Answer:
27 cubic inches
Since each of the 6 faces of a cube have the same size, we know that each edge of the cube is √9 = 3 inches. Therefore the volume of the cube is 3 in x 3 in x 3 in = 27 cubic inches.on:
a group of four friends goes to a restaurant for dinner. the restaurant offers 15 different main dishes. suppose that the group collectively selects five different dishes to share. the waiter just needs to place all five dishes in the center of the table. how many different possible meals are there for the group?
To solve this problem, we will use the concept of combinations. Combinations are used to find the number of ways to choose a certain number of items from a larger set without considering the order. In this case, we want to find the number of ways to choose 5 dishes out of 15 available main dishes.
The formula for combinations is:
C(n, k) = n! / (k! * (n-k)!)
Where C(n, k) is the number of combinations, n is the total number of items (15 dishes), and k is the number of items to choose (5 dishes).
Plugging in the values, we get:
C(15, 5) = 15! / (5! * (15-5)!)
Now, let's calculate the factorials:
15! = 1,307,674,368,000
5! = 120
10! = 3,628,800
Now, divide as the formula states:
C(15, 5) = 1,307,674,368,000 / (120 * 3,628,800) = 3,003
So, there are 3,003 different possible meals for the group to share at the restaurant.
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Find the area. Round your answer to the
nearest tenth.
1.
3.
3 m
18 in.
2.
4.
25 ft
(Just the two bottom ones)
a) The area of the first circle is approximately 254.34 square inches
b) The area of the second circle is approximately 70650 square inches.
a) The area of a circle can be calculated using the formula A = πr², where π (pi) is a mathematical constant approximately equal to 3.14, and r is the radius of the circle.
For the first circle with a diameter of 18 inches, we can find the radius by dividing the diameter by 2:
r = 18/2 = 9 inches
Now we can calculate the area using the formula:
A = πr² = 3.14 x 9² = 254.34 square inches
Therefore, the area of the first circle is approximately 254.34 square inches.
b) For the second circle with a diameter of 25 feet, we need to convert the diameter to inches, since our formula uses radius in inches:
25 feet = 25 x 12 inches = 300 inches
Then we can find the radius by dividing by 2:
r = 300/2 = 150 inches
Now we can calculate the area using the formula:
A = πr² = 3.14 x 150² = 70650 square inches
Therefore, the area of the second circle is approximately 70650 square inches.
Note that the units for the second calculation are in square inches, not square feet, because we used the formula that requires radius in inches.
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the polar form of the complex number 14∠30∘(6−j8 3∠60∘2 j) is
The polar form of the complex number is 28√3 ∠70.53∘.
The polar form of a complex number represents the number in terms of its magnitude and angle. To find the polar form of the given complex number, we first need to simplify the expression inside the parentheses.
Using the trigonometric identity cos(θ) + i sin(θ) = ∠θ, we can simplify 3∠60∘ to (3/2 + j(3√3)/2) and 2j to 2∠90∘.
Then, we can distribute the 14∠30∘ to each term and simplify the result.
(14∠30∘)(6 - j(8/3 + (3√3)/3 j)) + (14∠30∘)(2∠90∘)
= (84∠60∘ - j(112/3∠150∘ + (42√3)/3∠210∘)) + 28∠120∘
= 28(√3 + j)
The magnitude of the complex number is 28√3, and the angle is 60∘ + tan⁻¹(1/√3) ≈ 70.53∘.
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The weights for newborn babies is approximately normally distributed with a mean of 6. 9 pounds and a standard deviation of 2 pounds. Consider a group of 1500 newborn babies:
1. How many would you expect to weigh between 5 and 9 pounds?
2. How many would you expect to weigh less than 8 pounds?
3. How many would you expect to weigh more than 7 pounds?
4. How many would you expect to weigh between 6. 9 and 10 pounds?
We would expect about 979 babies to weigh between 5 and 9 pounds.
We would expect about 1063 babies to weigh less than 8 pounds.
We would expect about 720 babies to weigh more than 7 pounds.
We would expect about 692 babies to weigh between 6.9 and 10 pounds.
We have,
We can use the normal distribution to answer these questions.
1)
To find the number of babies expected to weigh between 5 and 9 pounds, we need to find the area under the normal curve between these two values.
The z-scores for the lower and upper bounds are:
z1 = (5 - 6.9) / 2 = -0.95
z2 = (9 - 6.9) / 2 = 1.05
The area between these z-scores is approximately 0.653.
Now,
= 0.653 x 1500
= 979.5
So we would expect about 979 babies to weigh between 5 and 9 pounds.
2)
To find the number of babies expected to weigh less than 8 pounds, we need to find the area under the normal curve to the left of this value.
The z-score for 8 pounds.
z = (8 - 6.9) / 2 = 0.55
The area to the left of this z-score is approximately 0.7088.
To get the actual number of babies, we need to multiply this proportion by the total number of babies:
= 0.7088 x 1500
= 1063.2
So we would expect about 1063 babies to weigh less than 8 pounds.
3)
To find the number of babies expected to weigh more than 7 pounds, we need to find the area under the normal curve to the right of this value.
The z-score for 7 pounds.
z = (7 - 6.9) / 2 = 0.05
The area to the right of this z-score is approximately 0.4801.
So,
= 0.4801 x 1500
= 720.15
So we would expect about 720 babies to weigh more than 7 pounds.
4)
To find the number of babies expected to weigh between 6.9 and 10 pounds, we can use the z-scores for these values:
z1 = (6.9 - 6.9) / 2 = 0
z2 = (10 - 6.9) / 2 = 1.55
The area between these z-scores is approximately 0.4616.
So,
0.4616 x 1500 = 692.4
So we would expect about 692 babies to weigh between 6.9 and 10 pounds.
Thus,
We would expect about 979 babies to weigh between 5 and 9 pounds.
We would expect about 1063 babies to weigh less than 8 pounds.
We would expect about 720 babies to weigh more than 7 pounds.
We would expect about 692 babies to weigh between 6.9 and 10 pounds.
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evaluate ∫ r xcos(xy) da where r = [0,π] ×[1,2]. in both orders dxdy and dydx. Fubini's Theorem tells us the answers should agree, and they do, but do you find one order superior to the other? What is the moral of this story?
Both methods give us the same answer, which is -1/2. In terms of which order is superior, it really depends on the integrand and the region of integration.
To evaluate the integral ∫ r xcos(xy) da where r = [0,π] ×[1,2], we can use either the order dxdy or dydx. Using the order dxdy, we have:
∫ r xcos(xy) da = ∫π0 ∫21 xcos(xy)dydx
Integrating with respect to y first, we have:
∫ r xcos(xy) da = ∫π0 [sin(2x)-sin(x)]dx
Using the order dydx, we have:
∫ r xcos(xy) da = ∫21 ∫π0 xcos(xy)dxdy
Integrating with respect to x first, we have:
∫ r xcos(xy) da = ∫21 [-cos(2y)+cos(y)]dy
Sometimes one order may be easier to work with than the other. However, Fubini's Theorem tells us that the answer should not depend on the order of integration as long as the integral is well-defined. The moral of the story is to always check both orders of integration and use the one that is easier or more convenient for the given problem.
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factor the expression:
[tex]81x^{2} -4[/tex]
The factorization of 81x² - 4 is (9x + 2)(9x - 2).
Factorization, also known as factoring, is the process of expressing a number or an algebraic expression as a product of two or more factors that are smaller than the original number or expression.
We can factorize 81x² - 4 by recognizing that it is a difference of squares, which can be factored as:
a² - b² = (a + b)(a - b)
In this case, a = 9x and b = 2, so we can write:
81x²- 4 = (9x + 2)(9x - 2)
Therefore, the factorization of 81x² - 4 is (9x + 2)(9x - 2).
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For a random variable X, if V(cX) = 4V(X), where V refers to the variance, then c must be 2.TrueFalse
The answer is true. A random variable is a variable whose value is subject to variations due to chance. The variance of a random variable measures how spread out its values are.
It is a measure of the average distance between the values of the variable and its expected value. In this case, V(cX) represents the variance of a new random variable obtained by multiplying X by a constant c. According to the properties of variance, V(cX) = c^2 V(X). Therefore, the equation V(cX) = 4V(X) can be rewritten as c^2 V(X) = 4V(X).
Dividing both sides of the equation by V(X), we get c^2 = 4. Taking the square root of both sides, we obtain c = 2 or c = -2. However, since c represents a scaling factor, we can disregard the negative solution. Therefore, c must be 2.
In conclusion, if V(cX) = 4V(X), then c must be 2. This result shows that multiplying a random variable by a constant affects its variance by the square of that constant.
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∫∫sin (x^2+y^2) where R is the region in the first quadrant between the circles with center the
origin and radii 1 and 3
We can solve this problem by converting the integral to polar coordinates.
In polar coordinates, the region R is described by:
1 ≤ r ≤ 3
0 ≤ θ ≤ π/2
The integral becomes:
∫∫sin (x^2+y^2) dA = ∫∫r sin (r^2) dr dθ
Integrating with respect to r first, we get:
∫∫r sin (r^2) dr dθ = ∫[0,π/2] ∫[1,3] r sin (r^2) dr dθ
Evaluating the inner integral with the substitution u = r^2, du = 2r dr, we get:
∫[1,3] r sin (r^2) dr = 1/2 ∫[1,9] sin (u) du = -1/2 cos (9) + 1/2 cos (1)
Substituting this result into the original integral and evaluating the outer integral, we get:
The value of the double integral is approximately -0.523.
We want to evaluate the double integral:
∫∫sin(x^2+y^2) dA
over the region R, which is the first quadrant region between the circles with center at the origin and radii 1 and 3.
To evaluate this integral, we use polar coordinates, since the region is naturally described in terms of polar coordinates. In polar coordinates, the region R is given by 1 ≤ r ≤ 3 and 0 ≤ θ ≤ π/2.
Thus, we have:
∫∫sin(x^2+y^2) dA = ∫θ=0^π/2 ∫r=1^3 sin(r^2) r dr dθ
Integrating with respect to r first, we get:
∫θ=0^π/2 ∫r=1^3 sin(r^2) r dr dθ = ∫θ=0^π/2 (-1/2) [cos(9)-cos(1)] dθ
= (-1/2) [cos(9)-cos(1)] (π/2)
≈ -0.523
Your question is incomplete but most probably your full question was
Evaluate the double integral ∫∫sin (x^2+y^2) where R is the region in the first quadrant between the circles with center the origin and radii 1 and 3.
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what is the x-coordinate of the point that divides the directed line segment from j to k into a ratio of 2:5?
The x-coordinate of the point that divides the directed line segment from j to k into a ratio of 2:5 is 6.To find the x-coordinate of the point that divides the directed line segment from j to k into a ratio of 2:5, we need to use the concept of section formula. Section formula is a formula used to find the coordinates of the point that divides a line segment into a given ratio.
Let the coordinates of point j be (x1, y1) and the coordinates of point k be (x2, y2). Let the coordinates of the point that divides the line segment in a ratio of 2:5 be (x, y).
According to the section formula, the x-coordinate of the point (x, y) is given by:
x = [(5 * x1) + (2 * x2)] / (5 + 2)
We are given that the line segment is divided into a ratio of 2:5, which means that the length of the segment between point j and the point (x, y) is twice the length of the segment between the point (x, y) and point k.
Using the distance formula, we can find the length of the segment between points j and k:
d(j,k) = sqrt[(x2 - x1)^2 + (y2 - y1)^2]
Let the length of the segment between point j and the point (x, y) be d1 and the length of the segment between the point (x, y) and point k be d2. Since the segment is divided in a ratio of 2:5, we can write:
d1 / d2 = 2/5
Simplifying this equation, we get:
d1 = (2 / 7) * d(j,k)
d2 = (5 / 7) * d(j,k)
Now, we can use the x-coordinate formula to find the x-coordinate of the point (x, y):
x = [(5 * x1) + (2 * x2)] / (5 + 2)
x = (5 * 2) + (2 * 8) / 7
x = 6
Therefore, the x-coordinate of the point that divides the directed line segment from j to k into a ratio of 2:5 is 6.
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s)=∫0[infinity]e−stf(t)dt. use this definition to determine the laplace transform of the following function. f(t)= e3t, 0
Since, function. f(t)= e3t, 0
Therefore, the Laplace transformation of f(t) = e^(3t) is F(s) = -1/(s-3).
To find the Laplace transformation of the function f(t) = e^(3t), we'll use the definition of the Laplace transform, which is:
L{f(t)} = F(s) = ∫(0 to infinity) e^(-st) * f(t) dt
Now, let's substitute f(t) = e^(3t) into the definition:
F(s) = ∫(0 to infinity) e^(-st) * e^(3t) dt
To simplify, combine the exponentials:
F(s) = ∫(0 to infinity) e^((3-s)t) dt
Now, we'll integrate with respect to t:
F(s) = (-1/(s-3)) * e^((3-s)t) | evaluated from 0 to infinity
When we evaluate the limit as t approaches infinity, we get:
lim (t→infinity) (-1/(s-3)) * e^((3-s)t) = 0, as long as s > 3 (since the exponent will be negative and the exponential term will go to 0)
Simplifying the expression inside the integral, we get:
F(s) = ∫0^∞ e^[(3-s)t] dt
Using the formula for integration of exponential functions, we get:
F(s) = [e^[(3-s)t]] / (3-s) [evaluated from 0 to infinity]
Since e^(-∞) is equal to zero, the lower limit of the integral does not affect the value of F(s), so we get:
F(s) = [0 - 1/(3-s)] = -1/(s-3)
Now, let's evaluate the lower limit at t=0:
(-1/(s-3)) * e^((3-s)*0) = (-1/(s-3)) * e^0 = -1/(s-3)
So, the Laplace transform of f(t) = e^(3t) is:
F(s) = -1/(s-3), for s > 3
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what is the volume of a rectangular prism with a length of 24½ feet, a width of 14 feet, and a height of 11 ft?
A. 3,773 ft³
B. 1,886 ½ ft³
C. 1,462 ft³
D. 731 ft³
The volume of a rectangular prism with a length of 24.5 feet, a width of 14 feet, and a height of 11 feet is 3,773 ft³.
Given length of the rectangular prism = 24½ = 24.5 feet
width of the rectangular prism = 14 feet
height of the rectangular feet = 11 feet
volume of the rectangular prism is = length x width x height
= 24.5 feet x 14 feet x 11 feet
= 3,773 feet³
So, from the above analysis, we can conclude that the volume of the given rectangular prism is 3,773 feet³. So, from the above options, the option A is correct.
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construct a one-to-one function f: [1,3] →[2,5] that is not onto.
A one-to-one function f: [1,3] →[2,5] that is not onto can be constructed as follows:
f(x) = 3x - 5, where x is in the interval [1,3].
To show that f is a one-to-one function, we need to show that for any distinct elements x and y in [1,3], f(x) is not equal to f(y) i.e., f(x) ≠ f(y).
Assume that f(x) = f(y), then 3x - 5 = 3y - 5, which implies that x = y. This contradicts our assumption that x and y are distinct. Hence, f is one-to-one.
To show that f is not onto, we need to find an element in the co-domain [2,5] that is not mapped to by f.
Let's consider the element 2.5 in [2,5]. There is no x in [1,3] such that f(x) = 2.5. To prove this, assume that there exists some x in [1,3] such that f(x) = 2.5. Then, we have 3x - 5 = 2.5, which implies that x = 2.5. But 2.5 is not in [1,3]. This contradicts our assumption that such an x exists. Hence, f is not onto.
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Six measurements are taken of the thickness of a piece of 18-guage sheet metal. The measurements (in mm) are: 1.316, 1.308, 1.321,1.303, 1.311, 1.310 a. Make a boxplot of the six values. b. Should the t distribution be used to find 99% confidence interval for the thickness? If so, find the confidence interval. If not explain, why not. c. Six independent measurements are taken of the thickness of another piece of sheet metal. The measurements this time are 1.317, 1.318, 1.301, 1.307, 1.374, 1.323. Make a boxplot of these values d. Should the t distribution be used to find 99% confidence interval for the thickness? If so, find the confidence interval. If not explain, why not.
The 99% confidence interval for the thickness is
1.324 ± 0.061 or (1.263, 1.385)
What is the confidence interval?
A confidence interval is a range of values that is likely to contain the true value of an unknown population parameter, such as the population mean or population proportion. It is based on a sample from the population and the level of confidence chosen by the researcher.
a. The boxplot of the six measurements is as follows:
1.303 1.308 1.310 1.311 1.316 1.321
---- ---- ---- ---- ---- ----
b. Yes, the t distribution should be used to find a 99% confidence interval for the thickness. We can use the t-distribution because we have a small sample size (n = 6) and do not know the population standard deviation.
To find the confidence interval, we first calculate the sample mean and sample standard deviation:
sample mean = (1.303 + 1.308 + 1.310 + 1.311 + 1.316 + 1.321) / 6 = 1.312
sample standard deviation = 0.00634
Using a t-distribution with 5 degrees of freedom (n-1), we find the t-value for a 99% confidence interval:
t-value = 4.032
The margin of error for the confidence interval is:
margin of error = t-value * (sample standard deviation / √(n)) = 4.032 * (0.00634 / √(6)) = 0.013
Therefore, the 99% confidence interval for the thickness is:
1.312 ± 0.013 or (1.299, 1.325)
c. The boxplot of the six measurements is as follows:
1.301 1.307 1.317 1.318 1.323 1.374
---- ---- ---- ---- ---- ----
d. Yes, the t distribution should be used to find a 99% confidence interval for the thickness.
We can use the t-distribution because we have a small sample size (n = 6) and do not know the population standard deviation.
To find the confidence interval, we first calculate the sample mean and sample standard deviation:
sample mean = (1.301 + 1.307 + 1.317 + 1.318 + 1.323 + 1.374) / 6 = 1.324
sample standard deviation = 0.0297
Using a t-distribution with 5 degrees of freedom (n-1), we find the t-value for a 99% confidence interval:
t-value = 4.032
The margin of error for the confidence interval is:
margin of error = t-value * (sample standard deviation / √(n)) = 4.032 * (0.0297 / √(6)) = 0.061
Therefore, the 99% confidence interval for the thickness is
1.324 ± 0.061 or (1.263, 1.385).
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Which situation is BEST modeled by a linear function? A) The value of a new automobile that depreciates 20% each year. B) The size of a culture of yeast that doubles in size every 20 minutes. C) The amount an investment is worth when earning 7. 2% compounded yearly. D) The amount of interest earned for a year on a savings account earning 5. 5% simple interest
The situation that is best modeled by a linear function is option D: the amount of interest earned for a year on a savings account earning 5.5% simple interest.
A linear function has a constant rate of change, which means that the output (dependent variable) changes by a constant amount for every unit change in the input (independent variable). In option D, the amount of interest earned on a savings account earning 5.5% simple interest is a linear function of the principal amount of the account. The rate of change is constant and equal to the interest rate, so the interest earned increases linearly with the principal amount.
In contrast, options A, B, and C all involve exponential growth or decay, which cannot be modeled by a linear function. Option A involves a decreasing value of a new automobile that depreciates 20% each year, which follows an exponential decay model. Option B involves the size of a culture of yeast that doubles in size every 20 minutes, which follows an exponential growth model. Option C involves an investment that earns compound interest, which also follows an exponential growth model.
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Find the product
(4-2.5y) (0.35y)
Step-by-step explanation:
To find the product, we need to apply the distributive property of multiplication over addition:
(4 - 2.5y) (0.35y) = 4(0.35y) - 2.5y(0.35y)
Simplifying the first term gives:
4(0.35y) = 1.4y
Simplifying the second term requires multiplying the coefficients and adding the exponents of y:
-2.5y(0.35y) = -0.875y^2
Putting it all together, we get:
(4 - 2.5y) (0.35y) = 1.4y - 0.875y^2
Therefore, the product is "1.4y - 0.875y^2".
00 Nex How many terms of the convergent series > 9 15 should be used to estimate its value with error at most 0.000017 חן-ח About 10 terms (Round up to the nearest whole number as needed.)
We need to use about 10 terms to estimate the value of the series with an error at most 0.000017.
To estimate the value of the convergent series 9 + 15 + ... with an error at most 0.000017, we need to use the formula for the error bound of a convergent series:
|En| ≤ (Mn+1/2) * r^n
where En is the error bound, Mn is the maximum value of the remainder term for the first n terms of the series, r is the common ratio, and n is the number of terms used to estimate the series.
In this case, the series has a common ratio of 5/3 (since each term is 5/3 times the previous term), and the remainder term for the first n terms is:
Rn = (5/3)^n * 9/(3n+3)
To find Mn, we need to find the maximum value of Rn for n terms. This can be done by taking the derivative of Rn with respect to n, setting it equal to zero, and solving for n. However, since we only need an estimate of the number of terms, we can use trial and error to find the smallest n such that Rn ≤ 0.000017:
n = 10: R10 ≈ 0.000013
n = 11: R11 ≈ 0.000021
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(a) Regarding each of the following, decide whether it is a vector space or not over R. Prove your decision: (1) {p(x) E R3[x]p'(1) = p(0)} with regular operations.
The given set is not a vector space over R.
To prove that the set {p(x) E R3[x] : p'(1) = p(0)} with regular operations is not a vector space over R, we need to show that at least one of the eight axioms of a vector space is violated. Let p(x) = 2x + 1 and q(x) = -x + 4 be two polynomials in the set.
Closure under addition: p(x) + q(x) = 2x + 1 - x + 4 = x + 5. However, (x+5)'(1) = 1 ≠ (x+5)(0) = 5, so x + 5 is not in the set. Therefore, the set is not closed under addition.
Since one of the axioms is violated, the set {p(x) E R3[x] : p'(1) = p(0)} with regular operations is not a vector space over R.
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what does all of this mean? could someone help me solve this problem por favor!!!!!!
The functions are shown in the solution.
Given that (-2, 4) is on the terminal side of an angle in standard position. We need to evaluate the six trigonometric functions of θ.
The point's coordinates are:
x = -2, y = 4
To calculate the functions we have to calculate the distance between the point and the origin:
[tex]r = \sqrt{x^2+y^2}[/tex]
[tex]r = \sqrt{(-2)^2+4^2}\\\\r = \sqrt{4+16} \\\\r = \sqrt{20}[/tex]
Now we can calculate the functions:
Sin θ = y/r = 4/√20
Cos θ = x/r = -2/√20
tan θ = y/x = -4/2 = -2
Cosec θ = √20/4
Sec θ = -√20/2
Cot θ = -1/2
Hence, the functions are shown.
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4) What fractions are greater than 2/3? * 1/2 8/12 3/8 6/6 4/5 9/10
The fractions that are greater than 2/3 are 6/6, 4/5, and 9/10.
To determine which fractions are greater than 2/3, we need to compare them to 2/3 and see which ones are larger.
1/2 is less than 2/3 because 1/2 is equivalent to 3/6, which is less than 4/6 (i.e., 2/3).8/12 can be simplified to 2/3, which is not greater than 2/3.3/8 is less than 2/3 because 2/3 is equivalent to 8/12, which is greater than 3/8.6/6 is equivalent to 1, which is greater than 2/3.4/5 is greater than 2/3 because 2/3 is equivalent to 8/12, and 4/5 is equivalent to 9.6/12, which is greater than 8/12.9/10 is greater than 2/3 because 2/3 is equivalent to 8/12, and 9/10 is equivalent to 10.8/12, which is greater than 8/12.Therefore, the fractions that are greater than 2/3 are 6/6, 4/5, and 9/10.
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Compute the following (finite or infinite) sums. (a) 17+20+23+26+ ... + 200 (b) 2+2(1.1) + 2(1.1)2 +...+2(1.1)^19 (c) 2 + 2(1.1)-1 + 2(1.1)-2 +2(1.1^)-3 +... (d) 1 - 1/2 + 1/4 - 1/8 + - 1/16 - 1/32 + ...
The sum of the given arithmetic series is 6727.
What is arithmetic series?
The arithmetic series is the sequence of terms where the common difference remains constant between any two successive terms. A sequence is a collection of numbers which follow a definite pattern. For example, the sequence 1, 5, 9, 13, … is an arithmetic sequence because here is a pattern where each number is obtained by adding 4 to its previous term.
a)
17+20+23+26+ ... + 200
This is in arithmetic progression.
First term (a₁)= 17
common difference (d)= 3
Let the nth term be aₙ
aₙ= a₁ + (n-1)×d
200= 17 + (n-1)×3
61= n-1
n= 62
Let the sum is Sₙ = n/2(2a+(n-1)×d)
= 62/2 ( 34+ 61×3)
= 31×217
= 6727.
Hence, the sum of the given arithmetic series is 6727.
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Find parametric equations for the arc of a circle of radius 5 from P = ( 0,0) to Q = (10, 0). X(t) = Y(t) =with
To find parametric equations for the arc of a circle of radius 5 from P = (0,0) to Q = (10,0), we first need to find the center of the circle.
Since the arc starts at (0,0) and ends at (10,0), the center must be at (5,0). Next, we can use the standard parametric equations for a circle centered at (5,0) with radius 5:
x(t) = 5 + 5cos(t)
y(t) = 5sin(t)
Since we want the arc from P to Q, we need to find the values of t that correspond to those points. For P, x = 0 and y = 0, so we can set up the equations:
0 = 5 + 5cos(t)
0 = 5sin(t)
The second equation tells us that sin(t) = 0, which means t is an integer multiple of π. Since we want the arc from P to Q, we can choose t = 0, which gives us x = 10 and y = 0. Therefore, the parametric equations for the arc are:
x(t) = 5 + 5cos(t), 0 ≤ t ≤ π
y(t) = 5sin(t), 0 ≤ t ≤ π
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For a standard normal distribution, find the approximate value of P(-0.41 ≤ z ≤ 0.73). Use the portions of the standard normal table below to help answer the question.
A) 43%
B) 34%
C) 45%
D) 57%
there are 15 students in a class and 6 of them will be chosen to go on a field trip. how many ways can these students be chosen?
There are 5,005 ways to choose 6 students from a class of 15 for the field trip. Therefore, there are 5005 ways the students can be chosen for the field trip.
To find the number of ways 6 students can be chosen out of 15, we can use the combination formula, which is:
nCr = n! / r! (n-r)!
where n is the total number of students (15) and r is the number of students to be chosen (6).
So, plugging in the values, we get:
15C6 = 15! / 6! (15-6)!
= 5005
Therefore, there are 5005 ways the students can be chosen for the field trip.
To determine the number of ways 6 students can be chosen from a class of 15, you'll need to use the concept of combinations. In this case, the formula for combinations is C(n, r) = n! / (r!(n-r)!), where n is the total number of students (15) and r is the number of students to be chosen (6).
Using the formula, the number of ways to choose 6 students from 15 is:
C(15, 6) = 15! / (6!(15-6)!) = 15! / (6!9!) = 5,005
So, there are 5,005 ways to choose 6 students from a class of 15 for the field trip.
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1. Una zona boscosa tiene forma de trapecio, cuyas bases miden 132 m y 96 m. La anchura de
la zona mide 30 m. Se construye un paseo de 7 m de ancho perpendicular a las dos bases.
Calcula el área de la zona arbolada que queda.
The area of the remaining wooded area is 2070 square meters.
To solve this problem, we need to first find the area of the entire trapezoid and then subtract the area of the promenade to get the remaining wooded area.
The formula for the area of a trapezoid is:
Area = (b1 + b2) * h / 2
where b1 and b2 are the lengths of the bases and h is the height (or width) of the trapezoid.
In this case, we are given that the bases measure 132 m and 96 m, and the width of the zone (which is the height of the trapezoid) is 30 m. So we can plug these values into the formula:
Area of trapezoid = (132 + 96) * 30 / 2 = 2280 square meters
Next, we need to find the area of the promenade, which is a rectangle with a width of 7 m and a length equal to the height of the trapezoid (30 m). So the area of the promenade is:
Area of promenade = 7 * 30 = 210 square meters
Finally, we can find the area of the remaining wooded area by subtracting the area of the promenade from the area of the trapezoid:
Area of remaining wooded area = 2280 - 210 = 2070 square meters
Therefore, the area of the remaining wooded area is 2070 square meters.
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Translated Question: A wooded area has the shape of a trapezoid, whose bases measure 132 m and 96 m. The width of the zone measures 30 m. A 7 m wide promenade is built perpendicular to the two bases. Calculate the area of the remaining wooded area.:
Let v, = [1 0 -1] V2 = [4 1 5] V3=[12 3 15]1.133 and w= [5 1 4]a. Is w in {V1, V2, V3}? How many vectors are in {V1, V2, V3}? b. How many vectors are in Span{V1, V2, V3}? c. Is w in the subspace spanned by {V1, V2, V3}?
There are three vectors in this set: V1, V2, and V3. The span contains an infinite number of vectors in a 2-dimensional subspace.
Given vectors:
V1 = [1, 0, -1]
V2 = [4, 1, 5]
V3 = [12, 3, 15]
W = [5, 1, 4]
a. W is not in the set {V1, V2, V3} because it is not equal to any of the vectors in the set. There are three vectors in this set: V1, V2, and V3.
b. To determine the number of vectors in the Span{V1, V2, V3}, we need to check for linear independence. We can do this by setting up a matrix and performing Gaussian elimination:
[1, 4, 12]
[0, 1, 3]
[-1, 5, 15]
After Gaussian elimination, we get:
[1, 0, -1]
[0, 1, 3]
[0, 0, 0]
There are two nonzero rows, which means two of the vectors are linearly independent. Thus, the span contains an infinite number of vectors in a 2-dimensional subspace.
c. To determine if W is in the subspace spanned by {V1, V2, V3}, we need to check if W can be expressed as a linear combination of these vectors. Let's set up the equation:
W = aV1 + bV2 + cV3
[5, 1, 4] = a[1, 0, -1] + b[4, 1, 5] + c[12, 3, 15]
Solving for a, b, and c:
a + 4b + 12c = 5
b + 3c = 1
-a + 5b + 15c = 4
By solving this system of linear equations, we find that there are no solutions for a, b, and c. Therefore, W is not in the subspace spanned by {V1, V2, V3}.
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The graph represents the height of a Passenger car on a ferris wheel, in
feet, as a function of time, in seconds. (Lesson 4-11)
Use the graph to help you:
a. Find H(0).
b. Does H(t) = 0 have a solution? Explain
how you know.
c. Describe the domain of the function.
d. Describe the range of the function.
The answers are:
a. 5 ft
b. No
c. [0, ∞)
d. [5, 55]
From the graph:
x-axis: t = time (in seconds)
y-axis: H(t) = height (in feet)
a) When H(0), t = 0 ⇒ y-intercept.
Therefore, from inspection of the graph, H(0) = 5 ft
b) H(t) = 0 does not have a solution as the curve never touches the y-axis
(when y = 0).
c) Domain: set of all possible input values (x-values)
The domain is time (t) (x-axis), therefore the domain is [0, ∞)
d) Range: set of all possible output values (y-values)
From inspection of the graph, the lowest value of H(t) is 5 and the highest value of H(t) is 55.
Therefore, the range is [5, 55]
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3) Ashley is buying a bagel for her friends for lunch. The person
in front of her buys a half a dozen bagels (6) for $38.35. How
much would she pay for her and 8 friends bagels?
Answer:
51.13
Step-by-step explanation:
38.35/6=6.39
6.39 * 8=51.13
HELP PLEASE ANSWER THIS CORRECTLY
Which equation would calculate the amount of wrapping paper, in square centimeters, needed to completely cover the cylinder shown?
a cylinder with the diameter labeled 2.8 centimeters and the height labeled 3.7 centimeters
SA = 2π(1.4)2 + 2.8π(3.7)
SA = 2π(1.4)2 + 1.4π(3.7)
SA = 2π(2.8)2 + 2.8π(3.7)
SA = 2π(2.8)2 + 1.4π(3.7)
Answer:
2π(1.4)2 + 2.8π(3.7)
Step-by-step explanation:
A cylinder's surface is a rectangle and 2 circles
the circumference is 2.8pi, which is also the side length of the rectangle, so the surface area of the rectangle is 2.8pi*3.7
The area of the circle is simply pi*(1.4)^2, and there are 2 circles.
So the answer is 2π(1.4)2 + 2.8π(3.7)
408 people are chosen from a large population that is half women. the claim is that the people were randomly chosen, but we suspect that they might not be randomly choosing the people and instead be biased against women. how likely is it that the sample has only 184 women or fewer, if the people were really randomly chosen? first, how many women would you expect the sample to have if it was randomly drawn from a population that is half women?
If the population is half women, then we can expect that half of the 408 people chosen would also be women. Therefore, we can expect 204 women to be in the sample if it was randomly drawn from the population.
To determine how likely it is that the sample has only 184 women or fewer, we need to use a statistical test. We can use a binomial distribution with n=408 and p=0.5 (since half the population is women). We want to find the probability of getting 184 women or fewer in the sample if it was randomly drawn from the population. Using a binomial calculator, we find that the probability of getting 184 women or fewer in the sample if it was randomly drawn from the population is 0.0036, or 0.36%. This means that if the sample truly was randomly drawn from the population, it would be very unlikely to get a sample with only 184 women or fewer. However, if the sample did have only 184 women or fewer, it could suggest that the sample was not truly randomly chosen and that there may be bias against women in the selection process. Further investigation would be needed to confirm this suspicion.
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Let W be the union of the first and third quadrants in the xy-plane. That is, let W- xy 20. Complete parts a and b below a. If u is in W and c is any scalar, is cu in W? Why A. CX f u- is in W. then the vector cu = cl is in W because cxy 2 0 since xy 20 CX f u- is in W. then the vector cu = cl is not in W because cxy S0 in some cases су lf u-| x | is in W, then the vector cu =c| x-cx | is in W because (cx)(cy)-c(xy)20 since xy20 су b. Find specific vectors u and v in W such that u+v is not in W. This is enough to show that W is not a vector space Two vectors in W, u and v, for which u+v is not in W are (Use a comma to separate answers as needed.)
W is not a vector space, as it does not satisfy the necessary conditions for scalar multiplication and vector addition.
a. If u is in W and c is any scalar, cu is not necessarily in W. Here's why:
- If u = (x, y) is in W, then xy ≥ 0 since u is in the first or third quadrant.
- If c is a positive scalar, then cu = (cx, cy) and (cx)(cy) = c^2(xy) ≥ 0, so cu is in W.
- However, if c is a negative scalar, then cu = (cx, cy) and (cx)(cy) = c^2(xy) < 0, so cu is not in W.
b. To find specific vectors u and v in W such that u+v is not in W, consider:
- u = (1, 1) in the first quadrant, so u is in W (1 * 1 = 1 ≥ 0)
- v = (-1, -1) in the third quadrant, so v is in W ((-1) * (-1) = 1 ≥ 0)
- u+v = (1-1, 1-1) = (0, 0), which is not in W because 0 * 0 = 0, and the union of the first and third quadrants does not include the origin.
Thus, W is not a vector space, as it does not satisfy the necessary conditions for scalar multiplication and vector addition.
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