DE≅AE ,BA∥CE , CB∥DA and m∠C=65∘

Answers

Answer 1

The measure of <BAE is 130 degree.

We have,

m <C = 65

As, opposite sides are parallel then ABCD is a parallelogram.

Then, opposite angles of a parallelogram are congruent

∠ BAD = ∠ BCD = 65°

∠ ADE = ∠ BAD = 65° ( alternate angles )

Since, DE = AE then Δ ADE is isosceles Triangle.

So, ∠ DAE = ∠ ADE = 65°

We can write,

∠ BAE = ∠ BAD + ∠ DAE = 65° + 65° = 130°

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Related Questions

Find BC in parallelogram ABCD.

Answers

Answer:

BC = 30

Step-by-step explanation:

We know that opposite sides of a parallelogram are congruent. Because of this, we can equate their lengths and solve for the variable z:

15z = 19z - 8

↓ adding 8 to both sides

15z + 8 = 19z

↓ subtracting 15z from both sides

8 = 4z

↓ dividing both sides by 4

2 = z

z = 2

Now, we can plug this z-value into the length of side BC and simplify:

BC = 19z - 8

BC = 19(2) - 8

BC = 30

1. Use the balance shown below to find an equation that represents the balance, and the value of x.

Answers

By using the balance shown above, an equation that represent the balance is 14 + 3x = 35.

The value of x is equal to 7.

How to determine the value of x?

In this scenario and exercise, you are required to write an equation that represents the balance by using the balance shown above and then determine the value of x.

Since it is a balance, we can reasonably infer and logically deduce that all of the parameters on the right-hand side must be equal to the all of the parameters on the left-hand side as follows;

7 + 7 + x + x + x = 7 + 7 + 7 + 7 + 7

14 + 3x = 35

3x = 35 - 14

3x = 21

x = 7.

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netp
Approximate √41 by following the steps below.
41 must lie between the whole numbers 6 and 7 because 6²
and 7²
= 49, and 41 lies between these values.
Drag √41 based on your estimate above:
√41
3
To one decimal place, √41 must lie between
10
Real
and
You must answer all questions above in order to submit.
= 36
attempt

Answers

The square root of 41 must lie between 6 and 7, as 6² = 36 and 7² = 49, and 41 lies between these two values.

How to estimate a non-exact square root?

The estimate of a non-exact square root of x is done finding two numbers, as follows:

The greatest number less than x that is a perfect square, which we call a.The smallest number greater than x that is a perfect square, which we call b.

For the number 41, these numbers are given as follows:

a = 6, as 6² = 36.b = 7, as 7² = 49.

Hence we know that the square root of 41 lies between 6 and 7.

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Suppose that we have two events, A and B, with P(A) = .50, P(B) = .50, and P(A ∩ B) = .20.
a. Find P(A | B) (to 4 decimals).
b. Find P(B | A) (to 4 decimals).
c. Are A and B independent? Why or why not?

Answers

To find P(A | B),  first we use the formula P(A | B) = P(A ∩ B) / P(B).To find P(B | A), we use the formula P(B | A) = P(A ∩ B) / P(A).  To determine if A and B are independent, we need to compare P(A ∩ B) with P(A)P(B). If P(A ∩ B) = P(A)P(B), then A and B are independent. If P(A ∩ B) ≠ P(A)P(B), then A and B are dependent.

a. Plugging in the given values, we have:
P(A | B) = 0.20 / 0.50 = 0.40
So, P(A | B) = 0.4000 (to 4 decimals).

b. Plugging in the given values, we have:
P(B | A) = 0.20 / 0.50 = 0.40
So, P(B | A) = 0.4000 (to 4 decimals).

c. Given values are:
P(A) = 0.50
P(B) = 0.50
P(A ∩ B) = 0.20
Calculating P(A) * P(B):
0.50 * 0.50 = 0.25

Since P(A ∩ B) ≠ P(A) * P(B), events A and B are not independent. The occurrence of one event affects the probability of the other event occurring.

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How to solve a problem

Answers

The area of rhombus is 120 square units.

We are given that;

The diagonals = 12, 20

Now,

Area of rhombus = 4 x area of one triangle

Area of triangle= 1/2 * 6 * 10

=5 * 6

=30

Area of rhombus= 4 * 30

=120

Therefore, by the area the answer will be 120 square units.

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a mountain climber has made it 80% of a mountain if they have climbed 3200 meters how tall is the mountain

Answers

a mountain climber has made it 80% of a mountain if they have climbed 3200 meters how tall is the mountain

Find the equation of the quadratic function g whose graph is shown below.
(5,3)
(6.0)
8
201 12 114
g(x) = 0

Answers

Answer:

y = -3(x - 5)^2 + 3

Step-by-step explanation:

Because we're given the maximum/vertex of the quadratic function and at least one of the roots, we can find the equation of the quadratic equation using the vertex form which is

[tex]y = a(x-h)^2+k[/tex], where a is a constant (determine whether parabola will have maximum or minimum), (h, k) is the vertex (a maximum for this problem), and (x, y) are any point on the parabola:

Since our maximum/vertex is (5, 3), and one of our roots is (6, 0), we can plug everything in and solve for a:

[tex]0=a(6-5)^2+3\\0=a(1)^2+3\\0=a+3\\-3=a[/tex]

Thus, the general equation (without distribution) is y = -3(x - 5)^2 + 3

Solve the general solution of: (y^2 + xy)dx + x^2 dy=0

Answers

The general solution of the differential equation is:

xy^2/2 + x^2y + (x^2/2)y - (x^2/4)y^2 + h(x) = C

where C is the constant of integration.

To solve this differential equation, we can use the method of exact differential equations.

First, we need to check if the equation is exact by verifying if the following condition is satisfied:

∂(y^2 + xy)/∂y = ∂(x^2)/∂x

Differentiating y^2 + xy with respect to y, we get:

∂(y^2 + xy)/∂y = 2y + x

Differentiating x^2 with respect to x, we get:

∂(x^2)/∂x = 2x

Since these two expressions are equal, the equation is exact.

To find the general solution, we need to find a function f(x,y) such that:

∂f/∂x = y^2 + xy

∂f/∂y = x^2

Integrating the first equation with respect to x, we get:

f(x,y) = xy^2/2 + x^2y + g(y)

where g(y) is a constant of integration that depends only on y.

Taking the partial derivative of f(x,y) with respect to y and equating it to x^2, we get:

∂f/∂y = x^2 = xy + 2xg'(y)

where g'(y) is the derivative of g(y) with respect to y.

Solving for g'(y), we get:

g'(y) = (x^2 - xy)/2x

Integrating both sides with respect to y, we get:

g(y) = (x^2/2)y - (x^2/4)y^2 + h(x)

where h(x) is a constant of integration that depends only on x.

Therefore, the general solution of the differential equation is:

xy^2/2 + x^2y + (x^2/2)y - (x^2/4)y^2 + h(x) = C

where C is the constant of integration.

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0,-2, 0,3, 2,-4 are dilated by a factor of 2 at the center origin. plot the resulting image

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A graph of the image after a dilation by a scale factor of 2 centered at the origin is shown below.

What is a dilation?

In Mathematics and Geometry, a dilation simply refers to a type of transformation which typically changes the size of a geometric object, but not its shape.

Next, we would apply a dilation to the coordinates of the pre-image by using a scale factor of 2 centered at the origin as follows:

Ordered pair R (0, -2) → Ordered pair R' (0 × 2, -2 × 2) = R' (0, -4).

Ordered pair S (0, 3) → Ordered pair S' (0 × 2, 3 × 2) = S' (0, 6).

Ordered pair T (2, -4) → Ordered pair T' (2 × 2, -4 × 2) = T' (4, -8).

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The number of apps that 8 students downloaded last year are shown below.
16, 12, 18, 8, 17, 15, 22, 17
Drag the correct word to each box to make the inequalities true. Each term may be used once or not at all.
range
mean
median
mean
mode
median

Answers

Median it is but the answer is 17

This is an exercise about the geometry of signals, and a possible exam type of question. All signals here are over the interval 0≤ t≤1. Find numbers a, b, and c to make the signal g(t) = a cos(2 t) + b sin(3 t) + c perpendicular to both f_1(t) =t and f_2(t) = t^2

Answers

The signal g(t) that is perpendicular to both f_1(t) = t and f_2(t) = t² is:

g(t) = (-4π²/3)cos(2t) + (36/π²)sin(3t) - (18/5)

What is trigonometry?

Trigonometry is a branch of mathematics that deals with the relationships between the sides and angles of triangles. It focuses on the study of trigonometric functions, which are functions that relate the angles of a triangle to the ratios of the lengths of its sides.

To make the signal g(t) perpendicular to both f_1(t) = t and f_2(t) = t², we need to find numbers a, b, and c such that the inner products of g(t) with both f_1(t) and f_2(t) are zero.

Let's start by finding the inner product of g(t) with f_1(t):

⟨g(t), f_1(t)⟩ = ∫₀¹ g(t) f_1(t) dt

= ∫₀¹ (a cos(2t) + b sin(3t) + c) t dt

= a/2 ∫₀¹ 2t cos(2t) dt + b/3 ∫₀¹ 3t sin(3t) dt + c/2 ∫₀¹ t dt

Using integration by parts for the first integral and evaluating the integrals, we get:

⟨g(t), f_1(t)⟩ = a/2 + b/9 + c/2

Similarly, we can find the inner product of g(t) with f_2(t):

⟨g(t), f_2(t)⟩ = ∫₀¹ g(t) f_2(t) dt

= ∫₀¹ (a cos(2t) + b sin(3t) + c) t² dt

= a/4 ∫₀¹ 2t² cos(2t) dt + b/9 ∫₀¹ 3t² sin(3t) dt + c/3 ∫₀¹ t² dt

Again, using integration by parts for the first integral and evaluating the integrals, we get:

⟨g(t), f_2(t)⟩ = a/2π² + b/27π² + c/3

To make g(t) perpendicular to both f_1(t) and f_2(t), we need to set both inner products to zero:

a/2 + b/9 + c/2 = 0

a/2π² + b/27π² + c/3 = 0

Solving this system of equations, we get:

a = -4π²/3

b = 36/π²

c = -18/5

Therefore, the signal g(t) that is perpendicular to both f_1(t) = t and f_2(t) = t² is:

g(t) = (-4π²/3)cos(2t) + (36/π²)sin(3t) - (18/5)

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An employee is 25 years old and starting a 401k plan. The employee is going to invest $150 each month. The account is expected to earn 5.5% interest, compounded monthly. What is the account balance, rounded to the nearest dollar, after two years? a. $3,976 b. $3,796c. $6,675 d. $6,765

Answers

Rounding to the nearest dollar, we get an account balance of $3,796. Therefore, the answer is (b) $3,796. Option b is Correct.

A financial repository's account balance represents the amount of money there is at the end of the current accounting period. It is the sum of the balance carried over from the previous month and the net difference between the credits and debits that have been recorded during any particular accounting cycle.

The future value of an annuity with monthly contributions:

FV = [tex]P * ((1 + r/12)^{n - 1}) / (r/12)[/tex]

Here FV is the future value, P is the monthly payment, r is the annual interest rate, and n is the number of months.

In this case, P = $150, r = 5.5%, and n = 24 months (2 years * 12 months/year). Plugging in these values, we get:

FV =[tex]150 * ((1 + 0.055/12)^24 - 1) / (0.055/12)[/tex]

≈ $3,795.88

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In a recent year (365 days), a hospital had 5742 births.
a. Find the mean number of births per day.
b. Find the probability that in a single day, there are 18 births.
c. Find the probability that in a single day, there are no births. Would 0 births in a single day be a significantly low number of births?
a. The mean number of births per day is 15.7.
(Round to one decimal place as needed.)
b. The probability that, in a day, there are 18 births is 0.07970.
(Do not round until the final answer. Then round to four decimal places as needed.)
c. The probability that, in a day, there are no births is
(Round to four decimal places as needed.)

Answers

a) 15.7

b) 0.07970

c) Having 0 births in a single day would be a significantly low number of births, as the probability is essentially 0.

We have,

a.

To find the mean number of births per day, you need to divide the total number of births (5742) by the number of days in a year (365).
Mean number of births per day = 5742 / 365 = 15.7 births per day (rounded to one decimal place).

b.

To find the probability of having 18 births in a single day, you can use the Poisson probability formula:
P(X = k) = (e^{-λ} x λ^k) / k!
Where λ (lambda) is the mean number of births per day (15.7), k is the number of births we're looking for (18), and e is the base of the natural logarithm (approximately 2.718).

P(X = 18) = (e^(-15.7) x 15.7^18) / 18!
P(X = 18) = (2.718^(-15.7) x 15.7^18) / 18!
P(X = 18) = 0.07970 (rounded to five decimal places)

c.

To find the probability of having no births in a single day, use the same Poisson probability formula with k = 0:
P(X=0) = (e^(-15.7) * 15.7^0) / 0!
P(X=0) = (2.718^(-15.7) * 1) / 1
P(X=0) = 0 (rounded to four decimal places)

Having 0 births in a single day would be a significantly low number of births, as the probability is essentially 0.

Thus,

a) 15.7

b) 0.07970

c) Having 0 births in a single day would be a significantly low number of births, as the probability is essentially 0.

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solve each system of equations in exercise 3 with elimination by pivoting in \vhich off-diagonal pivots are used-to be exact, pivot on entry (2, 1), then on (3, 2), and finally on (1, 3).

Answers

To solve the system of equations using elimination by pivoting, we will first identify the coefficients of the variables in each equation and write them in a matrix form. Then, we will use pivoting to eliminate the off-diagonal elements and solve for the variables.

For example, let's consider the system of equations:

2x + 3y - z = 7
3x - 4y + 2z = -8
x + y - z = 3

We can write this system in matrix form as:

[ 2  3 -1 |  7 ]
[ 3 -4  2 | -8 ]
[ 1  1 -1 |  3 ]

To eliminate the off-diagonal elements, we will use pivoting. We will pivot on the entry (2, 1), then on (3, 2), and finally on (1, 3). This means we will swap rows and/or columns to make the pivot element (the one we want to eliminate) the largest in absolute value.

First, we will pivot on (2, 1). We swap rows 1 and 2 to make the pivot element the largest in the first column:

[ 3 -4  2 | -8 ]
[ 2  3 -1 |  7 ]
[ 1  1 -1 |  3 ]

Next, we will pivot on (3, 2). We swap rows 2 and 3 to make the pivot element the largest in the second column:

[ 3 -4  2 | -8 ]
[ 2  3 -1 |  7 ]
[ 1 -1 -1 | -1 ]

Finally, we will pivot on (1, 3). We swap columns 2 and 3 to make the pivot element the largest in the third column:

[ 3  2 -4 | -8 ]
[ 2 -1  3 |  7 ]
[ 1 -1  1 | -1 ]

Now we have a matrix in row echelon form. We can solve for the variables by back substitution. Starting with the last equation, we get:

z = -1

Substituting this value into the second equation, we get:

-1y + 3x = 10

Solving for y, we get:

y = -3x + 10

Substituting the values of z and y into the first equation, we get:

3x + 2(-3x + 10) - 4(-1) = -8

Solving for x, we get:

x = 2

Therefore, the solution to the system of equations is:

x = 2
y = 4
z = -1

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Let x represent the dollar amount spent on supermarket impulse buying in a 10-minute (unplanned) shopping interval. Based on a certain article, the mean of the x distribution is about $40 and the estimated standard deviation is about $6.(a) Consider a random sample of n = 40 customers, each of whom has 10 minutes of unplanned shopping time in a supermarket. From the central limit theorem, what can you say about the probability distribution of x, the average amount spent by these customers due to impulse buying? What are the mean and standard deviation of the x distribution?A.The sampling distribution of x is approximately normal with mean ?x = 40 and standard error ?x = $0.95.B.The sampling distribution of x is approximately normal with mean ?x = 40 and standard error ?x = $0.15.C.The sampling distribution of x is approximately normal with mean ?x = 40 and standard error ?x = $6.D.The sampling distribution of x is not normal.

Answers

The correct answer is A. The sampling distribution of x is approximately normal with mean µx = 40 and standard error σx = $0.95.

From the central limit theorem, we know that the sampling distribution of the sample mean (x) will be approximately normal, regardless of the underlying distribution of the population, as long as the sample size is large enough (n ≥ 30). In this case, n = 40, which is large enough, so we can assume that the sampling distribution of x will be approximately normal.

The mean of the sampling distribution of x will be the same as the mean of the population distribution, which is $40. The standard deviation of the sampling distribution of x (also known as the standard error) can be calculated as σ/√n, where σ is the standard deviation of the population distribution. In this case, σ = $6 and n = 40, so the standard error is $6/√40 ≈ $0.95.

Therefore, the correct answer is (A): The sampling distribution of x is approximately normal with mean x = 40 and standard error x = $0.95.

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H4: Find the Partial Differential Equations: Utt-Uxx = 0, U(X,0)= 1, Ut (x,0) = 0 . U (0,t)= U(Phi,t) = 0

Answers

The solution for U(x,t) is:

U(x,t) = Σ[infinity]n=1 sin(nπx/Φ) sin(nπt

To find the partial differential equation for the given problem, we can use the wave equation:

Utt - c^2Uxx = 0

where c is the wave speed. In this case, c^2 = 1 since the problem is given as Uttxx = Uxx. Therefore, we have:

Utt - Uxx = 0

with the initial conditions U(x,0) = 1 and Ut(x,0) = 0, and the boundary conditions U(0,t) = U(Φ,t) = 0.

This is a standard wave equation with homogeneous boundary conditions, and can be solved using separation of variables. We assume a solution of the form:

U(x,t) = X(x)T(t)

Substituting this into the PDE, we get:

X(x)T''(t) - X''(x)T(t) = 0

Dividing by XT and rearranging, we get:

T''(t)/T(t) = X''(x)/X(x)

Since the left-hand side depends only on t and the right-hand side depends only on x, both sides must be constant. Letting this constant be λ^2, we get:

T''(t)/T(t) = λ^2 = X''(x)/X(x)

Solving for X(x), we get:

X(x) = A sin(λx) + B cos(λx)

Applying the boundary conditions U(0,t) = U(Φ,t) = 0, we get:

X(0) = A sin(0) + B cos(0) = 0

X(Φ) = A sin(λΦ) + B cos(λΦ) = 0

Since sin(0) = 0 and sin(λΦ) = 0 (for nonzero λ), we have B = 0 and λΦ = nπ, where n is an integer. Therefore, λ = nπ/Φ, and the solution for X(x) is:

X(x) = A sin(nπx/Φ)

Substituting this back into the equation for T(t), we get:

T''(t)/T(t) = (nπ/Φ)^2

Solving for T(t), we get:

T(t) = C1 cos(nπt/Φ) + C2 sin(nπt/Φ)

The general solution for U(x,t) is then:

U(x,t) = Σ[infinity]n=1(A_n sin(nπx/Φ)) (C1_n cos(nπt/Φ) + C2_n sin(nπt/Φ))

Using the initial conditions U(x,0) = 1 and Ut(x,0) = 0, we get:

A_n = 2/Φ ∫[0]Φ U(x,0) sin(nπx/Φ) dx = 2/Φ ∫[0]Φ sin(nπx/Φ) dx = 2/Φ (Φ/2) = 1

C1_n = U_t(x,0) = 0

C2_n = 2/Φ ∫[0]Φ U(x,0) sin(nπx/Φ) dx = 2/Φ ∫[0]Φ sin(nπx/Φ) dx = 0

Therefore, the solution for U(x,t) is:

U(x,t) = Σ[infinity]n=1 sin(nπx/Φ) sin(nπt

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You may need to use the appropriate appendix table or technology to answer this question.
Given that z is a standard normal random variable, compute the following probabilities. (Round your answers to four decimal places.)
(a)
P(z ≤ −3.0)
(b)
P(z ≥ −3)
(c)
P(z ≥ −1.7)
(d)
P(−2.6 ≤ z)
(e)
P(−2 < z ≤ 0)

Answers

The area between -2 and 0 is 0.5000 - 0.0228 = 0.4772. Therefore, P(-2 < z ≤ 0) = 0.4772.

(a) To find P(z ≤ -3.0), we can use a standard normal distribution table or technology such as a calculator or statistical software. Looking at a standard normal distribution table, we find that the area to the left of -3.0 is 0.0013 (rounded to four decimal places). Therefore, P(z ≤ -3.0) = 0.0013.

(b) To find P(z ≥ -3), we can use the fact that the standard normal distribution is symmetric about its mean of 0. Therefore, P(z ≥ -3) is the same as the area to the right of 3, which we can find using a standard normal distribution table or technology. Looking at a table, we find that the area to the right of 3 is also 0.0013. Therefore, P(z ≥ -3) = 0.0013.

(c) To find P(z ≥ -1.7), we can use a standard normal distribution table or technology. Looking at a table, we find that the area to the left of -1.7 is 0.0446 (rounded to four decimal places). Therefore, the area to the right of -1.7 (which is the same as P(z ≥ -1.7)) is 1 - 0.0446 = 0.9554. Therefore, P(z ≥ -1.7) = 0.9554.

(d) To find P(-2.6 ≤ z), we can use a standard normal distribution table or technology. Looking at a table, we find that the area to the left of -2.6 is 0.0047 (rounded to four decimal places). Therefore, P(-2.6 ≤ z) is the same as the area to the right of -2.6, which is 1 - 0.0047 = 0.9953. Therefore, P(-2.6 ≤ z) = 0.9953.

(e) To find P(-2 < z ≤ 0), we can use the fact that the standard normal distribution is symmetric about its mean of 0. Therefore, we can find the area to the left of -2 and the area to the left of 0 and subtract them to find the area between -2 and 0. Looking at a standard normal distribution table, we find that the area to the left of -2 is 0.0228 (rounded to four decimal places), and the area to the left of 0 is 0.5000. Therefore, the area between -2 and 0 is 0.5000 - 0.0228 = 0.4772. Therefore, P(-2 < z ≤ 0) = 0.4772.

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The base of the pyramid is a rhombus with a side of 4.5 cm, and the largest diagonal is 5.4 cm. Calculate the area and volume of the pyramid if each side wall makes an angle of 45° with the plane of the base​

Answers

Answer:

To solve this problem, we can use the following formula:

Volume of a pyramid = (1/3) * base area * height

The first step is to calculate the height of the pyramid. Since each side wall makes an angle of 45° with the plane of the base, the height is equal to the length of the altitude of the rhombus. The altitude can be calculated using the Pythagorean theorem:

altitude = sqrt((diagonal/2)^2 - (side/2)^2)

= sqrt((5.4/2)^2 - (4.5/2)^2)

= 2.7 cm

The base area of the pyramid is equal to the area of the rhombus:

base area = (diagonal1 * diagonal2) / 2

= (4.5 * 4.5) / 2

= 10.125 cm^2

Now, we can calculate the volume of the pyramid:

Volume = (1/3) * base area * height

= (1/3) * 10.125 * 2.7

= 9.1125 cm^3

Therefore, the volume of the pyramid is 9.1125 cm^3.

To calculate the area of the pyramid, we need to find the area of each triangular face. Since the pyramid has four triangular faces, we can calculate the total area by multiplying the area of one face by 4. The area of one face can be calculated using the following formula:

area of a triangle = (1/2) * base * height

where base is equal to the length of one side of the rhombus, and height is equal to the height of the pyramid. Since the rhombus is a regular rhombus, all sides have the same length, which is equal to 4.5 cm. Thus, we have:

area of a triangle = (1/2) * 4.5 * 2.7

= 6.075 cm^2

Therefore, the total area of the pyramid is:

area = 4 * area of a triangle

= 4 * 6.075

= 24.3 cm^2

Hence, the area of the pyramid is 24.3 cm^2.

FACTORING PUZZLE
Use the digits 0-9 to fill in the squares. Each digit can be used only once.
x² - x -
x² - 1
X² +
Keira

1 = (x + 2)(x-
x +
-
= (x-2)(x -
x + 1
= (x +
x - 24 = (x-6)(x +
=
(x + 2)
Source: Public Schools of North Carolina Resources for Algebra

Answers

Using the digits 0-9, the puzzle becomes:

x² - x - 2 = (x + 2)(x - 1)x² - 1x + 1 = (x - 2)(x - 1)x² + 3x + 2 = (x + 1)(x + 2)x² - 18x - 24 = (x - 6)(x - 4)

How to solve the puzzle?

To solve this puzzle, use the factoring pattern (a-b)(a+b) = a² - b² for the second equation.

First, the first blank in equation 1 must be either 1 or 3, since the two factors must have a difference of 1. Therefore, the first blank in equation 1 must be 1, and the second blank must be 2.

Next, use the factoring pattern in equation 2 to get:

x² - 1x + 1 = (x - 2)(x - 1)

This means that the missing number in the second set of blanks is 1, since the two factors have a difference of 1.

In equation 3, the second blank must be -3, since the two factors must have a difference of 5. Therefore, the first blank must be -1.

Finally, in equation 4, the missing number in the second set of blanks must be -4, since the two factors must have a difference of 2. Therefore, the missing number in the first set of blanks is 18.

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You want to obtain a sample to estimate a population mean. Based on previous evidence, you believe the population standard deviation is approximately ?=33.9. You would like to be 99% confident that your esimate is within 4 of the true population mean. How large of a sample size is required?
n =

Answers

Rounding up, we need a sample size of n = 443 to be 99% confident that our estimate of the population mean is within 4 of the true population mean.

The formula to calculate the sample size needed to estimate a population mean with a specified margin of error is:

n = (z^2 * σ^2) / E^2

Where:

z = the z-score corresponding to the desired confidence level (in this case 99%, which gives z = 2.576)

σ = the population standard deviation

E = the desired margin of error

Plugging in the values given in the problem, we get:

n = (2.576^2 * 33.9^2) / 4^2

n = 442.74

Rounding up, we need a sample size of n = 443 to be 99% confident that our estimate of the population mean is within 4 of the true population mean.

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a study is testing the effectiveness of a new allergy medication. sixty people who reported they have allergies volunteered to be part of the study and were randomly assigned to one of two groups, as shown in the design web. which of the following accurately describes the benefit of comparison in the experiment shown in the design web? the level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect. the overall level of allergic symptoms can be used to determine if the new allergy medication had a significant effect. the level of allergic symptoms in the group who received the medication can be used to determine if the medication had a significant effect. the level of allergic symptoms in both groups cannot be compared to determine if the medication had a significant effect because one group only received a placebo.

Answers

The level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect.

In this experiment, the effectiveness of a new allergy medication is being tested. Sixty people with allergies were randomly assigned to two groups: the first group received the new medication, and the second group received a placebo.

By randomly assigning participants to the two groups, the researchers ensured that any observed differences between the groups could be attributed to the medication and not to some other factor.

After a certain period, the level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect. This is because the comparison of symptoms between the two groups allows the researchers to determine if the medication had a significant effect compared to the placebo.

Therefore, the benefit of comparison in this experiment is to determine the effectiveness of the new allergy medication.

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The level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect, accurately describes the benefit of comparison in the experiment. The correct answer is A.

The benefit of comparison in the experiment shown in the design web is that the level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect.

By randomly assigning participants to either the treatment group (who receive the new allergy medication) or the control group (who receive a placebo), researchers can compare the difference in allergic symptoms between the two groups.

If the treatment group experiences a significant reduction in symptoms compared to the control group, then it suggests that the new medication is effective in reducing allergy symptoms.

Therefore, the correct answer is "the level of allergic symptoms in both groups can be compared to see if the new medication had a significant effect." The correct answer is A.

Your question is incomplete but most probably your full question was attached below

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evaluate the triple integral. 8xyz dv, where t is the solid tetrahedron with vertices (0, 0, 0), (1, 0, 0), (1, 1, 0), and (1, 0, 1) t

Answers

To evaluate the triple integral of 8xyz dv over the tetrahedron T with vertices (0, 0, 0), (1, 0, 0), (1, 1, 0), and (1, 0, 1), we need to set up the proper bounds for the integral. We can set up the integral as follows:

∫∫∫_T 8xyz dz dy dx

First, find the equations of the planes that form the tetrahedron. The planes are:
1. x = 1 (constant plane)
2. z = 0 (xy-plane)
3. y = 1 - x (line in the xy-plane)
4. z = 1 - x (line in the xz-plane)

Now, set the bounds for the integral:

x: 0 to 1
y: 0 to 1 - x
z: 0 to 1 - x

So, the triple integral becomes:

∫(0 to 1) ∫(0 to 1-x) ∫(0 to 1-x) 8xyz dz dy dx

Evaluate the innermost integral:

∫(0 to 1) ∫(0 to 1-x) [4xyz(1-x)] dy dx

Now evaluate the second integral:

∫(0 to 1) [8x/3 * (1-x)^3] dx

Finally, evaluate the outermost integral:

[2/15 * (1-x)^5] evaluated from 0 to 1

Plugging in x = 1 gives 0, and plugging in x = 0 gives 2/15.

Therefore, the value of the triple integral is 2/15.

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Kaizen is a Japanese word that means continuous development. It says that each day we should focus on getting 1% better on whatever we're trying to improve.
How much better do you think we can get in a year if we start following Kaizen today?
Note: You can take the value of
(1.01)^365 as 37.78.

Answers

If we follow Kaizen's principle and improve by 1% each day, we can get approximately 37.78 times better in a year.

If we follow Kaizen's principle of improving by 1% each day, we can calculate how much better we will get in a year by using the formula:

Final Value = Initial Value x (1 + Daily Improvement Percentage)^Number of Days

Since we are trying to calculate how much better we can get in a year, we can plug in the following values:

Initial Value = 1 (assuming we are starting from our current level of performance)

Daily Improvement Percentage = 0.01 (since we are trying to improve by 1% each day)

Number of Days = 365 (since there are 365 days in a year)

Using these values, we get:

Final Value = 1 x (1 + 0.01)³⁶⁵

Final Value ≈ 1 x 37.78

Final Value ≈ 37.78

This shows the power of continuous improvement and the importance of consistent effort towards our goals.

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The numbers of attendees at the carnival over the last 15 days are 50, 200, 175, 125, 75, 100, 150, 225, 250, 100, 125, 75, 25, 225, and 175. identify the box-and-whisker plot for the data.

Answers

Answer:

Its the first one

Step-by-step explanation:

correct answer

a hospital cafeteria offers a fixed-price lunch consisting of a main course, a dessert, and a drink. if there are four main courses, three desserts, and six drinks to pick from, in how many ways can a customer select a meal consisting of one choice from each category?

Answers

There are 72 ways a customer can select a meal consisting of one choice from each category

This is an example of the multiplication principle of counting. The multiplication principle states that if there are m ways to do one thing, and n ways to do another thing after the first thing is done, then there are m x n ways to do both things together.

In this problem, there are 4 main courses to choose from, 3 desserts to choose from, and 6 drinks to choose from. Using the multiplication principle, we can find the total number of ways to select a meal by multiplying the number of choices for each category:

Total number of ways = 4 x 3 x 6 = 72

Therefore, there are 72 ways to select a meal consisting of one choice from each category.

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Can we use objective function for tableted data for (x and y) to
find the minimum value of y? if yes please give an example.

Answers

Yes, you can use an objective function for tabulated data (x and y) to find the minimum value of y. Here's an example:

Step 1: Obtain the tabulated data. Let's consider the following data points:

x: 1, 2, 3, 4, 5
y: 3, 1, 4, 2, 5

Step 2: Define an objective function, such as the least squares method, which minimizes the difference between the observed values and the values predicted by a model. In this case, let's use a simple linear model: y = mx + b, where m is the slope and b is the y-intercept.

Step 3: Compute the error between the observed values and the predicted values using the model for each data point, and then square and sum these errors. The objective function will be:

E(m, b) = Σ[(y_observed - (mx + b))^2]

Step 4: Use an optimization algorithm, like gradient descent, to find the optimal values of m and b that minimize the objective function E(m, b).

Step 5: Once you have found the optimal m and b, you can use the linear model to predict y values for any given x value. To find the minimum value of y in the observed data, simply identify the smallest y value in the dataset.

In this example, the minimum value of y is 1, which corresponds to x = 2.

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Use the equation x 2 −7x+6 = 0 to answer all of the following questions.

Answers

Answer:

Part A: -6 and -1

Part B: (x - 6)(x - 1) = 0

Part C: x = 6 and x = 1

Step-by-step explanation:

    We need to find two numbers that add up -7 and multiply to 6.

    We know that 6 * 1 = 6, but 6 + 1 is not -7. However, -6 * -1 = 6 and -6 + -1 = -7. Our factors are -6 and -1.

    Next, we will rewrite this in factored form. Using the factors above, the form is as follows.

(x - 6)(x - 1) = 0

    Lastly, we will use the zero product property to solve. This states that if xy = 0, then x = 0 and y = 0 because anything times zero is equal to zero.

x - 6 = 0       x - 1 = 0

x = 6             x = 1

On August 8,2012, the national average price for a gallon of regular unleaded gasoline was $3.63. The prices for a random sample of n = 10 gas stations in the state of Illinois were recorded at that time. The mean price for the sampled gas stations was $3.975, with standard deviation $0.2266.
a) Is it reasonable to use the t-distribution to perform a test about the average gas price in Illinois (on August 8, 2012)?
b) Test, at the 5% level, if there is evidence that the average gas price in Illinois (on August 8, 2012) was significiantly higher than the national average. Include all of the details of the test.
c) Construct a 95% confidence interval for the mean gas price in Illinois ( on August 8,2012). Round your margin of error to three decimal places.

Answers

a) Yes, it is reasonable to use t-distribution to perform a test about average gas price. (b) There is evidence that average gas price on August 8, 2012 was higher than national average at 5% significance level. (c) 95% confidence interval lies between $3.813 and $4.137.

a) Yes, it is reasonable to use the t-distribution to perform a test about the average gas price since the sample size n = 10 is small and the population standard deviation is unknown.

b) To test for the evidence, we can perform a one-sample t-test.

t = (sample mean - hypothesized mean) / (sample standard deviation / sqrt(sample size))

t = (3.975 - 3.63) / (0.2266 / sqrt(10))

t = 2.728

Using a t-table the critical t-value is 1.833 which is less than calculated t-value (2.728) ), therefore, we reject the null hypothesis and conclude that there is evidence that the average gas price was significantly higher than the national average at the 5% significance level.

c) The standard error can be calculated as:

standard error = sample standard deviation / sqrt(sample size)

standard error = 0.2266 / sqrt(10)

standard error = 0.0717

Using a t-table, the t-value is 2.262. Therefore, the 95% confidence interval is:

(sample mean) ± (t-value * standard error)

3.975 ± (2.262 * 0.0717)

3.975 ± 0.162

(3.813, 4.137)

So we can be 95% confident that the true mean gas price in Illinois on August 8, 2012 lies between $3.813 and $4.137.

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Line m has a slope of -5/8 line and has a slope over 8/5 are line m and line n parallel

Answers

No, line m and line n are not parallel.

We have,

Two lines are parallel if and only if they have the same slope.

The slope of a line is a measure of how steep the line is, and it is given by the ratio of the change in the y-coordinate to the change in the x-coordinate as we move along the line.

The slopes of two parallel lines are equal, so if line m has a slope of -5/8, any parallel line would also have a slope of -5/8.

However, line n has a slope of 8/5, which is not equal to -5/8.

Therefore,

Line m and line n cannot be parallel.

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11) Melody is inviting her classmates to her birthday party and hopes to give each guest a gift bag containing some stickers, candy bars and tangerines. She has 18 stickers, 27 candy bars and 45 tangerines. What is the largest number of gift bags she can make it each bag is filled in the same way and all the stickers, candy bars, and tangerines are used?

Answers

Melody can make 9 gift bags, each containing 2 stickers, 3 candy bars, and 5 tangerines. This uses up all of the stickers, candy bars, and tangerines she has, and each gift bag is filled in the same way.

To find the largest number of gift bags Melody can make, we need to find the greatest common factor of 18, 27, and 45.

First, we can simplify each number by finding its prime factorization:

18 = 2 x 3 x 3
27 = 3 x 3 x 3
45 = 3 x 3 x 5

Next, we can identify the common factors:

- Both 18 and 27 have two factors of 3 in common
- 27 and 45 have one factor of 3 in common

The greatest common factor is the product of these common factors, which is 3 x 3 = 9.

Therefore, Melody can make 9 gift bags, each containing 2 stickers, 3 candy bars, and 5 tangerines. This uses up all of the stickers, candy bars, and tangerines she has, and each gift bag is filled in the same way.

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