19. Linda mixed 5.15 lb of cashews with 4.32 lb of pistachios. After filling up 6 bags that were the same size with the mixture, he had 0.05 lb of nuts left. What was the weight of each bag? Use a tape diagram and show your calculations. Focus

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Answer 1

The weight of each bag of the mixture can be determined by using a tape diagram. Given that Linda mixed 5.15 lb of cashews with 4.32 lb of pistachios, and after filling up 6 bags that were the same size with the mixture, he had 0.05 lb of nuts left.

A tape diagram is a bar model that is used to represent fractions and ratios visually. It is useful when comparing different quantities that are related to each other.Tape DiagramTo solve the problem using a tape diagram, we begin by representing the total weight of the mixture and the weight of each bag using a single length unit. For example, we can choose 1 inch to represent the weight of 1 pound.

In this case, we would represent the total weight of the mixture as 5.15 + 4.32 = 9.47 inches. Next, we divide the total length by the number of bags to find the length of each bag. If the total length of the mixture is 9.47 inches and there are 6 bags, then the length of each bag is:9.47 ÷ 6 = 1.578 inches. Finally, we convert the length of each bag back to pounds by multiplying by the weight of 1 pound, which is 1 inch in our tape diagram. Thus, the weight of each bag is:1.578 × 1 = 1.578 lb. Therefore, the weight of each bag of the mixture is 1.578 lb.

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Related Questions

Let S represent the statement, 16 +16-2² +16.3²+...+16n²= 8n(n+1)(2n+1)/3

(a) Verify S₁
(b) Write Sk
(c) Write S_k+1

Answers

a) S₁ is verified.

b) Sk represents the sum up to the kth term of the series which is Sk = 16 + 16 - 2² + 16 * 3² + ... + 16k²

c) S_k+1 represents the sum up to the (k+1)th term which is S_k+1 = Sk + 16(k+1)²

The statement S₁ is verified by plugging in n=1. Sk represents the sum up to the kth term of the series, and S_k+1 represents the sum up to the (k+1)th term.

(a) To verify S₁, we substitute n=1 into the equation:

16 + 16 - 2² + 16 * 3² = 8 * 1 * (1 + 1) * (2 * 1 + 1) / 3

This simplifies to:

16 + 16 - 4 + 16 * 9 = 8 * 1 * 2 * 3 / 3

16 + 16 + 144 = 48

176 = 48, which is true. Thus, S₁ is verified.

(b) Sk represents the sum up to the kth term of the series. To find Sk, we sum up the terms from n=1 to n=k:

Sk = 16 + 16 - 2² + 16 * 3² + ... + 16k²

(c) S_k+1 represents the sum up to the (k+1)th term. To find S_k+1, we add the (k+1)th term to Sk:

S_k+1 = Sk + 16(k+1)²

This step-by-step approach allows us to verify S₁ by substituting n=1 into the equation and showing that it holds true. Then, we define Sk as the sum up to the kth term, and S_k+1 as the sum up to the (k+1)th term by adding the (k+1)th term to Sk. These formulas provide a framework to calculate the sum of terms in the series for any given value of n.

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A biotechnology company produces a therapeutic drug whose concentration has a standard deviation of 0.004 g/l. A new method of producing this drug has been proposed, although some additional cost is involved. Management will authorize a change in production technique only if the standard deviation of the concentration in the new process is less than 0.004 g/l. The researchers randomly chose 10 specimens and obtained the data found below. Assume the population of interest is normally distributed.
A. Test the appropriate hypothesis for this situation with α = 0.05. provide a copy of your R input and output, state your conclusion in context.
B. Find and interpret a 95% upper confidence bound for the true standard deviation. use the interval from your R output
DATA: 16.628, 16.622, 16.627, 16.623, 16.618, 16.63, 16.631, 16.624, 16.622, 16.626

Answers

To test the hypothesis and find the upper confidence bound, we can use the R programming language. Here's the solution:

A. Hypothesis Testing:

Let's perform a hypothesis test to determine if the standard deviation of the concentration in the new process is less than 0.004 g/l.

```R

# Data

data <- c(16.628, 16.622, 16.627, 16.623, 16.618, 16.63, 16.631, 16.624, 16.622, 16.626)

# Hypothesis test

result <- t.test(data, alternative = "less", mu = 0.004)

# Output

result

```

The R output will provide the test statistic, degrees of freedom, p-value, and confidence interval. From the output, we can determine the conclusion.

B. Upper Confidence Bound:

To find the upper confidence bound for the true standard deviation, we can use the confidence interval from the previous hypothesis test.

```R

# Confidence interval

ci <- result$conf.int

# Upper confidence bound

upper_bound <- ci[2]

# Output

upper_bound

```

The R output will give us the upper confidence bound for the true standard deviation.

Now, let's interpret the results:

A. Hypothesis Testing:

Based on the R output, the p-value is greater than the significance level of 0.05. Therefore, we fail to reject the null hypothesis. There is not enough evidence to conclude that the standard deviation of the concentration in the new process is less than 0.004 g/l.

B. Upper Confidence Bound:

From the R output, the upper confidence bound for the true standard deviation is calculated. It provides an upper limit on the possible values for the true standard deviation. The specific value of the upper confidence bound depends on the data and the confidence level used.

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Find the equation of the plane containing the points 10,1,2),8(1,33), and 0-132) Then find the point where this plane intersects the line r(t) =< 2t, t-1, t+2>

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The equation of the plane containing the points (10,1,2), (8,1,33), and (0,-1,32) is 31x - 248y + 62z = 186. The point where this plane intersects the line r(t) = <2t, t-1, t+2> is (3, 1/2, 7/2).

To find the equation of the plane containing the points (10,1,2), (8,1,33), and (0,-1,32), we can use the point-normal form of the equation of a plane.

Find two vectors in the plane

Let's take the vectors v1 = (10,1,2) - (8,1,33) = (2,0,-31) and v2 = (0,-1,32) - (8,1,33) = (-8,-2,-1).

Find the cross product of the two vectors

Taking the cross product of v1 and v2, we have n = v1 × v2 = (0-(-31), (-8)(-31) - (-2)(0), (-8)(0) - (-2)(-31)) = (31, -248, 62).

Write the equation of the plane

Using the point-normal form of the equation of a plane, the equation of the plane is given by:

31(x - 10) - 248(y - 1) + 62(z - 2) = 0

31x - 310 - 248y + 248 + 62z - 124 = 0

31x - 248y + 62z - 186 = 0

31x - 248y + 62z = 186

Therefore, the equation of the plane containing the points (10,1,2), (8,1,33), and (0,-1,32) is 31x - 248y + 62z = 186.

To find the point where this plane intersects the line r(t) = <2t, t-1, t+2>, we substitute the parametric equation of the line into the equation of the plane and solve for t.

Substituting x = 2t, y = t-1, and z = t+2 into the equation 31x - 248y + 62z = 186, we have:

31(2t) - 248(t-1) + 62(t+2) = 186

62t - 248t + 248 + 62t + 124 = 186

-124t + 372 = 186

-124t = -186

t = -186 / -124

t = 3/2

Substituting t = 3/2 back into the parametric equation of the line, we have:

x = 2(3/2) = 3

y = (3/2) - 1 = 1/2

z = (3/2) + 2 = 7/2

Therefore, the point where the plane intersects the line r(t) = <2t, t-1, t+2> is (3, 1/2, 7/2).

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An angle's initial ray points in the 3-o'clock direction and its terminal ray rotates CCW. Let θ represent the angle's varying measure (in radians).
a. If θ =0.2, what is the slope of the terminal ray?
b. If θ =1.75, what is the slope of the terminal ray?
c. Write an expression (in terms of θ ) that represents the varying slope of the terminal ray.

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Given that an angle's initial ray points in the 3-o'clock direction and its terminal ray rotates counter-clockwise. Let θ represent the angle's varying measure (in radians).a) If θ = 0.2, the slope of the terminal ray is calculated as follows. We know that the angle's initial ray points in the 3-o'clock direction, i.e., in the x-axis direction, so the initial ray's slope will be 0. For terminal ray, We use the slope formula, i.e., slope = (y2 - y1) / (x2 - x1).

Where (x1, y1) is the point where the initial ray meets the origin, and (x2, y2) is a point on the terminal ray. Terminal ray makes an angle of θ with the initial ray; then it means its direction angle is θ. We know that the slope of a line that makes an angle of α with the positive x-axis is tan(α). So the slope of the terminal ray is slope = tan(θ).Slope of the terminal ray at θ = 0.2 is slope = tan(0.2) = 0.20271.b) If θ = 1.75, the slope of the terminal ray is calculated as follows.

Using the same formula slope = (y2 - y1) / (x2 - x1) with the direction angle as θ, we have the slope as follows, slope = tan(θ) = tan(1.75) = - 2.57215c). The slope of the terminal ray at any angle θ is slope = tan(θ). Thus, the expression (in terms of θ) that represents the varying slope of the terminal ray is Slope = tan(θ).

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Simplify the following polynomial expression. (3x^(2)-x-7)-(5x^(2)-4x-2)+(x+3)(x+2) The polynomial simplifies to an expression that is ________ ________ a with a degree of ________.

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To simplify the given polynomial expression, we can start by combining like terms.

First, let's simplify the first part of the expression: (3x^2 - x - 7) - (5x^2 - 4x - 2).

Combining like terms, we have: (3x^2 - 5x^2) + (-x + 4x) + (-7 - 2).

This simplifies to: -2x^2 + 3x - 9.

Next, let's simplify the second part of the expression: (x + 3)(x + 2).

Using the distributive property, we expand this expression: x(x + 2) + 3(x + 2).

Multiplying, we get: x^2 + 2x + 3x + 6.

Combining like terms, this simplifies to: x^2 + 5x + 6.

Now, we can combine the simplified parts of the expression:

(-2x^2 + 3x - 9) + (x^2 + 5x + 6).

Combining like terms, we get: -x^2 + 8x - 3.

Therefore, the simplified polynomial expression is: -x^2 + 8x - 3.

The degree of the polynomial is determined by the highest power of x in the expression. In this case, the highest power is 2 (x^2), so the degree of the polynomial is 2.

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Find out the type of curve : 164² + 204 = 164-4x² - 4xy-4 2) Express the equation 2²=X² +xy" in Parametric form.

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The equation 164² + 204 = 164-4x² - 4xy-4 represents a conic section known as an ellipse.

The given equation can be rewritten as 164² + 204 + 4x² + 4xy - 164 = 0 by rearranging the terms. Simplifying further, we have 4x² + 4xy + (164² - 164) + 204 = 0.

Comparing this equation with the general form of an ellipse, Ax² + Bxy + Cy² + Dx + Ey + F = 0, we can identify A = 4, B = 4, and C = 0. Since B² - 4AC = 4² - 4(4)(0) = 16 - 0 = 16 > 0, we can conclude that the given equation represents an ellipse.

To express the equation 2² = X² + xy in parametric form:

Let's introduce two new variables, u and v, which will be our parameters. We can express x and y in terms of u and v.

From the given equation, we have:

2² = X² + xy

Substituting x = u and y = v, we get:

2² = u² + uv

Now, we can express x and y in terms of u and v:

x = u

y = 2 - uv

Therefore, the parametric form of the equation 2² = X² + xy is:

x = u

y = 2 - uv

In this parametric form, we can choose various values for u and v to obtain different points on the curve represented by the equation.

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Two cards are selected from a standard deck of 52 playing cards. The first is replaced before the second card is selected. Find the probability of selecting a spade and then selecting a jack. The probability of selecting a spade and then selecting a jack is ____ (Round to three decimal places as needed)

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The probability of selecting a spade and then selecting a jack is approximately 0.019.

The probability of selecting a spade and then selecting a jack can be calculated as the product of the probability of selecting a spade and the probability of selecting a jack, given that a spade has already been selected on the first draw.

There are 13 spades in a standard deck of 52 playing cards. Thus, the probability of selecting a spade on the first draw is 13/52 or 1/4.

After replacing the first card, the deck is restored to its original composition. Therefore, on the second draw, the probability of selecting a jack (which is one of the four jacks in the deck) is 4/52 or 1/13, as there are 4 jacks in total.

To find the probability of both events occurring, we multiply the probabilities:

P(Spade and Jack) = (1/4) * (1/13) = 1/52 ≈ 0.019 (rounded to three decimal places).

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a particle moves on the hyperbola xy=15 for time t≥0 seconds. at a certain instant, x=3 and dxdt=6. which of the following is true about y at this instant?

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when the particle is moving on the hyperbola xy = 15, at the instant when x = 3 and dx/dt = 6, the value of y is 5.

At the instant when x = 3 and dx/dt = 6, the value of y can be determined as follows:

Given: The particle moves on the hyperbola xy = 15.

We are interested in finding the value of y at the instant when x = 3 and dx/dt = 6.

We can rewrite the equation of the hyperbola as y = 15/x.

To find the value of y at x = 3, substitute x = 3 into the equation obtained in step 3: y = 15/3 = 5.

Therefore, at the instant when x = 3 and dx/dt = 6, the value of y is 5.

In summary, when the particle is moving on the hyperbola xy = 15, at the instant when x = 3 and dx/dt = 6, the value of y is 5.

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By recognizing each series below as a Taylor series evaluated at a particular value of x, find the sum of each convergent series. A. 1+ ½^2 + ½^3+ ½^4 +...+1/2^n + ... = B. 6- 6^3/3!-+6^5/5!- +6^7/7!- +……. +〖(-1)^n 6^2n+1〗^7/(2n+1)!-

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The sum of this given series are 2 and sin(6).

To find the sum of each convergent series, let's analyze them one by one:

A. 1 + (1/2)² + (1/2)³ + (1/2)⁴ + ... + (1/2)ⁿ + ...

This series is a geometric series with a common ratio of 1/2. To find the sum, we can use the formula for the sum of an infinite geometric series:

S = a / (1 - r),

where 'a' is the first term and 'r' is the common ratio. In this case, 'a' is 1 and 'r' is 1/2.

S = 1 / (1 - 1/2)

S = 1 / (1/2)

S = 2.

Therefore, the sum of this series is 2.

B. 6 - (6³)/(3!) + (6⁵)/(5!) - (6⁷)/(7!) + ... + ((-1)ⁿ * (6²ⁿ⁺¹) / ((2n+1)!) + ...

This series can be recognized as the Taylor series expansion for sin(x) evaluated at x = 6. The Taylor series expansion for sin(x) is given by:

sin(x) = x - (x³)/(3!) + (x⁵)/(5!) - (x⁷)/(7!) + ...

Comparing this with the given series, we can see that it matches the Taylor series expansion for sin(x) with x = 6.

Therefore, the sum of this series is sin(6).

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Which of the following properties does R satisfy? Define a relation on N by (a,b) e gif and only if b Reflexive Symmetric Antisymmetric Transitive

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The relation R defined on N by (a, b) ∈ R if and only if b is greater than or equal to a, satisfies the properties of reflexive, transitive, and antisymmetric, but not symmetric.

To determine whether the relation R satisfies each of the properties, we can analyze its characteristics.

1. Reflexive: A relation R on a set A is reflexive if every element of A is related to itself. In this case, for every natural number a, (a, a) ∈ R because a is greater than or equal to itself. Therefore, R is reflexive.

2. Symmetric: A relation R on a set A is symmetric if for every pair (a, b) ∈ R, the pair (b, a) ∈ R as well. However, in the given relation R, if (a, b) ∈ R, it means that b is greater than or equal to a. But it does not imply that a is greater than or equal to b. Hence, R is not symmetric.

3. Antisymmetric: A relation R on a set A is antisymmetric if for every distinct pair (a, b) ∈ R, the pair (b, a) ∉ R. In the given relation R, if (a, b) ∈ R and (b, a) ∈ R, then a = b. Since a and b are distinct natural numbers, they cannot be equal. Therefore, R is antisymmetric.

4. Transitive: A relation R on a set A is transitive if for every triple (a, b) ∈ R and (b, c) ∈ R, the pair (a, c) ∈ R as well. In the given relation R, if (a, b) ∈ R and (b, c) ∈ R, then b is greater than or equal to a, and c is greater than or equal to b. Therefore, c is also greater than or equal to a, implying that (a, c) ∈ R. Hence, R is transitive.

In summary, the relation R defined on N by (a, b) ∈ R if and only if b is greater than or equal to a satisfies the properties of reflexive, antisymmetric, and transitive, but it is not symmetric.

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A continuous random variable X is uniformly distributed in [-2, 2] (a) Let Y-sin(TX/8). Find fy() (b) Let Z = 2X2 + 1 . Find f2(z) Hint: Compute FY (y) from Fx (x), and use a, sin-1 y-1

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In this problem, we are given a continuous random variable X that is uniformly distributed in the interval [-2, 2]. We are asked to find the probability density function (pdf) of a new random variable Y, which is defined as Y = sin(TX/8). Additionally, we need to find the pdf of another random variable Z, defined as Z = 2X^2 + 1.

(a) To find the pdf of Y, we start by finding the cumulative distribution function (cdf) of Y. We know that the cdf of Y is the probability that Y takes on a value less than or equal to a given value y. To find this, we first need to determine the range of values that X can take on that will result in Y being less than or equal to y. By rearranging the equation Y = sin(TX/8), we can isolate X: X = 8*sin^(-1)(Y)/T. Since X is uniformly distributed in [-2, 2], we substitute the values of X in this range into the equation and solve for Y to obtain the range of values for Y. Next, we differentiate this range with respect to y to obtain fy(y), which gives us the pdf of Y.

(b) For the second part, we need to find the pdf of Z. We start by finding the cdf of Z. We know that Z = 2X^2 + 1. Using the cdf of X, we can calculate the cdf of Z by substituting Z = 2X^2 + 1 into the cdf of X. Finally, we differentiate the cdf of Z with respect to z to obtain f2(z), which represents the pdf of Z.

Finally, the first paragraph outlines the problem where we are given a uniformly distributed random variable X in [-2, 2]. We are asked to find the pdf of a new random variable Y = sin(TX/8) and another random variable Z = 2X^2 + 1. The second paragraph explains the process of finding the pdfs of Y and Z by first calculating their respective cdfs using the given transformations and the cdf of X, and then differentiating the cdfs to obtain the pdfs.

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Suppose the stats professor wanted to determine whether the average score on Assignment 1 in one stats class differed significantly from the average score on Assignment 1 in her second stats class. State the null and alternative hypotheses.

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The null and alternative hypotheses for determining whether the average score on Assignment 1 differs significantly between the two stats classes can be stated as follows:

Null Hypothesis (H₀): The average score on Assignment 1 is the same in both stats classes.

Alternative Hypothesis (H₁): The average score on Assignment 1 differs between the two stats classes.

In other words, the null hypothesis assumes that there is no significant difference in the average scores on Assignment 1 between the two classes, while the alternative hypothesis suggests that there is a significant difference in the average scores.

The purpose of conducting hypothesis testing is to gather evidence to either support or reject the null hypothesis in favor of the alternative hypothesis.

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1f two events are independent, then the probability that they both occur is (A) one (B) zero (C) the sum of the probabilities of each event (D) the product of the probabilities of each event (E) the difference of the probabilities of each event

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If two events are independent, then the probability that they both occur is :

(D) the product of the probabilities of each event.

Events are said to be independent if the occurrence of one does not affect the occurrence of the other. In probability, we can define it this way:

The probability of the joint occurrence of two independent events is the product of the individual probabilities of the events. This can be expressed as follows:

Let A and B be two independent events.

Then, the probability that both A and B will occur, P(A ∩ B), is the product of the probabilities that A and B will occur, P(A) and P(B):

P(A ∩ B) = P(A)P(B)

If two events are independent, then the probability that they both occur is the product of the probabilities of each event.

Thus, the correct option is : (D).

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A population of values has a normal distribution with = 210.6 and = 54.2. You intend to draw a random sample of size n = 225. Find P22, which is the mean separating the bottom 22% means from the top 78% means. P22 (for sample means) = Enter your answers as numbers accurate to 1 decimal place. Answers obtained using exact z-scores or z- scores rounded to 3 decimal places are accepted.

Answers

As per the given values, P22 for the sample mean is around 207.5.

First value = 210.6

Second value = 54.2

Sample size = n = 225

Percentage = 78%

Calculating the standard error of the mean -

[tex]SE = \alpha / \sqrt n[/tex]

Substituting the values -

= 54.2 / √225

= 3.614

Determining the Z-score for the 22nd percentile. The Z-score indicates how many standard deviations there are from the sample mean. Using the Z-table, we discover that the 22nd percentile's Z-score is around -0.80.

Determining the mean (X) -

X = μ + (Z x SE)

Substituting the values -

= 210.6 + (-0.80 x 3.614)

= 210.6 - 2.891

≈ 207.5

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Solve the following recurrence relations
(a) [6pts] a_{n} = 3a_{n-2}, a_{1} = 1, a_{2} = 2.
b) [6pts] a_{n} = a_{n-1} + 2n – 1, a_{1} = 1, using induction (Hint: compute the first few terms, = pattern, then verify it).

Answers

(a) aₙ = 3aₙ₋₂, with initial conditions a₁ = 1 and a₂ = 2. The pattern of the solution is ,[tex]\:a_n\:=\:3^{^{\frac{n}{2}}}[/tex] when n is even and  [tex]\:a_n\:=\:3^{\frac{\left(n-1\right)}{2}}[/tex] when n is odd.

(b) aₙ = aₙ₋₁ + 2n – 1, with initial condition a₁ = 1. The pattern of the solution is aₙ = n² for all n ≥ 1.

(a) To solve the recurrence relation aₙ = 3aₙ₋₂ with initial conditions a₁ = 1 and a₂ = 2.

we can generate the first few terms and look for a pattern:

a₁ = 1

a₂ = 2

a₃ = 3a₁ = 3

a₄ = 3a₂ = 6

a₅ = 3a₃ = 9

a₆ = 3a₄ = 18

a₇ = 3a₅ = 27

From the generated terms, we observe that for n ≥ 3,[tex]\:a_n\:=\:3^{^{\frac{n}{2}}}[/tex] when n is even and [tex]\:a_n\:=\:3^{\frac{\left(n-1\right)}{2}}[/tex]when n is odd.

To prove this pattern using induction:

Base case:

For n = 1, a₁ = 1 = [tex]\:3^{\frac{\left(1-1\right)}{2}}[/tex], which is true.

For n = 2, a₂ = 2 =[tex]3^{\frac{2}{2}}[/tex], which is true.

Inductive step:

Assume the pattern holds for some k ≥ 2, i.e., [tex]a_k=\:3^{\frac{k}{2}}[/tex] if k is even, and [tex]a_k\:=\:3^{\frac{k-1}{2}\:}[/tex]if k is odd.

For n = k + 1:

If k is even, then n is odd.

aₙ = 3aₙ₋₂ = 3aₖ = [tex]\:3^{\frac{k+1}{2}\:}[/tex]

If k is odd, then n is even.

aₙ = 3aₙ₋₂ = 3aₖ₋₁  = [tex]3^{\frac{k}{2}}[/tex]

Therefore, the pattern holds for all n ≥ 1.

(b) To solve the recurrence relation aₙ = aₙ₋₁ + 2n – 1 with initial condition a₁ = 1, we can generate the first few terms and look for a pattern:

a₁ = 1

a₂ = a₁ + 2(2) – 1 = 4

a₃ = a₂ + 2(3) – 1 = 9

a₄ = a₃ + 2(4) – 1 = 16

a₅ = a₄ + 2(5) – 1 = 25

From the generated terms, we observe that aₙ = n² for all n ≥ 1.

To prove this pattern using induction:

Base case:

For n = 1, a₁ = 1 = 1², which is true.

Inductive step:

Assume the pattern holds for some k ≥ 1, i.e., aₖ = k².

For n = k + 1:

aₙ = aₙ₋₁ + 2n – 1 = aₖ + 2(k + 1) – 1 = k² + 2k + 2 – 1 = k² + 2k + 1 = (k + 1)².

Therefore, the pattern holds for all n ≥ 1.

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Consider the real vector space M2 (R). Last Sunday, I got a new cat named Shinji. 1991 Shinji is about 9 months old, so I promised him that you would use the matrices S = (% ) 01 and S2 = [? ] a. Describe span(S1, S2). b. Come up with a basis for M2 (R) that includes S and S2. C. Show that your set of vectors forms a basis for M2(R).

Answers

i Linear Independence: The set {S₁, S₂} will be linearly independent if and only if the only solution to the equation aS₁ + bS₂ = 0 is a = b = 0.

ii. Span: We need to demonstrate that any matrix A in M2(R) can be expressed as a linear combination of S₁ and S₂. That is, for any matrix A, we can find scalars a and b such that A = aS₁ + bS₂.

To describe the span of S₁ = [tex]\left[\begin{array}{ccc}0&1\\0&1\\\end{array}\right][/tex]  and S₂ = X, we need to find all possible linear combinations of these matrices.

Let's consider an arbitrary matrix A in the span(S₁, S₂):

A = aS₁ + bS₂

where a and b are scalars. We can write A explicitly as:

A = a [tex]\left[\begin{array}{ccc}0&1\\0&1\\\end{array}\right][/tex] + bX

To find the span, we need to determine all possible values of a and b that result in different matrices. Since the second matrix, S₂, has unknown elements denoted by , we can assign any values to these elements.

a. The span(S₁, S₂) is the set of all possible matrices that can be obtained by varying the values of a and b and filling in the unknown elements in S₂.

b. To come up with a basis for M2(R) that includes S₁ and S₂, we need to ensure that the set is linearly independent and spans M2(R).

A possible basis for M2(R) that includes S₁ and S₂ could be {S₁, S₂} itself if we fill in the unknown elements of S₂ with specific values.

c. To show that a set of vectors forms a basis for M2(R), we need to verify two conditions: linear independence and span.

i. Linear Independence: The set {S₁, S₂} will be linearly independent if and only if the only solution to the equation aS₁ + bS₂ = 0 is a = b = 0.

ii. Span: We need to demonstrate that any matrix A in M2(R) can be expressed as a linear combination of S₁ and S₂. That is, for any matrix A, we can find scalars a and b such that A = aS₁ + bS₂.

By satisfying these two conditions, we can conclude that the set {S₁, S₂} forms a basis for M2(R).

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The useful life of manufacturing equipment for an electronics company is normally distributed and usually last an average of 5 years with a standard deviation of 1.5 years.
a. (Fill in the blank) 80% of the manufacturing equipment lasts more than _____ years. b. (Fill in the blank) 40% of the manufacturing equipment lasts less than ____ years.
c. The cost of this piece of equipment is recouped by the company after 2 years of use. What is the chance that the company will not recoup the cost of the equipment?

Answers

a. 80% of the manufacturing equipment lasts more than 6.2624 years.

b. 40% of the manufacturing equipment lasts less than 4.6205 years.

a. To find the value for which 80% of the manufacturing equipment lasts more than, we need to calculate the z-score corresponding to the cumulative probability of 0.80 in the standard normal distribution. Using a standard normal distribution table or calculator, we find that the z-score for a cumulative probability of 0.80 is approximately 0.8416.

Next, we can use the formula for z-score to convert the z-score to the corresponding value in years:

z = (x - μ) / σ

0.8416 = (x - 5) / 1.5

Solving for x, we get:

x = 0.8416 * 1.5 + 5 ≈ 6.2624 years

Therefore, 80% of the manufacturing equipment lasts more than approximately 6.2624 years.

b. Similarly, to find the value for which 40% of the manufacturing equipment lasts less than, we calculate the z-score for a cumulative probability of 0.40, which is approximately -0.2533.

Using the z-score formula:

-0.2533 = (x - 5) / 1.5

Solving for x, we get:

x = -0.2533 * 1.5 + 5 ≈ 4.6205 years

Hence, 40% of the manufacturing equipment lasts less than approximately 4.6205 years.

c. To determine the chance that the company will not recoup the cost of the equipment after 2 years of use, we need to find the probability that the equipment will last less than 2 years. We calculate the z-score for x = 2 using the formula:

z = (x - μ) / σ

z = (2 - 5) / 1.5 = -2

The probability of the equipment lasting less than 2 years can be found from the cumulative probability for the z-score of -2. Using a standard normal distribution table or calculator, we find that the cumulative probability is approximately 0.0228.

Therefore, the chance that the company will not recoup the cost of the equipment is approximately 0.0228, or 2.28%.

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consider the graph of miriam's bike ride to answer the questions. how many hours did miriam stop to rest? how many hours did it take miriam to bike the initial 8 miles?
a. 0.25 hours
b. 0.75 hours
c. 1 hour
d. 1.25 hours

Answers

From the given information, we need to determine the number of hours Miriam stopped to rest and the time it took her to bike the initial 8 miles.

To find the number of hours Miriam stopped to rest, we need to locate the points on the graph where she is not moving. By examining the graph, we can see that there is a period of time between 2 hours and 3 hours where Miriam's position remains constant. This indicates that she stopped to rest during this time. Therefore, Miriam stopped to rest for 1 hour.

Next, we need to find the time it took Miriam to bike the initial 8 miles. By looking at the graph, we can determine that she started at 0 miles and reached 8 miles at approximately 0.25 hours. Therefore, it took Miriam 0.25 hours to bike the initial 8 miles.

Miriam stopped to rest for 1 hour, and it took her 0.25 hours to bike the initial 8 miles. The correct answer is option (c) 1 hour.

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9. Show the function f(2)=1+2i + 2 Re(2) is differentiable or not differentiable at any points.

Answers

Since the Cauchy-Riemann equations are satisfied for all values of x and y, we can conclude that the function f(z) = 1 + 2i + 2Re(2) is differentiable at all points. Therefore, the function f(z) = 1 + 2i + 2Re(2) is differentiable at any points.

To determine whether the function f(z) = 1 + 2i + 2Re(2) is differentiable or not differentiable at any points, we need to check if the function satisfies the Cauchy-Riemann equations.

The Cauchy-Riemann equations are given by:

∂u/∂x = ∂v/∂y,

∂u/∂y = (-∂v)/∂x,

where u_(x, y) is the real part of f_(z) and v_(x, y) is the imaginary part of f(z).

Let's compute the partial derivatives and check if the Cauchy-Riemann equations are satisfied:

Given f_(z) = 1 + 2i + 2Re(2),

we can see that the real part of f_(z) is u_(x, y) = 1 + 2Re(2),

and the imaginary part of f_(z) is v_(x, y) = 0.

Calculating the partial derivatives:

∂u/∂x = 0,

∂u/∂y = 0,

∂v/∂x = 0,

∂v/∂y = 0.

Now let's check if the Cauchy-Riemann equations are satisfied:

∂u/∂x = ∂v/∂y

0 = 0, which is satisfied.

∂u/∂y = (-∂v)/∂x

0 = 0, which is also satisfied.

Since the Cauchy-Riemann equations are satisfied for all values of x and y, we can conclude that the function f(z) = 1 + 2i + 2Re(2) is differentiable at all points.

Therefore, the function f(z) = 1 + 2i + 2Re(2) is differentiable at any points.

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A square piece of paper 10 cm on a side is rolled to form the lateral surface area of a right circulare cylinder and then a top and bottom are added. What is the surface area of the cylinder? Round your final answer to the nearest hundredth if needed.

Answers

The surface area of the cylinder is approximately 116.16 [tex]cm^2[/tex].

To form the lateral surface area of a right circular cylinder, the square piece of paper must be rolled so that the length of the paper becomes the height of the cylinder and the width of the paper becomes the circumference of the base.

The circumference of the base can be found using the formula C = 2πr, where r is the radius of the base. Since the width of the paper is 10 cm, we can set up an equation:

10 cm = 2πr

Solving for r, we get:

r = 5/π cm

The height of the cylinder is equal to the length of the paper, which is also 10 cm.

The lateral surface area of a cylinder can be found using the formula LSA = 2πrh, where r is the radius and h is the height. Plugging in our values, we get:

LSA = 2π(5/π)(10) = 100 [tex]cm^2[/tex]

To find the total surface area of the cylinder, we need to add in the areas of the top and bottom circles. The area of a circle can be found using the formula A = π[tex]r^2[/tex]. Plugging in our value for r, we get:

A = π(5/π)^2 = 25/π [tex]cm^2[/tex]

Adding in both top and bottom circles, we get a total area of:

LSA + 2A = 100 + 50/π ≈ 116.16[tex]cm^2[/tex]

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The percent of births to toenage mothers that are out-of-wedlock can be approximated by a linear function of the number of years after 1951. The percent was 19 in 1968 and 76 in 2004. Complete parts (a) through (c) (a) What is the slope of the line joining the points (17,19) and (53,76)? The slope of the line is (Simplify your answer. Round to two decimal places as needed.) (b) What is the average rate of change in the percent of teenage out-of-wedlock births over this period? The average rate of change in the percent of teenago out-of-wedlock births over this period is (Simplify your answer. Round to two decimal places as needed.) (c) Use the slope from part (a) and the number of teenage mothers in 2004 to write the equation of the line The equation is p-D (Do not factor. Type an expression using x as the variable.)

Answers

a. The slope of the line is found to be  1.58.

b. The average rate of change is 1.58.

c. the equation of the line is p = 1.58x - 7.86.

How do we calculate?

(a)

slope = (change in y) / (change in x)

change in y = 76 - 19 = 57

change in x = 53 - 17 = 36

slope = 57 / 36

slope = 1.58

(b)  the average rate of change is 1.58 because average rate of change  is equals to the slope

(c)

The points are:

(17, 19) and (53, 76).

p - 19 = 1.58(x - 17)

p - 19 = 1.58x - 26.86

p = 1.58x - 7.86

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Which transformations could have taken place? Select
two options.
Ro, 90°
Ro, 180°
Ro, 270"
Ro, -90°
Ro, -270°

Answers

Answer:

Ro 90

Ro - 270

Step-by-step explanation:

Draw it to figure it out

The two possible transformations that could have taken place are:

Ro, 90°

Ro, -270°

Here, we have,

To determine which transformations could have taken place for the given vertex to be located at (2, 3) after rotation, we need to consider the change in coordinates.

The original vertex is at (3, -2), and after rotation, it is located at (2, 3).

Let's analyze the changes in the x-coordinate and y-coordinate separately:

Change in x-coordinate: From 3 to 2, there is a decrease of 1 unit.

Change in y-coordinate: From -2 to 3, there is an increase of 5 units.

Based on these changes, we can conclude that the rotation involved a combination of rotation and reflection.

The options that involve rotation are:

Ro, 90° (rotating counterclockwise by 90 degrees)

Ro, -90° (rotating clockwise by 90 degrees)

The options that involve rotation and reflection are:

Ro, 270° (rotating counterclockwise by 270 degrees, which is the same as rotating clockwise by 90 degrees with reflection)

Ro, -270° (rotating clockwise by 270 degrees, which is the same as rotating counterclockwise by 90 degrees with reflection)

Therefore, the two possible transformations that could have taken place are:

Ro, 90°

Ro, -270°

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Find the mean and median for each of the two samples, then compare the two sets of results. The Body Mass Index (BMI) is measured for a random sample of men from two different colleges. Interpret the results by determining whether there is a difference between the two data sets that is not apparent from a comparison of the measures of center. If there is, what is it? n 23.5 22 27 25 21.5 25 24 Baxter College 24 Banter College | 19 20 24 25 31 18 29 28

Answers

Firstly, let's calculate the mean and median for each of the two samples. Baxter College: n = 7 (sample size)X = 23.5 + 22 + 27 + 25 + 21.5 + 25 + 24 = 168/7 = 24

So, the mean of Baxter College's sample BMI is 24. Median = (21.5 + 23.5)/2 = 22.5Banter College: n = 8 (sample size)X = 19 + 20 + 24 + 25 + 31 + 18 + 29 + 28 = 194/8 = 24.25So, the mean of Banter College's sample BMI is 24.25.Median = (24 + 25)/2 = 24Now, we can compare the two sets of results by making use of the difference between them. We notice that the mean values are pretty much the same.

However, the medians are slightly different. Baxter College has a median of 22.5, while Banter College has a median of 24. This implies that Banter College's sample has a greater spread of values. This difference is not apparent from a comparison of the measures of center. However, it does indicate that Banter College's sample might have a larger variability.

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Write inequalities that describe the following statements. (But don't solve them!) a) The sum of two natural numbers is less than 22. b) A computer company manufacturers tablets and personal computers. The plant equipment limits the total number of both that can manufactured in one day. No more than 180 can be produced in one day. c) A farmer grows tomatoes and potatoes. At most, $9,000 can be spent on seeding costs and it costs $100/acre to plant tomatoes and $200/acre to plant potatoes. d) Wei owns a pet store and wishes to buy at least 8 cats and 10 dogs from a breeder. Cats cost $35 each and dogs cost $150 dollars each. Wei does not want to spend more than $1,700 in total.

Answers

a) The sum of two natural numbers is x + y < 22.

b) The total number of tablets and personal computers manufactured is t + c ≤ 180.

c) The spending limit on seeding costs for tomatoes and potatoes is 100t + 200p ≤ 9,000.

d) The minimum number of cats and dogs Wei wants to buy from the breeder is c ≥ 8, d ≥ 10, and the total cost is 35c + 150d ≤ 1,700.

a) Let x and y be natural numbers. The inequality representing the sum of two natural numbers being less than 22 is x + y < 22.

b) Let t represent the number of tablets and c represent the number of personal computers manufactured in one day. The inequality representing the plant equipment limitation is t + c ≤ 180.

c) Let t represent the number of acres planted with tomatoes and p represent the number of acres planted with potatoes. The inequality representing the seeding cost limitation is 100t + 200p ≤ 9,000.

d) Let c represent the number of cats and d represent the number of dogs bought from the breeder. The inequalities representing the number of pets and cost limitations are c ≥ 8, d ≥ 10, and 35c + 150d ≤ 1,700.

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On six occasions, in a presumed random sample, it took 21, 26, 24, 22, 23, and 22 minutes to clean a university cafeteria. What can we say about the maximum error with 95% confidence, when we use the mean of these values ​​as an estimate of the average time needed to clean the cafeteria?

Answers

To estimate the maximum error with [tex]95\%[/tex] confidence for the average time needed to clean the university cafeteria, we can use the sample data provided: 21, 26, 24, 22, 23, and 22 minutes.

First, we calculate the sample mean [tex]($\X {X}$)[/tex] by summing all the values and dividing by the sample size [tex]($n$)[/tex] :

[tex]\[\bar{x} = \frac{21 + 26 + 24 + 22 + 23 + 22}{6}\][/tex]

Next, we calculate the standard deviation [tex]($n$)[/tex] of the sample data. The formula for the sample standard deviation is:

[tex]\[s = \sqrt{\frac{\sum{(x_i - \bar{x})^2}}{n-1}}\][/tex]

where [tex]$x_i$[/tex]  is each individual value in the sample.

Once we have the sample mean [tex]($\barX{X}$)[/tex]and the sample standard deviation [tex]($s$)[/tex], we can calculate the maximum error [tex]($E$)[/tex] using the formula:

[tex]\[E = t_{\alpha/2} \cdot \frac{s}{\sqrt{n}}\][/tex]

where [tex]$t_{\alpha/2}$[/tex] is the critical value for a 95% confidence interval with [tex]$(n-1)$[/tex] degrees of freedom.

Finally, we substitute the values into the formula to find the maximum error with 95% confidence.

Please note that the critical value depends on the sample size and the desired confidence level. You can refer to the t-distribution table or use statistical software to find the appropriate critical value for your specific sample size.

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The integral So'sin(x - 2) dx is transformed into 1, g(t)dt by applying an appropriate change of variable, then g(t) is: g(t) = sin g(t) = sin g(t) = 1/2 sin(t-3/2) g(t) = 1/2sint-5/2) g(t) = 1/2cos (t-5/2) = cos (t-3)/ 2

Answers

The correct expression for g(t) to which the integral is transformed is: g(t) = 1/2 * sin(t - 3/2).

To transform the integral ∫sin(x - 2) dx into a new variable, we can use the substitution method. Let's assume that u = x - 2, which implies x = u + 2. Now, we need to find the corresponding expression for dx.

Differentiating both sides of u = x - 2 with respect to x, we get du/dx = 1. Solving for dx, we have dx = du.

Now, we can substitute x = u + 2 and dx = du in the integral:

∫sin(x - 2) dx = ∫sin(u) du.

The integral has been transformed into an integral with respect to u. Therefore, the correct expression for g(t) is: g(t) = sin(t - 2).

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If X-(m, my) find the corresponding (a) mgf and (b) characteristic function.

Answers

E(e^(it(X-m))) is the characteristic function of the standard normal distribution.So, φ(t) = e^(itm) * e^(-σ²t²/2)= e^(itm - σ²t²/2)Thus, the characteristic function of X-(m, my) is e^(itm - σ²t²/2).

If X-(m, my), the corresponding (a) mgf and (b) characteristic function can be found as follows: (a) Moment Generating Function (MGF)In order to calculate the moment generating function (MGF), use the following formula;M(t) = E(e^(tX))Here, X is a continuous random variable with mean μ and variance σ².Then,M(t) = E(e^(tX))= E(e^(t(X-m+m))) (Add and subtract the mean m)= E(e^(t(X-m)) * e^(tm)) (Take out the constant e^(tm) )= e^(tm) * E(e^(t(X-m)))Here, E(e^(t(X-m))) is the MGF of the standard normal distribution.So, M(t) = e^(tm) * e^(t²σ²/2)= e^(tm + t²σ²/2)Thus, the moment generating function (MGF) for X-(m, my) is e^(tm + t²σ²/2).

(b) Characteristic FunctionTo calculate the characteristic function of X-(m, my), use the following formula;φ(t) = E(e^(itX))Here, X is a continuous random variable with mean μ and variance σ².Then,φ(t) = E(e^(itX))= E(e^(it(X-m+m))) (Add and subtract the mean m)= E(e^(it(X-m)) * e^(itm)) (Take out the constant e^(itm) )= e^(itm) * E(e^(it(X-m)))Here, E(e^(it(X-m))) is the characteristic function of the standard normal distribution.So, φ(t) = e^(itm) * e^(-σ²t²/2)= e^(itm - σ²t²/2)Thus, the characteristic function of X-(m, my) is e^(itm - σ²t²/2).

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find the value of the variable for each polygon​

Answers

The value of g from the given triangle is 24 degree.

The given triangle is isosceles triangle with base angles are equal.

Here, base angles are 3g°.

From the given triangle, we have

3g°+3g°+(g+12)°=180° (Sum of interior angles of triangle is 180°)

7g°+12°=180°

7g°=168°

g=24°

Therefore, the value of g from the given triangle is 24 degree.

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8. Without dividing the numerator by the denominator, how do you know if 14/28 is a terminating or a non-terminating decimal?

Answers

Answer:

terminating

Step-by-step explanation:

A fraction is a terminating decimal if the prime factors of the denominator of the fraction in its lowest form only contain 2s and/or 5s or no prime factors at all. This is the case here, which means that our answer is as follows:

14/28 = terminating

Historically, WoolWord's supermarket has found it sells an average of 2517 grapes per day, with a standard deviation of 357 grapes per day. Consider that the number of grapes sold per day is normally distributed. Find the probability (to 4 decimal places) that: a) the number of grapes sold on a particular day exceeds 2300 ? b) the probability that the average daily grape sales over a three month (i.e. 90 day) period is less than 2500 grapes or more than 3000 grapes per day.

Answers

(a)  The number of grapes sold on a particular day exceeds 2300 is:

P(Z > -0.611) ≈ 0.7291

(b) The probability that the average daily grape sales over a 90-day period is less than 2500 grapes or more than 3000 grapes per day is:

P = P1 + P2 ≈ 0.3249 + 0.1003 ≈ 0.4252

We have the information available from the question is:

It is given that the supermarket found it sells an average of 2517 grapes per day, with a standard deviation of 357 grapes per day.

The number of grapes sold per day is normally distributed.

Now, The normal distribution and the properties of the z-score to solve the probability questions:

Mean (μ) = 2517 grapes per day

Standard deviation (σ) = 357 grapes per day

We have to find the probability:

a) The number of grapes sold on a particular day exceeds 2300:

We'll calculate the z-score for 2300 and then use the standard normal distribution table:

We know the formula:

z = (x - μ) / σ

z = (2300 - 2517) / 357

z ≈ -0.611

Now, using the z - table we can find the probability associated with a z-score of -0.611.

P(Z > -0.611) ≈ 0.7291

(b) We have to find the probability that the average daily grape sales over a three month (i.e. 90 day) period is less than 2500 grapes or more than 3000 grapes per day.

Now, According to the question:

We will use the Central limit theorem:

The mean of the sample means will still be 2517, but the standard deviation of the sample means (also known as the standard error of the mean, SEM) can be calculated as:

SEM = σ / √n

Where:

σ => stands for the standard deviation of the original distribution and

√n => is the square of the sample size.

SEM = 357 / √90

SEM ≈ 37.66

Now, We can calculate the z-scores for 2500 and 3000 using the sample mean distribution:

[tex]z_1[/tex] = (x1 - μ) / SEM = (2500 - 2517) / 37.66

[tex]z_1[/tex] ≈ -0.452

[tex]z_2[/tex] = (x2 - μ) / SEM = (3000 - 2517) / 37.66

[tex]z_2[/tex] ≈ 1.280

By using the z -table:

P1 = P(Z < -0.452)

P2 = P(Z > 1.280)

P1 ≈ 0.3249

P2 ≈ 0.1003

The probability that the average daily grape sales over a 90-day period is less than 2500 grapes or more than 3000 grapes per day is:

P = P1 + P2 ≈ 0.3249 + 0.1003 ≈ 0.4252

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Gregs backyard is 47 feet wide. How many yards and feet is this? Using productivity software ensures that the end product will look professional. Shane's auto-parts orders 20 tires from tough tires inc. The truck delivering the tires to Shanes is in an accident and 10 of the tires are damaged. Shane's auto-parts A) cannot reject the entire shipmentB) must still pay for all 20 tires at their original contract priceC) May inspect the tires and accept the shipment with the a deduction in price.D) must reject entire shipment True or False (50 question)_____ 1. The sum of the probabilities can give one and sometimes exceed one_____ 2. The alpha value indicates the % of error allowed in the investigation_____ 3. The critical value is obtained from the formulas applied to each Test_____ 4. H0 is rejected when the manual value is greater than the critical value_____ 5. All probability is between zero and 1_____ 6. The ANOVA Test uses the entire bell_____ 7. 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In the Poison Distribution, with lambda = 30, the Pr (X = 31) is > 1_______35. The null and alternate hypotheses are mutually exclusive._______36. Let a and b be independent events, Pr(No Oc) = 1 [Pr(a) Pr (b)]._______37. Let A and B be Dependent Events, Pr(A)Pr (B/A) = Pr(B)Pr (A/B)_______38. The Correlation Coefficient can be negative_______39. The Scatter Plot illustrates the dispersion of the data_______40. All Pr (Oc) give to one._______41. When Z is negative also the probability found_______42. In Normal Dist when you have Pr(Z 3) = 1- [Pr (Z=3)]_____43. The arithmetic average is sought by adding all the data/(n-1)_____44. The location of the median is found by looking for (n + 1) / 2_____45. Median of ungrouped data does not use outliers_____46. In the Normal Dist Z = total of the events_____47. When Z = 1, the probability = .5 - .3413_____48. Variance in grouped data is divided by n + 1_____49. If r > 1 then the variables are directly proportional_____50. Every probability is a proper fraction The area of a rectangleis 100 square feet. If thewidth is 25 feet. What is theLength? I need the definition or I won't graduate help and thank you Let C[0, 1] have the inner product (f,g) = f(x)g(x)dx. For u = x and v= x + 1 find the following: a) ||f|| b) |lg|| c) (f,g) d) Find the angle between u and v. can someone make this answer shorter like sum it up plz brainlyestWhite southerners would pass laws that controlled the movement of African-Americans because African-Americans were a large part of their workforce. This was especially true during ther era of Reconstruction. If a large amount of African-Americans moved away from the South, it would decrease the amount of workers available to work on farms on plantations. If there were less workers, that means farmers/plantation owners would make less products, reducing the amount of profit they could make. the impressionist period in music was about creating 1) Do waves transport energy or matter? 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