find the critical points, we need to differentiate the function g(x) and equate it to zero:g'(x) = (-4x(x-1) + 2x^2)/(x-1)^2= 2x(3-x)/(x-1)^2=0So, the critical points of g(x) are x = 0 and x = 3.Step 3: Find the end-point values of the functiong(-3) = -2/5, g(5) = -50/9.
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Consider the area of your garden. If you want
to plant 8 items in your garden, and each item requires 2 sq. ft.
of space, will you have enough space in your garden for the 8
vegetable plants? Show all
If your garden area is equal to or larger than 16 square feet, then you will have enough space for all the plants. If your garden is less than 16 square feet, you won't have enough space for all the 8 plants.
How to get the space for the gardenThe calculation to know how many square feet you need for your 8 items is straightforward. Each item requires 2 sq. ft. of space, and you have 8 items, so you would multiply:
2 sq. ft. * 8 items = 16 sq. ft.
So, you would need 16 square feet of space in your garden to plant 8 items that each require 2 square feet.
If your garden area is equal to or larger than 16 square feet, then you will have enough space for all the plants. If your garden is less than 16 square feet, you won't have enough space for all the 8 plants.
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what methods can be used to improve the
negative binomial regression? Please give me an example.
Possible methods to improve negative binomial regression include incorporating additional predictors and refining model specification.
Negative binomial regression is a statistical method used to model count data that exhibits overdispersion, where the variance exceeds the mean. To improve the negative binomial regression model, several methods can be employed. One approach is to include additional predictors that are relevant to the outcome variable, which can enhance the model's predictive power and capture more of the underlying variability. For example, in a study analyzing the number of customer complaints in a call center, adding predictors such as customer satisfaction scores or call duration may improve the negative binomial regression model's fit.
Another method to enhance the model is refining the specification, such as identifying and addressing influential outliers or influential observations that might affect the regression estimates. Additionally, model diagnostics, such as examining residual plots and goodness-of-fit tests, can help identify any issues or areas for improvement in the negative binomial regression model.
Overall, incorporating additional predictors and refining model specification are two common strategies to improve the performance and accuracy of negative binomial regression models.
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Teresa works at a medium-sized doctor's office and notices that appointment times are approximately normally distributed with mean 25 minutes and standard deviation 10 minutes. A patient complains that the wait times are too long and that her average wait time is much longer than 25 minutes. Teresa decides to conduct a test with a = 0.05 and the following hypotheses.
H0 : = 25 vs HA : # 25
Teresa randomly selects 25 appointments and records their times and finds their mean. The sample mean was found to be 32 minutes. The resulting p-value is found to be
<0.002.
1.9970.
>0.002.
0.002.
The given problem is based on hypothesis testing, which is a method used to make decisions based on data analysis. Here, Teresa works at a medium-sized doctor's office and notices that appointment times are approximately normally distributed with mean 25 minutes and standard deviation 10 minutes.
A patient complains that the wait times are too long and that her average wait time is much longer than 25 minutes. Teresa decides to conduct a test with a = 0.05 and the following hypotheses.
H0: μ = 25 (null hypothesis)
HA: μ > 25 (alternate hypothesis)Teresa randomly selects 25 appointments and records their times and finds their mean. The sample mean was found to be 32 minutes. We need to find the resulting p-value.p-value:It is the probability value of observing the sample mean or extreme values given that the null hypothesis is true. It helps to decide whether to reject the null hypothesis or not. It ranges between 0 and 1.
A smaller p-value indicates strong evidence against the null hypothesis. A p-value less than the level of significance (α) indicates that the null hypothesis is rejected.α (level of significance):
It is a probability value that helps to define the limit of rejecting or not rejecting the null hypothesis. It ranges between 0 and 1. A smaller α value indicates less chance of rejecting the null hypothesis. If the p-value is less than the level of significance, the null hypothesis is rejected; otherwise, it is not rejected.α = 0.05 (given)z-test:It is used when the sample size is greater than 30 or the population variance is known. Here, the sample size is greater than 30, and the population variance is known.
Therefore, we can use a z-test. The formula for the z-test is given as follows:z = (x - μ) / [σ / sqrt(n)]where x is the sample mean, μ is the population mean, σ is the population standard deviation, and n is the sample size.
Substitute the given values in the above formula, we get,z = (32 - 25) / [10 / sqrt(25)]z = 2.5The calculated value of z is 2.5. It is a positive value, and the alternate hypothesis is μ > 25. Therefore, the area of interest is the right-tail area. Find the p-value using the standard normal distribution table or calculator.
The p-value obtained is 0.0062. It is greater than the level of significance (α) of 0.05, which means we fail to reject the null hypothesis.Therefore, the resulting p-value is >0.002.
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22
Refer to the accompanying table, which describes the number of adults in groups of five who reported sleepwalking. Find the mean and standard deviation for the umbers of sleepwalkers in groups of five
The mean is 1.4 and , the standard deviation is 0.6
The mean is calculated by taking the sum of all the values in the table and dividing by the number of values. In this case, the sum of all the values is 22 and there are 22 values.
The standard deviation is calculated by taking the square root of the variance. The variance is calculated by taking the sum of the squared differences between each value and the mean, and dividing by the number of values minus 1. In this case, the variance is 0.36.
In other words, in a group of five adults, we would expect to see 1.4 adults sleepwalking on average. There is also a standard deviation of 0.6, which means that the number of sleepwalkers in a group of five is likely to be between 0.8 and 2.0.
It is important to note that these are just estimates, and the actual number of sleepwalkers in a group of five could be any number.
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Note: The complete question is : Refer to the accompanying table, which describes the number of adults in groups of five who reported sleepwalking. Find the mean and standard deviation for the numbers of sleepwalkers in groups of five.
The table is as follows:
Number of sleepwalkers | Probability
---------------------- | --------
0 | 0.172
1 | 0.363
2 | 0.306
3 | 0.129
4 | 0.027
5 | 0.002
: 38. In a survey of 500 students of a college, it was found that 49% liked watching football, 53% liked watching hockey and 62% liked watching basketball. Also, 27% liked watching football and hocke both, 29% liked watching basketball and hockey both and 28% liked watching football and basketball both. 5% liked watching none of these games. a) Draw a Venn diagram to represent the survey results. (3 marks) b) How many students like watching all the three games? (2 marks) 14
(a) The Venn-Diagram to represent the results of the survey is shown below.
(b) The number of students who like watching all 3-games are 75.
Part (a) : Let "F" denote students who like to watch football,
Let "H" denote students who like to watch hockey,
Let "B" denote students who like to watch basketball,
The Venn diagram as per the information is shown below.
Part (b) : To calculate the number of students who like watching all three games using information, we denote the number of students who like watching all three games as X.
From the given information:
F = 0.49 × 500 = 245 (49% of 500)
H = 0.53 × 500 = 265 (53% of 500)
B = 0.62 × 500 = 310 (62% of 500)
FH = 0.27 × 500 = 135 (27% of 500)
BH = 0.29 × 500 = 145 (29% of 500)
FB = 0.28 × 500 = 140 (28% of 500)
We use the principle of inclusion-exclusion to find X:
X = FH + BH + FB - (F + H + B) + Total
Since we are given that 5% of the students liked none of the games, the number of students who liked none of the games is:
None = 0.05 × 500 = 25 (5% of 500)
We know that the total-students is 500.
Substituting the values,
We get,
X = 135 + 145 + 140 - (245 + 265 + 310) + 500 - 25
X = 75,
Therefore, there are 75 students who like watching all-three games (football, hockey, and basketball).
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The neasure width of the office is 30mm.if the scale of 1:800 is used calculate the actual width of the building in metres
The actual width of the building is 24 meters.
To calculate the actual width of the building in meters, we need to use the scale of 1:800.
The scale ratio indicates that 1 unit on the drawing represents 800 units in reality. In this case, the width of the office is given as 30mm on the drawing.
To find the actual width in meters, we can use the following calculation:
Actual width = (Width on drawing) × (Scale ratio)
Given that the width on the drawing is 30mm and the scale ratio is 1:800, we can substitute these values into the equation:
Actual width = 30mm × 800
Now, we can calculate the actual width:
Actual width = 24,000mm
To convert this to meters, we divide by 1000 since there are 1000 millimeters in a meter:
Actual width = 24,000mm ÷ 1000 = 24 meters
Therefore, the actual width of the building is 24 meters.
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F A A B B E E F 2 Data Distribution by Variable between rows 3 and 9 - the probability of a scenario, e.g., Response = Yes is true in an 3 Response= |P(Response)= P(Age>=30) P(Income) 4 Yes Age>=30 0.
The probability of a scenario, i.e., Response = Yes, is true in a column that represents the product of two probabilities: P(Response) = P(Age >= 30) * P(Income). The data is distributed between rows 3 and 9. The formula in row 3 is used to calculate the probability of Response=Yes.
This formula is computed by multiplying the probability of Age>=30 and the probability of Income. The calculated value in row 4 is 0.216, the probability of a person with an Age >= 30 and Income responding with "Yes" to a certain question. The data distribution in rows 3-9 determines the probability of a certain outcome when two variables are involved.
The given table shows the probability of a certain scenario, i.e., Response = Yes. The probability of this scenario is calculated using two variables: Age and Income. The product of the probabilities of these two variables is used to compute the probability of Response = Yes. The data distribution in rows 3-9 of the table shows the probability of each variable.
Row 3 of the table shows the formula used to calculate the probability of Response = Yes. This formula is computed by multiplying the probability of Age >= 30 and the probability of Income. For example, the value in cell F4 of the table shows the probability of a person with an Age >= 30 and Income responding with "Yes" to a certain question. This value is 0.216 meaning the probability of such a scenario occurring is 21.6%.
To conclude, the given data distribution table helps to determine the probability of a certain scenario based on two variables, Age and Income. The table provides the probability of Response = Yes based on two variables, Age and Income. The data distribution in rows 3-9 is used to calculate the probability of each variable.
The formula in row 3 calculates the probability of Response = Yes. This formula is obtained by multiplying the probability of Age >= 30 and the probability of Income. The computed values in rows 4-9 represent the probability of a certain scenario occurring based on these two variables.
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Based on the scatterplot, select the most likely value of the linear correlation coefficient r. r=0 r = -0.5 r = 1 r = -1
Low-income students tend to have lower attendance rates and lower math test s
Based on the information provided, we cannot determine the most likely value of the linear correlation coefficient (r) solely based on the statement "Low-income students tend to have lower attendance rates and lower math test scores."
To determine the linear correlation coefficient, we would need to examine the scatterplot of the data that represents the relationship between the attendance rates and math test scores of low-income students. The scatterplot would show the pattern and direction of the relationship between these variables.
The value of the linear correlation coefficient (r) can range from -1 to 1. A positive value of r indicates a positive linear relationship, meaning that as one variable increases, the other tends to increase as well. A negative value of r indicates a negative linear relationship, meaning that as one variable increases, the other tends to decrease. A value of 0 indicates no linear relationship between the variables.
Without the scatterplot or any specific data points, we cannot determine the most likely value of r in this scenario. It is essential to analyze the scatterplot or have additional information about the relationship between attendance rates and math test scores to make an informed determination about the value of the linear correlation coefficient.
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Test the claim that the proportion of people who own cats is
smaller than 20% at the 0.005 significance level. The null and
alternative hypothesis would be:
H 0 : p = 0.2 H 1 : p < 0.2
H 0 : μ ≤
In hypothesis testing, the null hypothesis is always the initial statement to be tested. In the case of the problem above, the null hypothesis (H0) is that the proportion of people who own cats is equal to 20% or p = 0.2.
Given, The null hypothesis is, H0 : p = 0.2
The alternative hypothesis is, H1 : p < 0.2
Where p represents the proportion of people who own cats.
Since this is a left-tailed test, the p-value is the area to the left of the test statistic on the standard normal distribution.
Using a calculator, we can find that the p-value is approximately 0.0063.
Since this p-value is less than the significance level of 0.005, we reject the null hypothesis and conclude that there is sufficient evidence to suggest that the proportion of people who own cats is less than 20%.
Summary : The null hypothesis (H0) is that the proportion of people who own cats is equal to 20% or p = 0.2. The alternative hypothesis (H1), on the other hand, is that the proportion of people who own cats is less than 20%, or p < 0.2.Using a calculator, we can find that the p-value is approximately 0.0063. Since this p-value is less than the significance level of 0.005, we reject the null hypothesis and conclude that there is sufficient evidence to suggest that the proportion of people who own cats is less than 20%.
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solve for g(f(0)) if f(x) = g(x) = 2x - 1 3x− 7 4 answer: g(f(0)) = = = = = - 2
The value of g(f(0)) is -2.
To find g(f(0)), we need to first evaluate f(0) and then substitute the result into the function g(x). Given that f(x) = 2x - 1, we can find f(0) by substituting 0 for x: f(0) = 2(0) - 1 = -1.
Next, we substitute -1 into the function g(x), which is g(x) = 3x - 7. Plugging in -1 for x, we get: g(-1) = 3(-1) - 7 = -3 - 7 = -10.
Therefore, g(f(0)) = g(-1) = -10.To solve for g(f(0)), we first need to find the value of f(0). Given that f(x) = 2x - 1, we substitute 0 for x: f(0) = 2(0) - 1 = -1.
Next, we substitute the value of f(0) into the function g(x). Given that g(x) = 3x - 7, we substitute -1 for x: g(-1) = 3(-1) - 7 = -3 - 7 = -10.
Therefore, g(f(0)) = g(-1) = -10. The correct answer is -10, not -2 as stated in the question. The correct calculation shows that g(f(0)) equals -10, not -2.
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whhat is the largest decimal number (base 10) that can be represented using only 4 bits?
The largest decimal number (base 10) that can be represented using only 4 bits is 15.How many numbers can be represented in 4 bits?The maximum number of numbers that can be represented in 4 bits is 16.
A bit can have either of two values (0 or 1), and there are four bits, so we can compute the total number of combinations of 4 bits as follows: 2 × 2 × 2 × 2 = 16. Since counting begins at 0, the decimal numbers that can be represented range from 0 to 15, inclusive. Therefore, the largest decimal number (base 10) that can be represented using only 4 bits is 15.Let's look at the binary representation of numbers in 4 bits:
Binary RepresentationDecimal Representation00001 00102 01003 01104 10005 10106 11007 1110As we can see, the largest decimal number that can be represented in 4 bits is 15.
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Aubrey watches a merry-go-round for a total of 2 minutes and notices the black horse pass by 15 times. What is the period of the black horse?
a) 4 seconds
b) 8 seconds
c) 12 seconds
d) 30 seconds
The correct option is C) 12 seconds. Period refers to the time it takes for one full rotation or cycle to occur on an object or wave.
A period may be identified by examining how long it takes for a complete oscillation or vibration to take place. Furthermore, the period of a wave is the amount of time it takes for one cycle to be completed. A merry-go-round, also known as a roundabout or carousel, is an amusement ride with a circular platform that rotates around a vertical axis.
According to the question, Aubrey watches a merry-go-round for a total of 2 minutes and notices the black horse pass by 15 times. Period of the black horse = Total time/Number of cycles= 2 minutes / 15 cycles = 8 seconds per cycle= 8/2= 4 seconds.
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7 and 8 please. This is a list of criminal record convictions of a cohort of 395 boys obtained from a prospective epidemiological study. Ntmibetaticometeuone 0 265 49 1.Calculate the mean number of convictions for this sample 2.Calculate the variance for the number of convictions in this sample. 3.Calculate the standard deviation for the number of convictions in this sample. 4.Calculate the standard error for the number of convictions in this sample 5. State the range for the number of convictions in this sample 6. Calculate the proportion of each category i.e.number of convictions). 7. Calculate the cumulative relative frequency for the data 8. Graph the cumulative frequency distribution. 1 21 19 18 10 2 10 11 12 13 1
The answers are =
1) 6.06, 2) the variance is approximately 11.82, 3) the standard deviation for the number of convictions in this sample is approximately 3.44, 4) the standard error for the number of convictions in this sample is approximately 0.173, 5) the range for the number of convictions in this sample is 14, 6) Proportion = Frequency / 395, 7) Cumulative Relative Frequency = Proportion for Category + Proportion for Category-1 + ... + Proportion for Category-14.
1) To calculate the mean number of convictions, you need to multiply each number of convictions by its corresponding frequency, sum up the products, and then divide by the total number of boys in the sample:
Mean = (0 × 265 + 1 × 49 + 2 × 1 + 3 × 21 + 4 × 19 + 5 × 18 + 6 × 10 + 7 × 2 + 8 × 2 + 9 × 4 + 10 × 2 + 11 × 1 + 12 × 4 + 13 × 3 + 14 × 1) / 395 = 6.06
2) To calculate the variance for the number of convictions, you need to calculate the squared difference between each number of convictions and the mean, multiply each squared difference by its corresponding frequency, sum up the products, and then divide by the total number of boys in the sample:
Variance = [(0 - Mean)² × 265 + (1 - Mean)² × 49 + (2 - Mean)² × 1 + (3 - Mean)² × 21 + (4 - Mean)² × 19 + (5 - Mean)² × 18 + (6 - Mean)² × 10 + (7 - Mean)² × 2 + (8 - Mean)² × 2 + (9 - Mean)² × 4 + (10 - Mean)² × 2 + (11 - Mean)² × 1 + (12 - Mean)² × 4 + (13 - Mean)² × 3 + (14 - Mean)² × 1] / 395
After performing the calculations, the variance is approximately 11.82.
3) To calculate the standard deviation for the number of convictions, you take the square root of the variance:
Standard Deviation = √Variance
4) To calculate the standard error for the number of convictions, you divide the standard deviation by the square root of the total number of boys in the sample:
Standard Error = Standard Deviation / √395
5) The range for the number of convictions is the difference between the maximum and minimum number of convictions in the sample.
From the given data, it appears that the range is 14 (maximum - minimum).
6) To calculate the proportion of each category (number of convictions), you divide the frequency of each category by the total number of boys in the sample (395).
Proportion = Frequency / 395
7) To calculate the cumulative relative frequency for the data, you sum up the proportions for each category in order.
The cumulative relative frequency for each category is the sum of the proportions up to that category.
Cumulative Relative Frequency = Proportion for Category + Proportion for Category-1 + ... + Proportion for Category-14
8) To graph the cumulative frequency distribution, you can plot the number of convictions on the x-axis and the cumulative relative frequency on the y-axis.
Each category (number of convictions) will have a corresponding point on the graph, and you can connect the points to visualize the cumulative frequency distribution.
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Let x denote the amount of gravel sold (in tons) during a randomly selected week at a particular sales facility. Suppose that the density curve has height f(x) above the value x where [2(1-x) :{2(1 f(
The area under the curve between any two points represents the probability of the variable falling within that interval.
Given that x denote the amount of gravel sold (in tons) during a randomly selected week at a particular sales facility, where the density curve has height f(x) above the value x where [2(1-x) :<2
(1 + f(Answer: The required density curve is given byf(x) = (1/2)(2 - x), for 0 < x < 2.
A density curve represents the density of the continuous probability distribution of a real-valued random variable.
It is a curve that is always on or above the x-axis and whose total area is equal to 1.
The area under the curve between any two points represents the probability of the variable falling within that interval.
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for what value of x do the expressions of 2/3x 2 and 4/3x - 6 have the same value
The solution of the equation:
2/3x + 2 = 4/3x - 6
is x = 1/12
For which value the two expressions have the same value?Here we have the two rational functions:
2/3x + 2
4/3x - 6
And we want to find the value of x such that these two are equal, so we just need to solve the equation:
2/3x + 2 = 4/3x - 6
Multiply both sides by 3x to get:
2 + 2*(3x) = 4 - 6*(3x)
2 + 6x = 4 - 18x
6x + 18x = 4 - 2
24x = 2
x = 2/24
x = 1/12
That is the value.
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