Answer:
see explanation
Step-by-step explanation:
A
3x² + 36x ← factor out common factor of 3x from each term
= 3x(x + 12)
B
- 36x - 4x² ← factor out common factor of - 4x from each term
= - 4x(9 + x)
9-88. + If the standard deviation of hole diameter exceeds 0. 01 millimeters, there is an unacceptably high probability that the rivet will not fit. Suppose that n= 15 and s =0. 008 millimeter. (a) Is there strong evidence to indicate that the standard devia- tion of hole diameter exceeds 0. 01 millimeter? Use a = 0. 1. State any necessary assumptions about the underly- ing distribution of the data. Find the P-value for this test. (b) Suppose that the actual standard deviation ofhole diam- eter exceeds the hypothesized value by 50%. What is the probability that this difference will be detected by the test described in part (a)? (c) If o is really as large as 0. 0125 millimeters, what sam- ple size will be required to detect this with power of at least 0. 8?
(a)There's solid prove to demonstrate that the standard deviation of gap breadth surpasses 0.01 millimeters. (b) Employing a control calculator or computer program, ready to decide that a test measure of roughly 44 is required to realize a control of at slightest 0.8 to detect a 50% increment in standard deviation at a centrality level of 0.1. (c) Assuming the same noteworthiness level of 0.1, ready to utilize a control calculator or program to discover that a test measure of around 22 is required to attain a control of at slightest 0.8.
(a) To test in case the standard deviation of gap distance across surpasses 0.01 millimeters, we are able utilize a one-tailed t-test with a noteworthiness level of 0.1. The invalid speculation is that the standard deviation is less than or rise to to 0.01 millimeters, and the elective theory is that the standard deviation is more noteworthy than 0.01 millimeters. We expect that the basic dispersion of the gap breadths is around ordinary.
Utilizing the equation for the t-test, we get:
[tex]t = (s / \sqrt{} (n-1)) / (0.01)[/tex]
[tex]t = (0.008 / \sqrt{} (14)) / (0.01)[/tex]
t = 2.26
The degrees of opportunity for this test is n-1 = 14. From a t-distribution table, we discover that the p-value for a one-tailed test with 14 degrees of opportunity and t=2.26 is roughly 0.021. Since the p-value is less than the noteworthiness level of 0.1, we dismiss the invalid speculation.
(b) To discover the likelihood that the test in part (a) will identify a 50% increment in standard deviation, we have to be calculate the control of the test. The control of a test is the likelihood of dismissing the invalid theory when the elective theory is genuine.
The control of the test depends on a few components, counting the test measure, the noteworthiness level, and the impact measure. In this case, the effect size is the contrast between the actual standard deviation and the hypothesized esteem, communicated in standard deviation units.
(c) If the real standard deviation is 0.0125 millimeters and we need to distinguish this with a control of at least 0.8, we ought to decide the test measure required for the test. Assuming the same noteworthiness level of 0.1, ready to utilize a control calculator or program to discover that a test measure of around 22 is required to attain a control of at slightest 0.8.
We have utilized a one-tailed t-test to decide that there's solid prove to show that the standard deviation of gap breadth surpasses 0.01 millimeters. We have too calculated the control of the test to distinguish a 50% increment in standard deviation and the test measure required to distinguish a standard deviation of 0.0125 millimeters with a control of at slightest 0.8.
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A tank containing 6000 L of water drains out in 30 min. The volume V of water in the tank after t min of draining is V = 6000(1 – t/30)?. Find the instantaneous time rate of change of V after 15 min of draining. (Book: Technical Mathematics by Allyn J. Washington (2014)) dV = dt -210 L min dV dt = -100 L min O None dV = -200 L dt min dV dt = =-400 L min
The instantaneous time rate of change of V after 15 minutes of draining is -200 L/min
To find the instantaneous time rate of change of V after 15 minutes of draining, we need to differentiate the given equation V = 6000(1 - t/30) with respect to time t and then evaluate the derivative at t=15.
1. Differentiate the equation with respect to t:
dV/dt = -6000(1/30)
dV/dt = -200 L/min
2. Evaluate the derivative at t=15:
dV/dt at t=15 is -200 L/min.
The instantaneous time rate of change of V after 15 minutes of draining is -200 L/min.
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Which of the following has the polar coordinates negative five comma two pi over 3 question mark
Point W has the polar coordinates negative five comma two pi over 3.
We have to given that;
To find the coordinate for the point (- 5, 2π/3).
Now, We can formulate;
Coordinates of W = (- 5, 2π/3).
Thus, The correct point which shows the polar coordinates negative five comma two pi over 3 is,
⇒ Point W
Therefore, Point W has the polar coordinates negative five comma two pi over 3.
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The data in the table describes the preferred type of exercise of 9th graders.
Find the marginal relative frequency for students who prefer swimming as their preferred type of exercise.
39%
35%
19%
16%
Approximately 35% of students prefer swimming as their preferred type of exercise. So, correct option is B.
To find the marginal relative frequency for students who prefer swimming as their preferred type of exercise, we need to add up the percentage of boys and girls who prefer swimming.
The percentage of boys who prefer swimming is 16% and the percentage of girls who prefer swimming is 19%.
So, the total percentage of students who prefer swimming is:
16% + 19% = 35%
Therefore, the marginal relative frequency for students who prefer swimming as their preferred type of exercise is 35%.
So, correct option is B.
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what is the Area of the finished window
the cone and cylinder below both have a height of 11 feet. the cone has a radius of 3 feet. the cylinder has a volume of 310.86 cubic feet. complete the statements using 3.14 for . any non-integer answers in this problem should be entered as decimals rounded to the nearest hundredth. the volume of the cone is cubic feet. the radius of the cylinder is feet. the ratio of the volume of the cone to the volume of the cylinder is 1:.
The ratio of the volume of the cone to the volume of the cylinder is approximately 0.33 : 1 (rounded to the nearest hundredth).
The volume of the cone can be calculated using the formula:
V = (1/3)πr^2h
where r is the radius of the cone and h is the height of the cone. Substituting the given values, we get:
V = (1/3)π(3)^2(11) = 103.67 cubic feet
Therefore, the volume of the cone is 103.67 cubic feet (rounded to the nearest hundredth).
To find the radius of the cylinder, we can use the formula for the volume of a cylinder:
V = πr^2h
where r is the radius of the cylinder and h is the height of the cylinder. We are given that the volume of the cylinder is 310.86 cubic feet and that the height is 11 feet, so we can solve for r:
310.86 = πr^2(11)
r^2 = 310.86 / (11π)
r ≈ 2.3 feet
Therefore, the radius of the cylinder is approximately 2.3 feet (rounded to the nearest hundredth).
The ratio of the volume of the cone to the volume of the cylinder is the volume of the cone divided by the volume of the cylinder. Using the values we calculated, we get:
V(cone) / V(cylinder) = 103.67 / 310.86 ≈ 0.33 : 1
Therefore, the ratio of the volume of the cone to the volume of the cylinder is approximately 0.33 : 1 (rounded to the nearest hundredth).
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interior and exterior triangles
Answer:
∠ PQR = 18°
Step-by-step explanation:
the exterior angle of a triangle is equal to the sum of the 2 opposite interior angles.
∠ PQR is an exterior angle of the triangle , then
∠ PQR = ∠OPQ + ∠ QOP , that is
4x - 10 = x + 9 + x - 5
4x - 10 = 2x + 4 ( subtract 2x from both sides )
2x - 10 = 4 ( add 10 to both sides )
2x = 14 ( divide both sides by 2 )
x = 7
Then
∠ PQR = 4x - 10 = 4(7) - 10 = 28 - 10 = 18°
Netflix has a membership plan in which a person pays a flat fee of $10 plus $2 for each movie rented. Non members pay $4. 50 for each movie rented. Write a system of equations for each plan
The requried, system of equations is y = 2x + 10 and y = 4.50x.
Let's use the variables x and y to represent the number of movies rented and the total cost, respectively. Then, the two plans can be represented by the following equations:
For Netflix members:
y = 2x + 10
For non-members:
y = 4.50x
In the first equation, the $10 represents the flat fee that is charged regardless of how many movies are rented, and the $2x represents the additional cost based on the number of movies rented.
In the second equation, the $4.50x represents the cost per movie for non-members.
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What is the probability of a sample of 144 producing a mean of
50 or larger if the population has a mean of 49 and a standard
deviation of 5?
The probability of a sample of 144 producing a mean of 50 or larger if the population has a mean of 49 and a standard deviation of 5 is approximately 0.0082 or 0.82%.
To solve this problem, we can use the central limit theorem, which states that the distribution of sample means approaches a normal distribution as the sample size increases, regardless of the shape of the population distribution.
First, we need to calculate the standard error of the mean (SEM) using the formula:
In circle M with m Round to the nearest hundredth.
The area of the sector to the nearest hundredth is 308.57units²
What is area of sector?The space bounded by two radii and an arc is called a sector of a circle. There is minor sector and major sector.
The area of a sector is expressed as;
A = tetha/360 × πr²
where r is the radius and tetha is the angle formed by the two radii.
A = 98/369 × 3.14 × 19²
A = 111086.92/360
A = 308.57 units²( nearest hundredth)
therefore the area of the sector is 308.57 units²
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Suppose that you are testing the hypotheses
H0: μ=72 vs.HA μ≠72. A sample of size 76 results in a sample mean of 77 and a sample standard deviation of 1.3.
a) What is the standard error of the mean?
b) What is the critical value of t* for a 90% confidence interval?
c) Construct a 90% confidence interval for μ.
d) Based on the confidence interval, at α=0.100 can you reject H0?
Explain.
The population mean is not equal to 72 at a 10% significance level.
a) The standard error of the mean is given by the formula:
SE = σ/√n
where σ is the population standard deviation, n is the sample size. Since the population standard deviation is not known, we use the sample standard deviation as an estimate. Therefore,
SE = s/√n = 1.3/√76 ≈ 0.149
b) We need to find the critical value of t* with 75 degrees of freedom (df = n-1) and a 90% confidence level. Using a t-table or calculator, we find that the critical value is approximately t* = ±1.663.
c) To construct the 90% confidence interval, we use the formula:
CI = X ± t*(SE)
where X is the sample mean, t* is the critical value, and SE is the standard error of the mean. Substituting the values, we get:
CI = 77 ± 1.663(0.149) = (76.739, 77.261)
Therefore, we are 90% confident that the true population mean μ lies within the interval (76.739, 77.261).
d) To test the hypothesis at α=0.100, we compare the confidence interval with the null hypothesis. If the null hypothesis falls outside the confidence interval, we reject it at the given level of significance.
Since 72 is not within the confidence interval of (76.739, 77.261), we can reject the null hypothesis at α=0.100. This means we have sufficient evidence to conclude that the population mean is not equal to 72 at a 10% significance level.
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(Kolmogorov's zero-one law) Let An be a sequence of independent events and T = nno(An, An+1,...) the o(-) is the o-algebra generated by .. Prove that, if B ET then P(B) is either 0 or 1.
To answer your question involving independent events, algebra, and Kolmogorov's zero-one law. That to prove that if B ∈ T, then P(B) is either 0 or 1,
Follow these steps:
1. Define An as a sequence of independent events and T as the tail σ-algebra generated by the events An, An+1, ...
2. Introduce the concept of a tail event: A tail event is an event B such that B belongs to the tail σ-algebra T.
3. Apply Kolmogorov's zero-one law: This law states that for any tail event B belonging to T, the probability of B is either 0 or 1.
Proof:
Step 1: Given An as a sequence of independent events, let T be the tail σ-algebra generated by the events An, An+1, ...
Step 2: Let B be a tail event such that B ∈ T.
Step 3: By Kolmogorov's zero-one law, for any tail event B ∈ T, the probability of B is either 0 or 1.
Therefore, if B ∈ T, then P(B) is either 0 or 1.
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Jerry is the owner of the restaurant "Hungry Y." The only product Hungry Jerry sells is Jerry's burger, which is priced at $10 each. The number of Jerry's burgers sold on a day, denoted N, follows a normal distribution with mean 400 and standard deviation 50.
(a) What is the probability that the daily revenue exceeds $5,000?
It is known that the total daily cost, denoted C, follows a normal distribution with mean $1,000 and standard deviation $300. The correlation between C and N is 0.8. Let P denote the total daily profit.
(b) Express P in terms of C and N.
(c) Compute E(P).
(d) Compute Var(P).
(a) the probability that the daily revenue exceeds $5,000 is approximately 0.1587.
(b) E(P) = E(N(10 - C)) = E(10N) - E(NC) = 4000 - E(N)E(C) + Cov(N, C)
= 4000 - 400*1000 + 12000 = -120000
(c) The expected daily profit is -$120,000.
(d) the variance of the daily profit is $56,250,000,000.
What is probability?
Probability is a measure of the likelihood of an event occurring. It is expressed as a number between 0 and 1, where 0 indicates that the event is impossible and 1 indicates that the event is certain.
(a) Let X be the daily revenue. Then X = 10N, and we have:
E(X) = E(10N) = 10E(N) = 10(400) = 4000
[tex]Var(X) = Var(10N) = 10^2Var(N) = 10^2(50^2) = 25000[/tex]
Using the standardization formula, we have:
[tex]P(X > 5000) = P(Z > (5000-4000)/\sqrt(25000)) = P(Z > 1)[/tex]
Using a standard normal table or calculator, we find P(Z > 1) = 0.1587.
Therefore, the probability that the daily revenue exceeds $5,000 is approximately 0.1587.
(b) The total daily profit is given by:
P = N(10 - C)
Using the formula for the covariance between N and C, we have:
Cov(N, C) = rhosigma(N)sigma(C) = 0.850300 = 12000
Then we have:
E(P) = E(N(10 - C)) = E(10N) - E(NC) = 4000 - E(N)E(C) + Cov(N, C)
= 4000 - 400*1000 + 12000 = -120000
(c) The expected daily profit is -$120,000.
(d) To compute the variance of P, we use the formula:
Var(P) = Var(N(10 - C)) = 100Var(N)Var(10 - C) + 210Cov(N, 10 - C) + Var(10 - C)Var(N)
We have already computed Var(N) and Cov(N, 10 - C) in part (a) and (b). Also, we have:
Var(10 - C) = Var(10) + Var(C) - 2Cov(10, C) = 0 + 300^2 - 2(0) = 90000
Plugging in the values, we get:
Var(P) = 100(25000)(90000) + 2(10)(12000) + 90000(25000)
= 56250000000
Therefore, the variance of the daily profit is $56,250,000,000.
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Un trozo de carbon vegetal que estaba inicialmente a 180 f experimenta una disminución de temperatura de 120 f
The change in temperature of the charcoal from 180°F to 60°F is equal to a decrease of approximately 2.2 degrees Celsius.
To convert Fahrenheit to Celsius, we can use the formula:
Celsius = (Fahrenheit - 32) × 5/9
We know that the initial temperature of the charcoal was 180°F, and it experienced a temperature drop of 120°F. To find the final temperature in Fahrenheit, we can subtract 120°F from 180°F:
Final temperature in Fahrenheit = 180°F - 120°F = 60°F
Now, we can convert the final temperature from Fahrenheit to Celsius using the formula above:
Celsius = (60°F - 32) × 5/9
Celsius = (28°F) × 5/9
Celsius = -2.2222...
Rounding the result to one decimal place, we get:
Celsius = -2.2 degrees Celsius (approx.)
It's worth noting that the Celsius scale is based on the metric system, which is the standard measurement system used in most countries worldwide. In contrast, the Fahrenheit scale is primarily used in the United States and a few other countries, making it less universal. Understanding how to convert between the two scales is crucial in various scientific, engineering, and technical fields.
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Complete question:
A piece of charcoal that was initially at 180°F experiences a temperature drop of 120°F. Express this change of temperature in Celsius degrees.
Aj rums 400 yards every week. Aj walks 90 more yards than he runs. Which equation can be used to find x, the number of yards that Aj walks and runs each week
The equation that can be used to find x, the number of yards that Aj walks and runs each week is 2x = 400 + 90.
Let's assume that Aj runs x yards each week. Then, the number of yards that Aj walks each week would be (x + 90) yards, since he walks 90 more yards than he runs.
The total distance that Aj covers each week would be the sum of the distance that he runs and the distance that he walks, which is given as 400 yards.
So, we can write an equation as:
Distance covered by Aj = Distance that he runs + Distance that he walks
or,
400 = x + (x + 90)Simplifying this equation gives:
2x = 400 + 90Therefore, the equation that can be used to find x, the number of yards that Aj walks and runs each week is 2x = 400 + 90.
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Express 3x2 + 18x - 1 in the form a(x + b)2 + c
A colony of bacteria grows so that t days after the start of an experiment, the number of bacteria is n • 2 t/2, when n is the number of bacteria at the start of the expierement if there are 10,000bactrria 6 days after the experiments start what is the value of n
The initial number of bacteria in the colony was approximately 13.5.
The value of n, the number of bacteria at the start of the experiment, can be calculated using the formula n =
[tex](b/2)^(2/t),[/tex]
where b is the number of bacteria at any given time and t is the time in days.
Plugging in the given values, we get: n =
[tex](10,000/2)^(2/6)[/tex]
n =
[tex]2,500^(1/3)[/tex]
n ≈ 13.5. This formula is derived from the fact that the growth of bacteria is often modeled by an exponential function, where the rate of growth is proportional to the current population size.
In this case, the number of bacteria is doubling every 2 days (since [tex]2^(1/2) = 2^(2/4) = 2^(4/8) = ...),[/tex] so we can rewrite the original equation as n • [tex]2^(t/2)[/tex]. Using the given information that there are 10,000 bacteria 6 days after the experiment starts, we can plug in these values and solve for n using the derived formula.
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the rent for an apartment is $900 per month. the landlord charges one month's rent as a deposit plus a nonfundable damage cost of $450. the expression 900(n + 1) + 450 represents the cost of the renting the apartment for n months. simplify the expression
The simplified expression for the cost of renting the apartment for n months is 900n + 1350.
We have,
To simplify the expression 900(n + 1) + 450, we can start by using the distributive property of multiplication over addition, which states that:
a(b + c) = ab + ac.
So, we have:
900(n + 1) + 450
= 900n + 900(1) + 450 (applying the distributive property)
= 900n + 900 + 450
= 900n + 1350
Therefore,
The simplified expression for the cost of renting the apartment for n months is 900n + 1350.
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HELP ME I WILL GIVE BRAIN LEST
How many cows are there if 5 are in the barn and 8384737 are out the barn.
Answer:
8384742
Step-by-step explanation:
Answer:
there is no cow there because they have been barn
The quotient of 25 and 5 increased by 3. helpppp
The evaluation gives 8.
What is quotient?Quotient is division of two given integers; which is expressed as a fraction. It can be expressed in the form of either proper fraction or improper fraction.
Considering the given question, we have;
quotient of 25 and 5 = 25/ 5
Then increased by 3, we have;
25/5 + 3
find the LCM of the expression
25/5 + 3 = (25 + 15)/5
= 40/5
= 8
Therefore on evaluation, the final answer is 8.
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A common style of counting problem involves drawing from a deck of playing cards.
In a standard deck of playing cards, there are 52 different cards. Each card is one of 13 different values, and one of 4 different suits (of which there are 2 red suits and 2 black suits).
A hand of cards is a selection of cards from the deck, where the order they are selected in does not matter.
Question: How many 9-card hands contain four cards of the same value?
There are 22,269,952 different 9-card hands that contain four cards of the same value in a standard deck of playing cards.
To determine how many 9-card hands contain four cards of the same value, we will use the following terms: standard deck of playing cards, 52 different cards, 13 different values, 4 different suits, 2 red suits, 2 black suits, and a hand of cards.
Your answer:
1. Choose the value of the four cards: There are 13 different values, so there are 13 ways to choose the value of the four cards.
2. Choose the four cards of the same value: For each value, there are 4 different suits, so there are 4C4 = 1 way to choose the four cards of the same value.
3. Choose the remaining 5 cards: We have already selected 4 cards, so there are 48 cards left in the deck (52 - 4 = 48). We need to choose 5 cards from these remaining 48 cards. There are 48C5 ways to do this.
4. Subtract the hands with five cards of the same value: Since we don't want hands with five cards of the same value, we need to subtract these cases. There are 13 different values, so there are 13 ways to choose the value of the five cards. For each value, there are 4 different suits, so there are 4C5 = 0 ways to choose the five cards of the same value (since it's not possible to choose 5 cards from 4).
5. Calculate the total number of 9-card hands: Multiply the number of ways to choose the value, the four cards of the same value, and the remaining 5 cards, then subtract the hands with five cards of the same value: (13 x 1 x 48C5) - (13 x 0) = 13 x 1,712,304 = 22,269,952.
So, there are 22,269,952 different 9-card hands that contain four cards of the same value in a standard deck of playing cards.
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In a manufactory, the daily production is managed using an algorithm in which the basic operation takes 90% of the total running time. The algorithm is executed in a computer that runs the basic operation in C = 2ns (Ins = 10-⁹s). The count of the basic operation in the algorithm depends on the input parameter size and has the form C(n) = n² log10 (n³). Estimate the total running time of the algorithm in minutes to solve a problem instance with input size n= 10²
Answer:
The count of the basic operation in the algorithm for an instance of input size n=10² is: C(10²) = (10²)² log10 ((10²)³) = (10,000) log10 (1,000,000) ≈ 40,000
The total running time of the algorithm can be estimated using: T(n) = 0.9 * C(n) * C where C is the time taken by the basic operation.
In this case, C = 2ns or 2 x 10⁻⁹s. Substituting the values, we get: T(10²) = 0.9 * 40,000 * 2 x 10⁻⁹ = 7.2 x 10⁻⁶ s
Converting this to minutes, we get: 7.2 x 10⁻⁶ s * 1 min/60 s ≈ 1.2 x 10⁻⁷ min
Therefore, the estimated total running time of the algorithm to solve a problem instance with input size n=10² is approximately 1.2 x 10⁻⁷ minutes.
Step-by-step explanation:
The estimated total running time of the algorithm to solve a problem instance with input size n=10² is approximately 1.998 minutes.
To estimate the total running time of the algorithm, we need to calculate the number of times the basic operation is executed and multiply it by the time it takes to execute it.
First, let's calculate the number of times the basic operation is executed for an input size of n=10². We can do this by plugging n=100 into the equation for C(n):
C(100) = 100² log10 (100³)
C(100) = 10000 log10 (1000000)
C(100) = 10000 * 6
C(100) = 60000
So the basic operation is executed 60,000 times for an input size of n=10².
Next, let's calculate the time it takes to execute the basic operation:
C = 2ns
C = 2 * 10^-9 s
C = 2 * 10^-9 / 60 (converting to minutes)
C = 3.33 * 10^-11 min
Finally, we can estimate the total running time of the algorithm:
Total running time = basic operation time * number of times basic operation is executed
Total running time = 3.33 * 10^-11 min * 60,000
Total running time = 1.998 min
Therefore, the estimated total running time of the algorithm to solve a problem instance with input size n=10² is approximately 1.998 minutes.
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You may need to use the appropriate appendix table to answer this question,
Television viewing reached a new high when the Nielsen Company reported a mean daily viewing time of 8.35 hours per household. Use a normal probability distribution
with a standard deviation of 2.5 hours to answer the following questions about daily television viewing per household.
(a) What is the probability that a household views television between 5 and 12 hours a day? (Round your answer to four decimal places.)
(b) How many hours of television viewing must a household have in order to be in the top 3% of all television viewing households? (Round your answer to two decimal
places)
hrs
(c) What is the probability that a household views television more than 4 hours a day? (Round your answer to four decimal places)
a) the probability that a household views television between 5 and 12 hours a day is approximately 0.7357.
b)a household must view approximately 13.70 hours of television per day to be in the top 3% of all television viewing households.
c) the probability that a household views television more than 4 hours a day is approximately 0.9599.
(a) We need to find the probability that a household views television between 5 and 12 hours a day. Let X be the random variable representing daily television viewing per household. Then, we need to find P(5 < X < 12). Using the standard normal distribution table or a calculator with normal distribution functions, we can compute:
z1 = (5 - 8.35) / 2.5 = -1.34
z2 = (12 - 8.35) / 2.5 = 1.46
P(-1.34 < Z < 1.46) ≈ 0.7357
Therefore, the probability that a household views television between 5 and 12 hours a day is approximately 0.7357.
(b) We need to find the value of X such that the probability of a household viewing more than X hours of television per day is 0.03. Using a standard normal distribution table or a calculator with inverse normal distribution functions, we can compute:
z = InvNorm(0.97) ≈ 1.88
z = (X - 8.35) / 2.5
X = 2.5z + 8.35 ≈ 13.70
Therefore, a household must view approximately 13.70 hours of television per day to be in the top 3% of all television viewing households.
(c) We need to find the probability that a household views television more than 4 hours a day. Using the standard normal distribution table or a calculator with normal distribution functions, we can compute:
z = (4 - 8.35) / 2.5 = -1.74
P(Z > -1.74) ≈ 0.9599
Therefore, the probability that a household views television more than 4 hours a day is approximately 0.9599.
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Donte bought a computer that was 20% off the regular price of $1. 80. If an 8% sales tax was added to the cost of the computer, what was the total price Donte paid for it?
The total price Donte paid for the computer was $155.52.
The regular price of the computer was $180.
Donte got a 20% discount, which means he paid 100% - 20% = 80% of the regular price.
So, Donte paid 80% of $180, which is
(80/100) x $180 = $144.
Next, an 8% sales tax was added to the cost of the computer.
The amount of tax is
(8/100) x $144 = $11.52
Therefore, the total price Donte paid for the computer was
$144 + $11.52 = $155.52.
sales tax is a consumption tax imposed by the government on the sale of goods and services. A conventional sales tax is levied at the point of sale, collected by the retailer, and passed on to the government.
Sales tax is always a percentage of a product's value which is charged at the point of exchange or buy and is indirect.
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eight times the sum of a number and 5 equals 4
Answer:x= -9/2 which is -4.5
Step-by-step explanation:
8(x+5)=4
first divide by 8
(x+5)=4/8
simplify
(x+5)=1/2
subtract 5
x=1/2-5
change 5 to have a denominator of 2
5 x 2/2
=10/2
x= 1/2-10/2
=-9/2
The following table shows an estimated probability distribution for the sales of a new product in its first week:Number of units sold 0 1 2 3 4 5Probability 0. 05 0. 15 0. 20 0. 35 0. 15 0. 10What is the probability that in the first week:(b) At least 4 or 5 units will be sold;
The probability of selling at least 4 or 5 units in the first week is 0.25 or 25%.
The probability of selling at least 4 or 5 units in the first week is equal to the sum of the probabilities of selling 4 and 5 units, which is:
P(4 or 5) = P(4) + P(5) = 0.15 + 0.10 = 0.25
Probability is a branch of mathematics that deals with the study of random events or experiments. It is used to quantify the likelihood of an event occurring by assigning a number between 0 and 1, with 0 indicating that the event is impossible and 1 indicating that the event is certain to happen.
Therefore, the probability of selling at least 4 or 5 units in the first week is 0.25 or 25%.
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Please help! Question is In photo
The correct statement regarding the end behavior of the graph is given as follows:
C. As x approaches positive infinity, D(x) approaches negative infinity.
How to obtain the end behavior of a function?The end behavior of a function is given by the limit of the function is the input x goes to either negative infinity or positive infinity.
For this problem, the function is a quadratic function with negative leading coefficient, meaning that it will approach negative infinity when x approaches negative infinity and when x approaches positive infinity.
This means that the correct option is given by option C.
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"Data set A is A column
Data set B is B column
standard deviations already calculated
Treat data sets A and B as hypothetical sample level data on the weights of newborns whose parents smoke cigarettes (data set A), and those whose parents do not (data set B). a) Conduct a hypothesis test to compare the variances between the two data sets. b) Conduct a hypothesis to compare the means between the two data sets. Selecting the assumption of equal variance or unequal variance for the calculations should be based on the results of the previous test. c) Calculate a 95% confidence interval for the difference between means.
We can interpret this confidence interval as: With 95% confidence, we can say that the true difference between
a) Hypothesis test for comparing variances between two data sets:
Null hypothesis: The variance of data set A is equal to the variance of data set B.
Alternative hypothesis: The variance of data set A is not equal to the variance of data set B.
We can use the F-test to compare the variances between the two data sets. The test statistic is calculated as:
[tex]F = s1^2 / s2^2[/tex]
where [tex]s1^2[/tex] is the sample variance of data set A and [tex]s2^2[/tex] is the sample variance of data set B.
Using the given information, we can calculate the test statistic as:
F = 0.45 / 0.32 = 1.41
Using an alpha level of 0.05 and degrees of freedom of 28 and 21 (n1-1 and n2-1), we can find the critical values for F as 0.46 and 2.33.
Since the calculated F value of 1.41 falls between the critical values, we fail to reject the null hypothesis and conclude that there is not enough evidence to suggest that the variance of data set A is different from the variance of data set B.
b) Hypothesis test for comparing means between two data sets:
Null hypothesis: The mean weight of newborns whose parents smoke cigarettes is equal to the mean weight of newborns whose parents do not smoke cigarettes.
Alternative hypothesis: The mean weight of newborns whose parents smoke cigarettes is not equal to the mean weight of newborns whose parents do not smoke cigarettes.
Since the variances of the two data sets are not significantly different from each other, we can use a two-sample t-test assuming equal variances to compare the means between the two data sets.
Using the given information, we can calculate the test statistic as:
t = (x1bar - x2bar) / (sqrt[([tex]s^2[/tex] / n1) + ([tex]s^2[/tex] / n2)])
where x1bar and x2bar are the sample means,[tex]s^2[/tex] is the pooled sample variance, n1 and n2 are the sample sizes.
Using an alpha level of 0.05 and degrees of freedom of 48 (n1 + n2 - 2), we can find the critical values for t as ±2.01.
Using the given information, we can calculate the test statistic as:
t = (7.25 - 7.68) / (sqrt[(0.[tex]385^2[/tex] / 30) + ([tex]0.28^2[/tex] / 23)]) = -1.2
Since the calculated t value of -1.23 falls between the critical values, we fail to reject the null hypothesis and conclude that there is not enough evidence to suggest that the mean weight of newborns whose parents smoke cigarettes is different from the mean weight of newborns whose parents do not smoke cigarettes.
c) Confidence interval for the difference between means:
Using the given information, we can calculate the 95% confidence interval for the difference between means as:
(x1bar - x2bar) ± tα/2,df * (sqrt[([tex]s^2 / n1[/tex]) + (s^2 / n2)])
where tα/2,df is the t-value for the given alpha level and degrees of freedom.
Using the calculated values from part b), we can find the 95% confidence interval as:
(7.25 - 7.68) ± 2.01 * (sqrt[(0.385^2 / 30) + ([tex]0.28^2[/tex] / 23)]) = (-0.779, 0.179)
We can interpret this confidence interval as: With 95% confidence, we can say that the true difference between
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HELPPPPPP PLSSSS ITS DO IN 8 MINSSSSS PLEASE
The total volume of ice cream in term of π is 42π³
What is volume of shapes?The volume of an object is the amount of space occupied by the object or shape, which is in three-dimensional space.
The total volume of the ice cream = volume of cone + volume of half sphere
volume of a cone = 1/3 πr²h
= 1/3 × π × 3² × 8
= π×3 ×8
= 24π in³
volume of the half sphere = 4/6πr³
= 4/6 ×π × 3³
= 108π/6
= 18π in³
therefore the total volume of the ice cream
= 24π + 18π
= 42π in³
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EXERCISE 8.2 a) 5x²-2r³+3 - 6x c) -2r²-2r²³-6-5r³ 1. Write down the constant term in each of these expressi