The mean of the numbers means that it is average of the given numbers.
According to the question,
We have the following information:
Mean of the numbers
We know that the mean of a given data set means that we add all the numbers in data set and divide the obtained result by the total numbers.
For example, we have a following data set:
2,5 and 8
Total numbers in the set = 3
Now, the mean of these numbers will be:
Mean = (2+5+8)/3
Mean = 15/3
Mean of the numbers = 5
So, in other words, it can be expressed as the average of the numbers.
Hence, the mean of the numbers means that it is average of the given numbers.
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What is a 4 0 phenotypic ratio?.
The visibility rate for the only dominant phenotype is 100%. There is no phenotypic ratio since there is no second phenotype. The ratio that would be used to represent this outcome is 4:0 phenotypic ratio.
In the given question we have to explain about a 4:0 phenotypic ratio.
The visibility rate for the only dominant phenotype is 100%. There is no phenotypic ratio since there is no second phenotype. The ratio that would be used to represent this outcome is 4:0. However, the genotypic ratio considers probable allele combinations rather than the observable trait (phenotype).
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A confidence interval is made from a __________ to estimate the truth for a ______________.
To determine the accuracy of a "population parameter," a "sample statistic" is used to create a confidence interval.
Define the word confidence interval?Although they are connected, confidence level and confidence interval are not the same thing.
A wide range of values that are bound by the statistic's mean and that are likely to include an unidentified population parameter. The proportion of probability, or surety, that perhaps the confidence interval might include the real population parameter when a random sample is drawn numerous times is referred to as the confidence level. We are 99% confident (confidence level) that the majority of all these observations (confidence intervals) include the genuine population parameter, to use colloquial language. The researchers come at an upper and lower limit that 95% of the time contain the true mean by creating a 95% confidence interval that use the sample's median and standard deviation and adopting a normal distribution represented by the bell curve.Thus, to evaluate the accuracy of a "population parameter," a "sample statistic" is used to create a confidence interval.
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9) customers arrive at a grocery store following a poisson distribution at an average rate of 70 per hour. on average, how many customers arrive per minute? a) 1.2 customers per minute b) 7 customers per minute c) 0.86 customers per minute d) 0.02 customers per minute e) 0.7 customers per minute
On average number of customers arrives at a grocery shop per minute is equal to 1.2 customers per minute.
As given in the question,
Following a Poisson distribution:
Number of customers arrives at grocery store
= Average rate of 70 per hours
Conversion hours to minutes
1 hour = 60 minutes
λ = average rate of 70 per hours
= average rate of 70 per 60 minutes
= average rate of ( 7 / 6 ) per minute
= average rate of 1.1666...per minute
= average rate of 1.2 per minute
Therefore, on average 1.2 number of customers arrives per minute.
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you flip a coin for which the probability of heads is 0.50.5 and the probability of tails is 0.5.0.5. if the coin comes up heads, you win $1. otherwise, you lose $1. determine the expected value of your winnings. (use decimal notation. give your answer as an exact number.) expected value:
The expected value of winnings is 0.
The expected value will be calculated by taking the sum of winning and loosing = E(x) = ΣxP(x), where X is the outcome and P is the probability of that outcome.
The probability of winning = X P(x)
The probability of winning = 1 × 0.5
The probability of winning = 0.5
The probability of loosing = -1 × 0.5 (-1 because it will be the loss)
The probability of loosing = -0.5
Calculating their sum = 0.5 + (-0.5)
Expected value = 0.5 - 0.5
Expected value = 0
Hence, the expected value is 0.
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How do you tell if the leading coefficient of a graph is positive or negative?.
it is negative or positive depending upon the sign of the coefficients associated with the variable x
How do you define leading coefficient?
In a polynomial function, the leading term is the term containing the highest power of x. The coefficient of the leading term is called the leading coefficient.
it is negative or positive depending upon the sign of the coefficients associated with the variable x
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what is the probability that there is exactly one car and exactly one bus during a cycle? answer .030 what is the probability that there is at most one car and at most one bus during a cycle? answer .120 what is the probability that there is exactly one car during a cycle? exactly one bus? answer .300 s
The probability of exactly one car and exactly one bus during a cycle is 0.030.
What is probability?
Probability is that the branch of arithmetic regarding numerical descriptions of however possible an incident is to occur, or however possible it's that a proposition is true. The chance of an incident could be a range between 0 and 1.
Main body:
A) The joint pmf of X and Y is computed as,
p(x,y)=P(X=x and Y=y)
Such that, p(x,y)≥0 and ∑ p(x,y)=1.
The probabilities that there is exactly one car and exactly one bus during a cycle is denoted by
P (X =1,Y =1) = p(1,1).
From the given joint probability table, p(1,1)=0.030.
Therefore, the probability that there is exactly one car and exactly one bus during a cycle is 0.030.
Hence probability of exactly one car and exactly one bus during a cycle is 0.030.
B) Required to find the probability that there is at most one car and at most one bus during a cycle,
P(X ≤ 1 and Y ≤1 ), and is computed as follows:
P(X ≤ 1 and Y ≤1)=p(0,0)+p(0,1)+p(1,0)+p(1,1)
From the given joint probability table,
P(X ≤ 1 and Y≤1)=0.025+0.015+0.050+0.030=0.120
Therefore, the probability that there is at most one car and at most one bus during a cycle is 0.120.
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33575 rounded to the nearest 1000
Answer:
just count 3 digit and round it off then the answer would be 34000
the vertices of the trapezoid are the origin along with a (4m, 4n), b (4q, 4n), and c (4p, 0). find the midpoint of the midsegment of the trapezoid.
The midpoint of the midsegment of Trapezoid is E(2m, 2n) and F (2(q+p), 2n).
According to the question,
The vertices of the trapezoid are A(4m , 4n) , B(4q , 4n) , C(4p , 0) and D(0,0).
Let mid-point of midsegment of Trapezoid be E and F
Using section formula
E (x- coordinate)= 1*4m + 0 /2
E (x- coordinate)=2m
E (Y- coordinate)= 4n/2
E (Y- coordinate)=2n
So, the coordinates of E (2m, 2n)
similarly,
F (x- coordinate)= (1*4q + 1*4p)/2
F (x- coordinate)=2(p + q)
F (Y- coordinate)= 4n/2
F(Y- coordinate)=2n
So, the coordinates of F (2(q +p), 2n)
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If you roll two dice, the probability of getting a sum of 7 is 6/36, or 1/6. If you roll the two dice 10 times, the probability of getting a sum of 7 in at least 3 of the 10 rolls is closest to which of the following?
a 0.225
b 0.515
c 0.7
d 0.775
The correct option is option (a). Using Binomial Probability distribution,
the probability of getting a sum of 7 in at least 3 of the 10 rolls is 0.225..
We have given that,
probability of getting a sum of 7 on rolling of two dice once (p) = 6/36
so, 1 - p = 1 - 6/36 = 30/36 = 5/6
Using Binomial Probability distribution,
X ~ B ( 10, 1/6)where "X" is random variable
the probability of getting a sum of 7 in at least 3 of the 10 rolls is
P( X ≥3 ) = 1 - P(X< 3)
= 1 - [ P(X= 0) + P(X= 1) + P(X= 2) ]
= 1 - [ 10C0 (1/6)0 (5/6)10 + 10C2 (1/6)1(5/6)9 + 10C3(1/6)3 (5/6)7
= 1- [ 0.1615 + 0.3230112 + 0.290710 ]
= 1 - [ 0.775522]
= 0.22475 ~0.225
Hence, the required probability is 0.225
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please help geometry
Answer:
6
Step-by-step explanation:
45-45-90 tri so x=6
3sqrt2^2=18
18+18=36
sqrt36=6
We expect that students who do well on the midterm exam in a course will usually do well on the final exam. Gary smith of pomona college looked at the exam scores of all 346 students who took his statistics class over a 10-year period. Assume that both the midterm and final exam were scored out of 100 points. State the equation of the least-squares regression line if each student scored the same on the midterm and the final.
If each student scored the same on the midterm and final, the equation of the least-squares regression line is [tex]\hat{y}=x[/tex].
What are equations?The definition of an equation in algebra is a mathematical statement that demonstrates the equality of two mathematical expressions.
For instance, the equation 3x + 5 = 14 consists of the two equations 3x + 5 and 14, which are separated by the 'equal' sign.
So, Gary Smith of Pomona College reviewed the test results of all 346 students who took his statistics course over a ten-year period.
Take into account that both the midterm and final tests were rated out of 100.
Let the midterm score (x) and the final score (y) be the same.
The data for the explanatory variable x and the response variable y will be the same if each student receives the same grade on the midterm and final.
The linear model will predict that the two variables are equal if the data for the two variables are the same, and as a result, the linear model will assume that the expected y-variable is equal to the predicted x-variable.
Thus, the following is how the least-square regression line appears:
[tex]\hat{y}=x[/tex]
Therefore, if each student scored the same on the midterm and final, the equation of the least-squares regression line is [tex]\hat{y}=x[/tex].
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Write a method that takes a regularpolygon as a parameter, and changes the number of sides so it becomes an equilateral triangle (i. E. Set the number of sides to 3).
Answer: public static void randomize(RegularPolygon r){
int side = (int)((20-10) * Math.random()) + 10;
int length = (int)((12-5) * Math.random()) + 5;
// assuming the regularpolygon class has setSide and setLength methods.
r.set.Side(side);
r.setLength(length);
The randomize method is used to access and change the state of the RegularPolygon class attributes sides and length. The method accepts the class as an argument and assigns a random number of sides and length to the polygon object.
Step-by-step explanation:
If an average of 39 customers are served per hour, what is the probability that the next customer will arrive in 3 minutes or less?
The probability that the next customer will arrive in 3 minutes or less is 6.0286.
What is the Poisson distribution?
The Poisson distribution is a discrete probability distribution in probability theory and statistics that expresses the probability of a given number of events occurring in a fixed interval of time or space if these events occur with a known constant mean rate and regardless of the time since the last event.
This is a Poisson distribution formula:
P(X > t) = e^(-λt)
Where,
λ is the arrival rate
t is the arrival time
λ = 39/60
t = 3 minutes
We want to find the probability that the next customer will arrive in 3 minutes or less. This is expressed as;
P (X ≤ 3) = 1 - (P(X > 3))
so,
P (X ≤ 3) = 1 - e^((39/60) × 3)
P (X ≤ 3) = 1 - 7.0286
P (X ≤ 3) = 6.0286
hence, the probability that the next customer will arrive in 3 minutes or less is 6.0286.
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the following are four observations collected from each of three treatments. test the hypothesis that the treatment means are equal. use the 0.05 significance level.
From the following four observations among the given hypothesis with significance level is 0.05 the null hypothesis is not true.
Null hypothesis is all means are equal and in alternative at least there is a difference in one mean.
As given in the question,
Significant level is equal to 0.05
a. Null hypothesis : Null hypothesis is the one where there is no significant difference between the means of all the treatment groups.
Where as alternative hypothesis is the one which represents that there is significant difference between the means of all the treatment groups.
Therefore, from the following four observations among the given hypothesis with significance level is 0.05 the null hypothesis is not true.
Null hypothesis is all means are equal and in alternative at least there is a difference in one mean.
The complete question is:
The following is sample information. Test the hypothesis that the treatment means are equal. Use the .05 significance level.
Treatment 1: 8, 6, 10, 9
Treatment 2: 3, 2, 4, 3
Treatment 3: 3, 4, 5, 4
a. State the null and alternative hypothesis
b. What is the decision rule?
c. Compute the SST,SSE and SS total
d. Compute an ANOVA table
e. State decision regarding null hypothesis
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How many extraneous solutions does the equation have 2m 2m 3 2m 2m 3 1?.
Zero extraneous solutions does the equation have (2m)/(2m+3)-(2m)/(2m-3) = 1.
What is Quadratic Equation?
ax^2 + bx + c = 0 is a quadratic equation, which is a second-order polynomial equation in a single variable a ≠0. It has at least one solution because it is a second-order polynomial equation, which is guaranteed by the algebraic fundamental theorem. The answer might be simple or complicated.
Given that;
[tex]\frac{2m}{2m+3}-\frac{2m}{2m-3} = 1[/tex]
⇒ [tex]\frac{2m(2m-3)-2m(2m+3)}{(2m+3)(2m-1)}=1[/tex]
⇒ [tex]\frac{4m^2-6m-4m^2-6m}{(4m^2-9)}=1[/tex]
⇒ [tex]\frac{-12m}{4m^2-9}=1\\[/tex]
⇒ [tex]-12m = 4m^2-9[/tex]
4m^2 +12m - 9 = 0(1)
The formula for calculating the roots of the quadratic equation ax^2 + bx + c can be utilized because (1) is a quadratic equation.
[tex]\frac{-b\pm \sqrt{b^2-4ac} }{2a}[/tex]
Variable m is in equation (1), where a = 4, b = 12, and c = -9.
The roots are calculated as:
[tex]\frac{-12\pm \sqrt{12^2-4\times 4\times (-9)} }{2\times 4}[/tex]
[tex]\frac{-12\pm \sqrt{2\times 144} }{8}[/tex]
[tex]\frac{-12\pm 12\sqrt{2} }{8}[/tex]
[tex]\frac{-3}{2} \pm \frac{3}{2}\sqrt{2}[/tex]
[tex]\frac{-3}{2} - \frac{3}{2}\sqrt{2} \ and \ \frac{-3}{2} + \frac{3}{2}\sqrt{2}[/tex]
Subsitituting [tex]\frac{-3}{2} - \frac{3}{2}\sqrt{2}[/tex] in equation (1);
[tex]9+18+18\sqrt{2}-18-18\sqrt{2} -9 = 0[/tex]
0 = 0
The root -3/2 - 3([tex]\sqrt{2}[/tex])/2 is therefore not an auxiliary solution.
Now substituting [tex]\ \frac{-3}{2} + \frac{3}{2}\sqrt{2}[/tex] in equation (1);
[tex]9+18+18\sqrt{2}-18-18\sqrt{2} -9 = 0[/tex]
0 = 0
Therefore, the root -3/2 + 3([tex]\sqrt{2}[/tex])/2 IS NOT AN ADDITIONAL SOLUTION.
The above problem can be solved using either of the two roots.
There is no superfluous solution to the equation (2m)/(2m+3)-(2m)/(2m-3) = 1 as a result.
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An ANOVA procedure is applied to data obtained from 6 sample where each sample contains 20 observations. The degrees of freedom for the critical value of F are 6 numerator and 20 denominator degree of freedom. 5 numerator and 20 denominator degree of freedom. 5 numerator and 114 denominator degree of freedom. 6 numerator and 20 denominator degree of freedom
The degree of freedom for the numerator is 5 and the degree of freedom for the denominator is 114.
What is Analysis of variance (ANOVA)?Analysis of variance (ANOVA) is a type of statistical test used to determine if there is a statistically significant difference among two or more categorical groups by testing for differences of means using variance. An ANOVA test is used to analyze the differences between group means in a sample.
In this case, the number of groups, k is the number of distinct groups = 6
The total number of samples, N = number of groups x number of samples per each group
Thus, N = 6 x 20 = 120
Degree of freedom (df):
df within = df of numerator = k – 1 = 6 – 1 = 5
df between = df of denominator = N – k = 120 – 6 = 114
Hence, the required degrees of freedom are 5 numerator and 114 denominator.
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problem 7.2. cox-ross-rubinstein (crr) the cox-ross-rubinstein model is a binomial tree in which the up and down factors are given as u
The Cox-Ross-Rubinstein (CRR) model is a mathematical model used in finance to evaluate the potential future value of an asset or portfolio. The model is based on the concept of a binomial tree.
What is a binomial tree?A binomial tree is a mathematical model used in finance to estimate the probable future value of an asset or portfolio. The notion of a binomial, a mathematical expression with two potential outcomes, forms the foundation of the model. In a binomial tree, the future value of the asset is defined by two potential outcomes at each time step: a "upper" element and a down factor. The underlying variables that affect the asset, such as interest rates and market circumstances, dictate the up and down components. Reflecting This enables investors to assess the advantages and dangers of a possible investment and come to wise judgments.
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According to the WHO MONICA Project the mean blood pressure for people in China is 128 mmHg with a standard deviation of 23 mmHg. Assume that blood pressure is normally distributed.
Round the probabilities to four decimal places.
It is possible with rounding for a probability to be 0.0000.
a) State the random variable.
Select an answer rv X = a randomly selected person in China rv X = the mean blood pressure of a sample of people in China rv X = the mean blood pressure of all people in China rv X = blood pressure is normally distributed rv X = the blood pressure of a randomly selected person in China
b) Find the probability that a randomly selected person in China has a blood pressure of 83.8 mmHg or more.
c) Find the probability that a randomly selected person in China has a blood pressure of 113.4 mmHg or less.
d) Find the probability that a randomly selected person in China has a blood pressure between 83.8 and 113.4 mmHg.
e) Find the probability that randomly selected person in China has a blood pressure that is at most 70.5 mmHg.
f) Is a blood pressure of 70.5 mmHg unusually low for a randomly selected person in China?
Why or why not?
Select an answer yes, since the probability of having a value of blood pressure at least that high is less than or equal to 0.05 yes, since the probability of having a value of blood pressure at the most that value is less than or equal to 0.05 no, since the probability of having a value of blood pressure at least that high is less than or equal to 0.05 no, since the probability of having a value of blood pressure at the most that value is less than or equal to 0.05 yes, since the probability of having a value of blood pressure at least that high is greater than 0.05 yes, since the probability of having a value of blood pressure at the most that value is greater than 0.05 no, since the probability of having a value of blood pressure at least that high is greater than 0.05 no, since the probability of having a value of blood pressure at the most that value is greater than 0.05
g) What blood pressure do 78% of all people in China have less than?
Round your answer to two decimal places in the first box.
Put the correct units in the second box.
The answer to the question probability of randomly selected person has a blood pressure of 182.6 mmHg is 0.0088.
What is standard deviation?
A measure of a group of values' variance or dispersion in statistics is called the standard deviation. When the standard deviation is low, the values are more likely to fall within a narrow range, also known as the expected value, whereas when the standard deviation is high, the values tend to be closer to the mean.
The lowercase Greek letter sigma, which stands for the population standard deviation, or the Latin letter s, which stands for the sample standard deviation, are most frequently used in mathematical equations and texts to represent standard deviation. Standard deviation is also sometimes referred to as SD.
The mean blood pressure for people in china is 128 mmHg.
The standard deviation of 23 mmHg.
For blood pressure of 182.6 mmHg
=p(x> 182.6)
=p(z> 182.6-128/23)
=p(z> 2.37)
=0.0088
Hence the probability of a randomly selected person has a blood pressure of 182.6 mmHg is 0.0088.
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A spherical balloon is being inflated. Find the rate of increase of the surface area
(S = 4?r2)
with respect to the radius r when r is each of the following.
(a) 1 ft
ft2/ft
(b) 8 ft
ft2/ft
(c) 9 ft
ft2/ft
The rate of increase of the surface area of a spherical balloon is 8π square feet when r is 1 ft, 64π square feet when r is 8 ft, 72π square feet when r is 9ft and 16π square feet when r is 2 ft.
According to the question,
We have the following information:
A spherical balloon is being inflated. We need to find the rate of increase of the surface area of a spherical balloon with respect to r.
Surface area = [tex]4\pi r^{2}[/tex]
Differentiating with respect to r:
ds/dr = 8πr
Now, we will put all the values of r in this formula.
(a) r = 1 ft
Rate of increase = 8π*1
Rate of increase = 8π square feet
(b) Radius = 8 ft
Rate of increase = 8π*8
Rate of increase of area = 64π square feet
(c) Radius = 9 ft
Rate of increase of area = 8π*9
Rate of increase of area = 72π square feet
(d) Radius = 2 ft
Rate of increase of surface area = 8π*2
Rate of increase = 16π square feet
Hence, the rate of increase of the surface area of a spherical balloon is 8π square feet when r is 1 ft, 64π square feet when r is 8 ft, 72π square feet when r is 9ft and 16π square feet when r is 2 ft.
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question a sports team won twice as many games as they lost. the sum of games won and games lost was 42 games. how many games did they win?
Using the solution of Algebraic expression,
we get that total 28 games won by sports team.
We have given that,
let a sports team lost be x games .
then, total number of games won by sports team
= 2x
total number of games played by sports team
= 42
i.e , 2x + x = 42
=> 3x = 42
=> x = 42/3
=> x = 14
so, number of games lost by sports team is 14
but we have to calculate the total number of games won by spots team .
using the value of x , we get 2x = 2×14
=> 28 games
Hence, total 28 games out of 42 games are won by sports team.
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Use a stem-and-leaf plot to display the data. The data represent the ages of the top 30 highest paid CEOs. 64 74 55 55 62 63 50 67 51 60 59 50 52 50 59 62 64 57 61 60 49 63 62 60 55 56 48 58 64 57
Below is the stem-and-leaf plot to represent the ages of the top 30 highest-paid CEOs.
What is the stem-and-leaf plot?
A stem-and-leaf display, also known as a stem-and-leaf plot, is a device used to visualize the shape of a distribution by presenting quantitative data in a graphical format, similar to a histogram. They developed from the work of Arthur Bowley in the early 1900s and are useful tools in exploratory data analysis.
Stem Leaf
4 8 9
5 0 0 0 1 2 5 5 5 6 7 7 8 9 9
6 0 0 0 1 2 2 2 3 3 4 4 4 7
7 4
Hence, this is the stem-and-leaf plot to represent the ages of the top 30 highest-paid CEOs.
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What factors are of 15?.
Answer:
factors : 1, 3, 5 and 15
Step-by-step explanation:
1 x 15 = 15
5 x 3 = 15
so those are the only factors of 15
How do you find the rational function of a graph?.
Before graphing a given rational function, it is occasionally necessary to simplify it. If, other than at asymptotes, there are any excluded values then graphing the function requires an additional step.
The function y=f(x), where f(x) is a rational expression, is the formula for a rational function.
Drawing the graphs of the rational functions might be challenging. Finding the asymptotes and intercepts is a good place to start when attempting to sketch a graph of a rational function.
The steps in graphing rational functions are as follows:
Find the rational function's asymptotes, if any exist.
Create dotted lines for the asymptotes.
Find the rational function's x-intercept (s) and y-intercept, if any.
For various x values, determine the values of y.
Plot the spots and then create a straight line to connect them and check to see if the graph crosses the vertical asymptotes.
Make sure the function is not a continuous smooth curve at the excluded value if you want to portray an undefined function. Typically referred to as the "hole in the rational function," this excluded value
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The function f(x) is a cubie function and a limited table of values is provided below. Write the equation of the cubic polynomial in standard form.
The required cubic polynomial is
f(x) = [tex]-2x^3-2x^2-28x+48[/tex]
What is a polynomial?
An algebraic expression of the form [tex]a_0 + a_1x+ .... + a_nx^n[/tex] ([tex]a_0 \neq 0[/tex]) is called a polynomial of degree n.
The zeroes of the cubic polynomial are -4, 2, 3
Let the cubic polynomial is
f(x) = a(x - (-4))(x - 2)(x - 3)
f(x) = a(x + 4)(x - 2)(x - 3)
If x = -5, f(x) = 112
112 = a(-5 + 4) (-5 - 2)(-5 - 3)
112 = -56a
a = [tex]-\frac{112}{56}[/tex]
a = -2
f(x) = -2(x+ 4)(x - 2)(x - 3)
[tex]f(x) = -2(x+ 4)(x^2 -3x -2x +6)\\f(x) = -2(x + 4)(x^2 - 5x + 6)\\f(x) = -2(x^3 - 5x^2+4x^2+6x - 20x+24)\\f(x) = -2(x^3 - x^2 - 14x +24)\\f(x) = -2x^3 -2x^2 - 28x + 48[/tex]
(x +4)(x - 2)(x - 3)
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What is 18.92 divided by11 equals 18.92 at the top 11 at the bottom explain your answer PLEASE I HAVE TO SUMMIT THIS IN 19 MIN!
Answer:
Is there a diagram or picture??
Step-by-step explanation:
How do you find the relationship between zeros and the coefficients of a cubic polynomial?.
A cubic polynomial is a polynomial of degree 3. That is, it is a polynomial with three terms. The relationship between the zeros and the coefficients of a cubic polynomial can be found by using the factoring theorem.
This theorem states that if a polynomial has a factor of (x-a), then a is a zero of the polynomial. In other words, the zeros of a polynomial are the values of x that make the polynomial equal to zero.
To find the zeros of a cubic polynomial, we can use the factoring theorem to factor the polynomial into factors of the form (x-a). For example, if we have the cubic polynomial x³+ax²+bx+c, we can factor it as (x-a)(x²+px+q), where a, p, and q are constants. We can then use the factoring theorem to find the values of a, p, and q that make the polynomial equal to zero.
The coefficients of a cubic polynomial are the values of a, p, and q in the factored form of the polynomial. In other words, the coefficients of a cubic polynomial are the values that determine the zeros of the polynomial.
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In a survey of randomly selected students, 8 out of every 10 students said they use their phones to play games. If there are 820 students at
Jamison Middle School, how many students can be expected to play games on their phones?
Answer:
656
Step-by-step explanation:
820/10 to get 1/10 of 820 (82)
Multiply by 8 to get 656
volume of naoh dispensed (ml) check circle highlight off highlight off mass of acid in sample (g) highlight off highlight off highlight off percentage by mass in sample
Percentage by mass in sample will be 67.8%.
We know that volume of NaOH dispensed is 24.68 ml.
And mass of the NaOH is 39.997 g/mol.
Also mass of acid is 58.94 g/mol.
We have to find percentage by mass in sample.
To calculate the mass percent of an element in a compound, we divide the mass of the element in 1 mole of the compound by the compound's molar mass and multiply the result by 100.
Therefore
Mass percent = (mass of chemical / total mass of compound) × 100
= (mass of NaOH/ mass of acid) × 100
= (39.997/58.94) × 100
= 0.678 × 100
Mass percent = 67.8
Hence percentage by mass in sample is 67.8%
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In a urvey of 3072 adult aged 57 through 85, it wa found that 86. 9% of them ued at leat one precription medication contrut a 90% confidence interval eatimate if the percentage of adult aged 57 through 85 year who ue at leat one precription medication
A 90% confidence interval will be 82.5% < p < 84.9%
What is the confidence interval in statistics?
A confidence interval is the mean of your estimate plus and minus its variation. Within a certain level of confidence, this is the range of values you expect your estimate to fall between if you redo your test. In statistics, confidence is another word for probability.
We have to find a 90% confidence interval estimate of adults who used at least one prescription medication.
Here, the sample proportion [tex]\hat {p} = 0.837[/tex]
We know that for true population proportion confidence interval is given by
[tex]C.I.= \left( \hat{p}-z_{c}\sqrt{\frac{\hat{p}(1-\hat{p})}{n}} , \hat{p}+z_{c}\sqrt{\frac{\hat{p}(1-\hat{p})}{n}}\right)[/tex]
For 90% confidence interval [tex]z_c[/tex] = 1.645 from normal table
[tex]C.I.= \left( 0.837-1.645\sqrt{\frac{0.837(1-0.837)}{3072}} , 0.837+1.645\sqrt{\frac{0.837(1-0.837)}{3072}}\right)[/tex]
[tex]C.I.= \left( 0.837-1.645\sqrt{\frac{0.837(0.163)}{3072}} , 0.837+1.645\sqrt{\frac{0.837(0.163)}{3072}}\right)[/tex]
[tex]C.I.= \left(0.837-1.645\times 0.007 , 0.837+1.645\times 0.007 \right)[/tex]
[tex]C.I.= \left(0.837-0.012 , 0.837+0.012\right)[/tex]
[tex]C.I.= \left(0.825 , 0.849\right)[/tex]
Converting our confidence interval into percentages by multiplying it by 100 we get (82.5%, and 84.9%).
Thus, a 90% confidence interval will be 82.5% < p < 84.9%.
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What the SAS similarity theorem is?.
The SAS standard for similarity of triangles states that triangles are similar if two sides of one triangle are proportional to two sides of another triangle and their included angles are congruent.
Statement : The statement can be expressed as follows:
If two triangles ABC and DEF are such that
∠A=∠D and AC /DF =AB/DE
then △ABC∼△DEF
Proof :
Given: △ABC and △DEF are such that
AC /DF =AB/DE and ∠A=∠D
To Prove : △ABC∼△DEF
Construction : Draw a line PQ such that DP= AB , DQ= AC
In △ABC and △DPQ
AB = DP ( by construction)
DQ= AC ( by construction)
∠A=∠D (given)
=> △ABC ≅△DPQ (by SSA congruence property)
AB/DE = AC/DF (given )
=> DP/DE = DQ/DF ( using AB = DP ; DQ= AC)
=> PQ||EF (by converse of B.P.T)
Now , ∠P =∠E and ∠Q =∠F ( by corresponding angles)
△DEF ≅ △DPQ (Using AAS congruence )
=> △ABC ∼△DEF ( because two congrunt triangles are always similar )
Hence proved .
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