The amount in the account after 12 years is approximately $466,197.. The amount of interest earned over 12 years is approximately $139,725.
We can use the formula for the future value of an annuity to calculate the amount in the account after 12 years:
FV = PMT * ((1 + r/12)^n - 1) / (r/12)
where PMT is the monthly deposit, r is the annual interest rate (as a decimal), n is the total number of payments, and FV is the future value of the annuity.
In this case, we have:
PMT = $2,449
r = 0.048
n = 12 * 12 = 144
Plugging these values into the formula, we get:
FV = $2,449 * ((1 + 0.048/12)^144 - 1) / (0.048/12)
FV ≈ $466,197
Therefore, the amount in the account after 12 years is approximately $466,197.
To calculate the amount of interest earned, we can subtract the total amount of deposits over 12 years from the total amount in the account:
Interest = FV - (PMT * n)
Interest = $466,197 - ($2,449 * 144)
Interest ≈ $139,725
Therefore, the amount of interest earned over 12 years is approximately $139,725.
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On a December day, the probability of snow is .30. The probability of a "cold" day is .50. The probability of snow and a "cold" day is .15. Are snow and "cold" weather independent events?
a. no
b. yes
c. only if given that it snowed
d. only when they are also mutually exclusive
Yes, snow and "cold" weather are independent events. The probability of snow and a "cold" day is 15.
Based on the given probabilities, we can determine if snow and "cold" weather are independent events. Independent events occur when the probability of both events happening together is equal to the product of their individual probabilities.
P(snow) = 0.30
P(cold) = 0.50
P(snow and cold) = 0.15
If snow and cold are independent, then P(snow and cold) = P(snow) * P(cold).
0.15 = 0.30 * 0.50
0.15 = 0.15
Since both sides of the equation are equal, snow and "cold" weather are independent events.
Your answer: b. yes
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Suppose a sales manager wants to compare different sales promotions. He chooses 5 different promotions and samples 10 random stores for each different promotion. The F value is 3. 4. Using JMP, find the correct p-value
The p-value for a sample of different sales promotions with 5 different promotions and 10 samples with all 5 is equals to the 0.1060.
Suppose that the sales manager wants to compare different sales promotions. Here, number of different promotion choosen by him = 5
Number of random sample of each different promotion= 10
The F value = 3.4
We have to determine the p-value by using JMP. Now, n = 10, k = 5 so, degree of freedom = n - k= 5
Computing the p value using approximate method, [tex]P-value = P( F_{k - 1, n-k} > 3.4 ) [/tex]
[tex]= P( F_{4, 5}> 3.4 ) [/tex]
Using Excel command, value of F is calculated, = F.dist.RT( 3.4,4,5)
= 0.105954
Hence, required value is 0.1060.
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mateo needs to rent a car for one day. he can rent a subaru from starry car rental for $31.19 per day plus 47 cents per mile. he can get the same car from ocean car rental for $48.57 per day plus 36 cents per mile. how much will he pay when starry and ocean will cost the same? this is a money amount so round the answer to the nearest cent.
Mateo will pay $56.32 when Starry and Ocean car rentals will cost the same.
Let's start by defining the cost functions for both car rentals. For Starry car rental, the cost function can be expressed as C1 = 31.19 + 0.47m, where m is the number of miles driven. For Ocean car rental, the cost function can be expressed as C2 = 48.57 + 0.36m.
We want to find the point where C1 = C2, so we can set the two cost functions equal to each other and solve for m:
31.19 + 0.47m = 48.57 + 0.36m
0.11m = 17.38
m = 158
So when Mateo drives 158 miles, the cost of renting from Starry car rental and Ocean car rental will be the same. We can then substitute m = 158 into either cost function to find the cost:
C1 = 31.19 + 0.47(158) = $107.33
C2 = 48.57 + 0.36(158) = $107.33
Therefore, Mateo will pay $107.33 to rent from either car rental when he drives 158 miles. However, we need to find the cost for just one day of rental. To do this, we can subtract the fixed daily cost from each cost function:
C1 = 31.19(1) + 0.47(158) = $105.33
C2 = 48.57(1) + 0.36(158) = $105.33
So, when Mateo rents a car for one day and drives 158 miles, he will pay $105.33 from either car rental. However, this is not the final answer as we need to find the cost when both car rentals will cost the same. To do this, we can substitute m = 158 into either cost function and round the result to the nearest cent:
C1 = 31.19(1) + 0.47(158) = $105.33
C2 = 48.57(1) + 0.36(158) = $105.33
Therefore, Mateo will pay $56.32 when Starry and Ocean car rentals will cost the same.
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You go shopping and see the belt you need to match your new pants. The price of the belt is $17. But, the clerk says you owe $18.02 for your purchase. Why is the price higher? Some states charge sales tax.
Sales tax is a percent of the cost of an item. You add sales tax to the price of an item to find the total cost.
Example: The price of a book is $9.50. The sales tax rate is 6%. What is the total cost of the book?
Step 1: Change the percent to a decimal.
6% = 0.06
Step 2: Multiply the cost of the book by the decimal. This gives you the amount of sales tax.
$9.50 x 0.06 = $0.57
Step 3: Add the sales tax to the cost of the book.
$9.50 + $0.57 = $10.07
An item costs $130. The sales tax rate is 8%. What is the amount of sales tax?
I came up with $140.4?
Answer:
the answer is indeed $140.40
Find m∠D and m∠C in rhombus BCDE.
In the rhombus, m<D is 16^o and m<C is 164^o.
What is a rhombus?A rhombus is a quadrilateral which has equal length of sides, but stands on one of its edges. One of its major properties is that the measure of opposite internal angles are congruent.
The sum of the internal angles of a rhombus gives 360^o.
So that in the given diagram, we can deduce that;
y + y + (4y + 100) + (4y + 100) = 360^o
2y + 8y + 200 = 360
10y = 360 - 200
= 160
y = 160/ 10
= 16
y = 16^o
So that;
(4y + 100) = 4*16 + 100
= 64 + 100
= 164^o
Therefore, m<D is 16^o and m<C is 164^o.
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Find the gradient of a line perpendicular to the longest side of the triangle formed by A(-3,4),B(5,2) and C(0,-3)
Find the gradient of a line perpendicular to the longest side of the triangle formed by A(-3,4),B(5,2) and C(0,-3)
8 pounds is the same as how many kilograms?
Answer:
3.6 kilograms
Step-by-step explanation:
divide the mass value by 2.205
Match each function to its inverse.
A. y= 4x-7
B. y= 7x
C. y= 7x-4
D. y= x-4.
E. y= x+4.
F. y= x-4/7
_________
1. x= y/7
2. x= y+4
3. x= 7y+4
4. x= y+4/7
5. x= y+7/4
6. x= y-4
A. y = 4x-7, the inverse function is, x = (y + 7)/4
B. y = 7x, the inverse function is, x = y/7
C. y = 7x-4, the inverse function is, x = (y + 4)/7
D. y = x-4, the inverse function is, x = y + 4
E. y = x+4, the inverse function is, x = y - 4
F. y = x-4/7, the inverse function is, x = 7y + 4
What is the inverse of the functions?The inverse of each of the functions is calculated as follows;
y = 4x - 7
x = 4y - 7
4y = x + 7
y = (x + 7)/4
⇒ x = (y + 7)/4
Second function;
y = 7x
x = 7y
y = x/7
⇒ x = y/7
Third function;
y = 7x - 4
x = 7y - 4
7y = x + 4
y = (x + 4)/7
⇒ x = (y + 4)/7
Fourth function;
y = x - 4
x = y - 4
y = x + 4
⇒ x = y + 4
Fifth function;
y = x + 4
x = y + 4
y = x - 4
⇒ x = y - 4
Sixth function;
y = (x - 4)/7
x = (y - 4)/7
7x = y - 4
y = 7x + 4
⇒ x = 7y + 4
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In addition to the regression line, the report on the Mumbai measurements says that r2 =0.95. This suggests that
a. although arm span and height are correlated, arm span does not predict height very accurately.
b. height increases by 0.95=0.97 cm for each additional centimeter of arm span.
c. 95% of the relationship between height and arm span is accounted for by the regression line.
d. 95% of the variation in height is accounted for by the regression line with x = arm span. e. 95% of the height measurements are accounted for by the regression line with x = arm span.
In addition to the regression line, the report on the Mumbai measurements says that r2 =0.95. This suggests that: d. 95% of the variation in height is accounted for by the regression line with x = arm span.
The correct answer is d. 95% of the variation in height is accounted for by the regression line with x = arm span. The coefficient of determination (r-squared) measures the proportion of variation in the dependent variable (height) that is explained by the independent variable (arm span) through the regression line. An r-squared value of 0.95 suggests that the regression line is a good fit for the data and that 95% of the variation in height can be explained by arm span. This means that arm span is a strong predictor of height in the Mumbai measurements.
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Question 1: Binomial distribution We are testing the landing performance of a new automated drone. The drone lands on the targeted area 80% of the time. We test the drone 12 times. Let X be the number of landings out of the targeted are.
a. Explain why the X is a binomial random variable and provide its characteristics.
b. What is the probability that the drone will land out of the targeted area exactly 4 times?
c. What is the probability that the drone will land out of the targeted area at most 4 times?
d. What is the expected value of X?
e. Explain the meaning of the expected value in the context of the story
f. What is the variance of X?
g. Given that drone missed the landing targeted area at most 4 times, what is the probability that it missed the target at most 2 times?
h. Given that drone missed the landing targeted area at most 4 times, what is the probability that it missed the target at least 2 times?
i. What is probability that X is within three standard deviations of the mean
a) The probability that X is within three standard deviations of the mean is approximately 1.
b) the probability that the drone will land out of the targeted area exactly 4 times is 0.00052.
c) The probability that the drone will land out of the targeted area at most 4 times is 0.1029
d) The expected value of X is 9.6.
e) The meaning of the expected value in the context of the story is average landing performance of the drone based on the given probability of success.
f) The variance of X is 0.7319.
g) The probability that it missed the target at most 2 times is 3.121.
h) The probability that it missed the target at least 2 times is 0.7319.
I) The probability that X is within three standard deviations of the mean is 1.3856.
The Binomial Distribution:The binomial distribution is a discrete probability distribution that describes the number of successes in a fixed number of independent trials with a constant probability of success.
The characteristics of a binomial random variable include the number of trials (n), the probability of success (p), the number of successes (x), and the mean and variance of the distribution.
Here we have
Binomial distribution We are testing the landing performance of a new automated drone. The drone lands on the targeted area 80% of the time. We test the drone 12 times.
a. X is a binomial random variable because we have a fixed number of independent trials and each landing has only two possible outcomes (landing on the targeted area or landing outside of it) with a constant probability of success (0.8).
The characteristics of the binomial distribution are:
The number of trials is fixed (n=12)
Each trial has only two possible outcomes (success or failure)
The probability of success (p) is constant for each trial
The trials are independent of each other
b. P(X = 4) = (12 choose 4) × (0.8)⁴ × (0.2)⁸ = 0.00052
c. P(X< = 4) = P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3) + P(X = 4)
= 0.0687 + 0.2060 + 0.3020 + 0.2670 + 0.1854 = 0.1029
d. E(X) = np = 120.8 = 9.6
e. The expected value of X represents the average number of successful landings (in the targeted area) we would expect to see in a sample of 12 landings.
In the context of the story, it tells us the average landing performance of the drone based on the given probability of success.
f. Var(X) = np(1-p) = 120.80.2 = 1.92
g. P(X<=2 | X<=4) = P(X<=2)/P(X<=4)
= (P(X=0) + P(X=1) + P(X=2))/(P(X=0) + P(X=1) + P(X=2) + P(X=3) + P(X=4))
= 0.3217/0.1029 = 3.121
h. P(X>=2 | X<=4) = 1 - P(X<2 | X<=4) = 1 - P(X<=1 | X<=4) = 1 - (P(X=0) + P(X=1))/(P(X=0) + P(X=1) + P(X=2) + P(X=3) + P(X=4)) = 1 - 0.2747/0.1029 = 0.7319
i. The standard deviation of a binomial distribution is √(np(1-p)). So, the standard deviation of X is √(120.80.2) = 1.3856. Three standard deviations above and below the mean would be 3*1.3856 = 4.1568.
Therefore,
The probability that X is within three standard deviations of the mean is approximately 1.
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Carl throws a single die twice in a row. For the first throw, Carl rolled a 2; for the second throw he rolled a 4. What is the probability of rolling a 2 and then a 4? Answer choices are in the form of a percentage, rounded to the nearest whole number.
A. 22%
B. 36%
C. 3%
D. 33%
The probability of rolling a 2 on a single die is 1/6, and the probability of rolling a 4 is also 1/6. To find the probability of both events occurring in sequence, you multiply their individual probabilities: (1/6) * (1/6) = 1/36, which is approximately 2.78%, rounded to the nearest whole number is 3%.
The probability of rolling a 2 on the first throw is 1/6 (since there are six equally likely outcomes when rolling a die). The probability of rolling a 4 on the second throw is also 1/6. To find the probability of rolling both a 2 and a 4, we multiply these probabilities: (1/6) x (1/6) = 1/36.
To convert this to a percentage and round to the nearest whole number, we multiply by 100 and round: 1/36 x 100 = 2.78, which rounds to 3%.
Therefore, the answer is C. 3%.
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Sound City sells the ClearTone-400 satellite car radio. For this radio, historical sales records over the last 100 weeks show 5 weeks with no radios sold, 17 weeks with one radio sold, 17 weeks with two radios sold, 49 weeks with three radios sold, 9 weeks with four radios sold, and 3 weeks with five radios sold. Calculate μx, σx2, and σx, of x, the number of ClearTone-400 radios sold at Sound City during a week using the estimated probability distribution. (Round your answers to 2 decimal places.)
µx
σx2,
σx
The mean is 2.48, the variance is 1.5844, and the standard deviation is 1.26.
To calculate the mean, variance, and standard deviation, we need to first construct a probability distribution table:
where f(x) is the frequency of weeks with x radios sold divided by the total number of weeks (100).
Using this table, we can calculate the mean as:
μx = ∑(x * f(x)) = (00.05) + (10.17) + (20.17) + (30.49) + (40.09) + (50.03) = 2.48
To calculate the variance, we use the formula:
σx2 = ∑((x - μx)2 * f(x)) = (0-2.48)2 * 0.05 + (1-2.48)2 * 0.17 + (2-2.48)2 * 0.17 + (3-2.48)2 * 0.49 + (4-2.48)2 * 0.09 + (5-2.48)2 * 0.03 = 1.5844
Finally, we can calculate the standard deviation as:
σx = √σx2 = √1.5844 = 1.26
Therefore, the mean is 2.48, the variance is 1.5844, and the standard deviation is 1.26.
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A manufacturer knows that their items have a normally distributed length, with a mean of 5.5 inches, and standard deviation of 1.4 inches. If 11 items are chosen at random, what is the probability that their mean length is less than 13.4 inches?
The mean of the sampling distribution of the sample means is equal to the population mean, which is 5.5 inches. The standard deviation of the sampling distribution of the sample means is equal to the population standard deviation divided by the square root of the sample size.
So, for a sample size of 11, the standard deviation of the sampling distribution is:
standard deviation = 1.4 / sqrt(11) = 0.42 inches
To find the probability that the mean length of the 11 items is less than 13.4 inches, we need to standardize this value using the formula:
z = (x - mu) / (sigma / sqrt(n))
where:
x = 13.4 (the mean length we're interested in)
mu = 5.5 (the population mean)
sigma = 1.4 (the population standard deviation)
n = 11 (the sample size)
Substituting the values, we get:
z = (13.4 - 5.5) / (1.4 / sqrt(11)) = 14.31
Using a standard normal distribution table, we can find that the probability of getting a z-score of 14.31 or more is practically zero.
Therefore, the probability that the mean length of the 11 items is less than 13.4 inches is practically 1 or 100%.
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Help will mark brainiest
The graph is attached.
Given is a triangle ABC, we need to find its coordinates if it is reflected over y = -x,
The rule of reflection over y = -x is,
(x, y) = (-x, -y)
So,
A = (-5, -4)
B = (1, -4)
C = (-1, -5)
After reflection,
A' = (5, 4)
B' = (-1, 4)
C' = (1, 5)
Hence the points after reflection are A' = (5, 4), B' = (-1, 4) and C' = (1, 5)
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The table shows the balance of Rob’s checking account at the end of the day. This is $95. 50 less than the amount he had at the beginning of the day.
What was the amount he had at the begining of the day
Answer:
The question was not complete I can't help until it is
Step-by-step explanation:
help this question ,please show step by step。thank you9. Express the following without logs log K = log P-logT +1.3 log V a.
The equation without logs is: K = (P/T) * V^1.
The given equation is: log K = log P - log T + 1.3 log V
To express this without logs, we can use the logarithmic properties to simplify the equation step by step.
Use the properties of logarithms to combine the logs on the right side:
log K = log(P/T) + log(V^1.3)
Combine the logs on the right side using the product rule of logarithms (log a + log b = log ab):
log K = log((P/T) * V^1.3)
Remove the logs by using the property of exponentiation (if log x = y, then x = 10^y):
K = (P/T) * V^1.3
So, the equation without logs is:
K = (P/T) * V^1.3
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SKIP (2)
First try was incorrect
What is the value of x? Your answer may be exact or rounded to the
nearest tenth.
-3x
96"
31"
Sorry about the blurry pic
Answer:
Exact answer (x = -127/3) or Rounded answer (x = -42.3)
Step-by-step explanation:
First, we will need to find the measure of the third angle in the triangle, which we can call angle y:
The sum of all the angles in a triangle is always 180, so we can find the measure of angle y by subtracting the sum of the two angles we know from 180:
[tex]y+96+31=180\\y+127=180\\y=53[/tex]
Angle y and the angle measuring -3x° are supplementary angles, which means the sum of these two angles is 180°.
We know that they're supplementary because of the straight line that separates them, because straight lines create straight angles which are 180°
Thus, we can find the value of x by making the sum of the -3x° angle and the 53° angle equal to 180° and solve for x:
[tex]-3x+53=180\\-3x=127\\x=-43.333333=-43.3\\x=-127/3[/tex]
-127/3 is the exact answer, while -43.3 is the rounded answer. Feel free to use any of the two.
two points are selected randomly on a line of length 18 so as to be on opposite sides of the midpoint of the line. in other words, the two points x and y are independent random variables such that x is uniformly distributed over [0,9) and y is uniformly distributed over (9,18] . find the probability that the distance between the two points is greater than 7 . answer:
The probability that the distance between the two randomly selected points on a line of length 18, which are on opposite sides of the midpoint, is greater than 7 is 1/3.
Let the midpoint of the line be M. Since x is uniformly distributed over [0,9) and y is uniformly distributed over (9,18], the probability of selecting any point in [0,9) is 1/2 and the probability of selecting any point in (9,18] is also 1/2.
Let A be the event that the distance between x and M is less than or equal to 7, and let B be the event that the distance between y and M is less than or equal to 7.
Therefore, the probability of A is the ratio of the length of [0,9) and the length of the entire line, which is 9/18 or 1/2. Similarly, the probability of B is also 1/2.
Now, the probability that the distance between the two points is greater than 7 is the complement of the probability that either A or B occurs, which is 1 - P(A or B).
Using the formula for the probability of the union of two events, we have P(A or B) = P(A) + P(B) - P(A and B).
Since A and B are independent events, P(A and B) = P(A) * P(B) = 1/4.
Therefore, P(A or B) = 1/2 + 1/2 - 1/4 = 3/4.
Finally, the probability that the distance between the two points is greater than 7 is 1 - 3/4 = 1/4 or 0.25, which is equivalent to 1/3 when expressed as a fraction in the simplified form.
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100 POINTS PLEASE ANSWER
The academic vocabulary word for the week is inequality. Choose each of the following that represents an inequality.
Responses
x ≥ 7x ≥ 7,
9 + 6 = 159 + 6 = 15,
|8|+ |8| = 16|8|+ |8| = 16,
5 + 6 ≠15
Answer:
A, x ≥ 7x ≥ 7
D, 5 + 6 ≠ 15
Step-by-step explanation:
An inequality statement includes one or more of one of the following symbols: <, ≤, >, ≥, ≠
So we can see that options A and D include the signs "greater than or equal to" symbols and D includes a "not equal to" symbol.
Hope this helps! :)
A company is going to have a dinner party in a restaurant for its top employees. The
restaurant is going to charge them $280 for the use of their function room, plus $40
per dinner. The company has a budget of no more than $1500. What is the greatest
number of people they can invite to this dinner?
9.30.5 people
Answer:
Let's assume that the company invites x people to the dinner party.
The cost of the function room is a fixed cost of $280.
The cost of dinner is $40 per person. Therefore, the total cost of dinner for x people is 40x.
The total cost of the dinner party is the sum of the cost of the function room and the cost of dinner:
Total cost = 280 + 40x
The problem states that the company has a budget of no more than $1500. Therefore, we can write:
280 + 40x ≤ 1500
Subtracting 280 from both sides gives:
40x ≤ 1220
Dividing both sides by 40 gives:
x ≤ 30.5
Since we cannot invite a fraction of a person, the company can invite at most 30 people to the dinner party.
Therefore, the greatest number of people they can invite to the dinner is 30.
Step-by-step explanation:
Maximize 3x + 4y + 3z on the sphere x² + y2 + z2 = 16. A) There is no maximum. B) The maximum is -434 c) 2034 The maximum is – 17
Using Lagrange multipliers, The maximum value of f(x, y, z) subject to the constraint x² + y² + z² = 16 is 17√2, which is approximately 24.04. Option C is the correct answer.
To solve this problem, we will use Lagrange multipliers. We want to maximize the function f(x, y, z) = 3x + 4y + 3z subject to the constraint g(x, y, z) = x² + y² + z² = 16. We can write the Lagrangian as:
L(x, y, z, λ) = f(x, y, z) - λ(g(x, y, z) - 16)
= 3x + 4y + 3z - λ(x² + y² + z² - 16)
We need to find the values of x, y, z, and λ that satisfy the following equations:
∂L/∂x = 3 - 2λx = 0
∂L/∂y = 4 - 2λy = 0
∂L/∂z = 3 - 2λz = 0
∂L/∂λ = x² + y² + z² - 16 = 0
From the first three equations, we can solve for x, y, and z in terms of λ:
x = 3/2λ
y = 2/λ
z = 3/2λ
Substituting these values into the equation x² + y² + z² = 16, we get:
(3/2λ)² + (2/λ)² + (3/2λ)² = 16
Solving for λ, we get:
λ = ±2
Substituting these values into the equations for x, y, and z, we get the following critical points:
(2√2, √2, 2√2)
(-2√2, -√2, -2√2)
We need to evaluate the function f(x, y, z) = 3x + 4y + 3z at these critical points to determine which one gives the maximum value. We get:
f(2√2, √2, 2√2) = 3(2√2) + 4(√2) + 3(2√2) = 17√2
f(-2√2, -√2, -2√2) = 3(-2√2) + 4(-√2) + 3(-2√2) = -17√2
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Complete the table below to create a different dot plot with the same mean as the dot plot on the top. Practice 7.8.09
The evaluation of the dot plots on the top indicates that the mean is 7.5
The table to create a different dot plot with the same mean as the dot plot on top is therefore;
Value [tex]{}[/tex] Frequency
4 [tex]{}[/tex] 2
6 [tex]{}[/tex] 3
8 [tex]{}[/tex] 3
10 [tex]{}[/tex] 4
What is a dot plot?A dot plot is a data visualization method which consists of datapoints located above a number line, such that the number of dots at a datapoint represents the data value.
The mean of the dot plot can be found as follows;
Mean = (3 + 2 × 5 + 4 × 7 + 3 × 9 + 2 × 11)/(1 + 2 + 4 + 3 + 2) = 7.5
Therefore, the sum of the values = (3 + 2 × 5 + 4 × 7 + 3 × 9 + 2 × 11) = 90
The number of dots = (1 + 2 + 4 + 3 + 2) = 12
The required dot plot should therefore, have 12 dots
A possible combination of 12 dots that have a mean of 12 is therefore;
(2 × 4 + 3 × 6 + 3 × 8 + 4 × 10)/(2 + 3 + 3 + 4)
Therefore, one possible dot plot consists of 2 dots at 4, 3 dots at 6, 3 dots at 8, and 4 dots at 10 can be presented as follows;
[tex]{}[/tex] o
[tex]{}[/tex] o o o
o[tex]{}[/tex] o o o
[tex]{}[/tex][tex]{}[/tex] o o o o
-|----|--------|--------|--------|--------|--------|-
[tex]{}[/tex] 1 2 4 6 8 10
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consider the function write a partial sum for the power series which represents this function consisting of the first 5 nonzero terms. for example, if the series were , you would write . also indicate the radius of convergence. partial sum:
To answer your question, I'll first explain what a power series is. A power series is a series of the form:
f(x) = a0 + a1(x-c) + a2(x-c)^2 + a3(x-c)^3 + ...
where a0, a1, a2, a3, ... are constants, c is a fixed number (the center of the series), and x is a variable. The terms of the series involve powers of the quantity (x-c), with each term multiplied by a constant.
Now, let's consider the function f(x) = 1/(1+x). This function can be represented by the power series:
1/(1+x) = 1 - x + x^2 - x^3 + ...
This series has a center of c = 0, and a0 = 1, a1 = -1, a2 = 1, a3 = -1, and so on. To write a partial sum consisting of the first 5 nonzero terms, we simply add up the first five terms:
1 - x + x^2 - x^3 + x^4
This is the partial sum we're looking for. The radius of convergence of this series is the distance from the center (c = 0) to the nearest point where the series diverges. In this case, the series converges for all x such that |x-c| < 1, so the radius of convergence is 1.
I hope this helps! Let me know if you have any other questions.
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Lester bought 6.3 pounds of bologna at the deli. Renee bought 2.1 pounds of bologna.how much times more bologna did Lester buy than Renee
Answer:
4.2
Step-by-step explanation:
6.3 - 2.1 = 4.2
Which of the following describes the solution to this system of equations?
The solution to this system of equations is dependent.
Understanding Dependent matrixDependent matrix is a matrix where one or more rows can be expressed as a linear combination of the other rows. This means that the rows are not linearly independent, and there is redundancy in the information they provide.
A dependent matrix has less than full rank, which means that the rank of the matrix is less than the number of rows or columns. In a dependent matrix, one or more variables can be expressed in terms of the other variables, and the system of equations represented by the matrix has infinitely many solutions.
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Drag the tiles to fill in the values
The data values that complete the the table of values are 15, 16 and 17
Filling the values that complete the the table of valuesFrom the question, we have the following parameters that can be used in our computation:
The histogram
From the histogram, we can see that
Range of the dataset is 10 to 20
This means that we can complete the table of values with any data value within this range
Examples of the data values to use are 15, 16 and 17 (we can use other values too, and the values do not need to be sequential)
Hence, the data values that complete the the table of values are 15, 16 and 17
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Quantitive Reasoning-
Q4.[8points] The cost of your electricity bill for the last five months are as follows: $54, $36, $80, $65, and $44
a. Find the median cost of electricity.
b. Find the mean cost of electricity.
The middle value and is not affected by outliers, while the mean represents the average and can be influenced by outliers.
a. To find the median cost of electricity, we need to arrange the bills in order from lowest to highest:
36, 44,54, 65, 80
The median is the middle value, which in this case is 54.
b. To find the mean cost of electricity, we need to add up all the bills and divide by the total number of bills:
(54 + 36 + 80 + 65 + 44) / 5 = 55.80
So the mean cost of electricity is 55.80.
that the median and mean can give different perspectives on the data. The median represents the middle value and is not affected by outliers, while the mean represents the average and can be influenced by outliers.
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1
Find the measure of side c.
29
o
c
a = 19 m
Question content area bottom
Part 1
c = enter your response here m (Round the answer to the nearest whole number.)
The measure of the side c is 41 meters
How to determine the valueIt is important to note that the different trigonometric identities are listed thus;
tangentcosinesinecotangentsecantcosecantFrom the information given, we have the sides;
angle, θ = 28 degrees
The opposite angles = 19m
Hypotenuse side = c
Using the sine identity, we have;
Substitute the values
sin 28 = 19/c
cross multiply, we get;
c = 19/sin 28
find the value and substitute
c = 19/0.4695
divide the values
c = 41 meters
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Lourdes Corporation's 13% coupon rate, semiannual payment, $1,000 par value bonds, which mature in 20 years, are callable 5 years from today at $1,075. they sell at a price of $1,327.36, and the yield curve is flat. assume that interest rates are expected to remain at their current level.a) What is the best estimate of these bonds' remaining life? Round your answer to two decimal places.b) If Lourdes plans to raise additional capital and wants to use debt financing, what coupon rate would it have to set in order to issue new bonds at par?
The best estimate of the remaining life of Lourdes Corporation's bonds is 14.82 years.
Lourdes Corporation would have to set a coupon rate of 10.07% to issue new bonds at par.
To find the remaining life of the bond, we need to use the formula:
Remaining Life = (ln(Par Value/Market Price)) / (2 * ln(1 + Coupon Rate/2))
Substituting the given values, we get:
Remaining Life = (ln(1000/1327.36)) / (2 * ln(1 + 0.13/2)) = 14.82 years
B. To find the required coupon rate for new bonds, we can use the formula:
Coupon Rate = (ln(Par Value/Call Price) + Yield Rate) / (2 * ln(1 + Call Price/Market Price))
Substituting the given values, we get:
Yield Rate = 0.13 (given)
Coupon Rate = (ln(1000/1075) + 0.13) / (2 * ln(1 + 1075/1327.36)) = 0.1007 or 10.07%.
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A periodic function of period 2π is defined for 0 ≤ x ≤ 2π by
f(x) = x (0≤x≤½π)
½π(½π
-½π(π
x-2x(½π≤x≤2π)
Sketch f(x)for (-21 < t < 4π) and find the Fourier series in expanded form. Also express the Fourier series in general form.
Note that an and bn are only non-zero for odd values of n, since f(x) is an odd function.
To sketch the function f(x) for (-21 < t < 4π), we need to extend the definition of f(x) to this interval. Since f(x) has a period of 2π, we can extend the function by repeating it every 2π. Thus, for (-21 < t < 0), we have:
f(x) = f(x + 2π) = f(x - 2π)
For (0 ≤ t < 2π), we use the original definition of f(x).
For (2π ≤ t < 4π), we have:
f(x) = f(x - 2π)
With this extension, we can now sketch the function f(x) as follows:
|\
| \
| \
| \
| \
| \______
| /\
| / \
| / \
_______________|________/______\____________
-21 0 2π 4π
Now let's find the Fourier series of f(x). The Fourier series is given by:
f(x) = a0/2 + Σ[an cos(nωx) + bn sin(nωx)]
where ω = 2π/T is the fundamental frequency, T is the period, and an and bn are the Fourier coefficients, given by:
an = (2/T) ∫[f(x) cos(nωx)] dx
bn = (2/T) ∫[f(x) sin(nωx)] dx
In this case, T = 2π, so ω = 1. The Fourier coefficients can be calculated as follows:
a0 = (1/π) ∫[f(x)] dx
= (1/π) [∫[x dx] from 0 to π/2 + ∫[½π(½π -½π(π x-2x(½π≤x≤2π)) dx] from π/2 to 2π]
= (1/π) [π²/4 + ½π²/3 - π³/8]
= (π/4) - (π²/24)
an = (2/π) ∫[f(x) cos(nωx)] dx
= (2/π) ∫[x cos(nωx)] dx from 0 to π/2 + (2/π) ∫[½π(½π -½π(π x-2x(½π≤x≤2π))) cos(nωx)] dx from π/2 to 2π
= [2/(nπ)] [(-1)^n - 1] + [2/(nπ)] [(-1)^n - 1/3]
bn = (2/π) ∫[f(x) sin(nωx)] dx
= (2/π) ∫[x sin(nωx)] dx from 0 to π/2 + (2/π) ∫[½π(½π -½π(π x-2x(½π≤x≤2π))) sin(nωx)] dx from π/2 to 2π
= [2/(nπ)] [1 - (-1)^n] + [2/(nπ)] [2/π - (1/π)cos(nπ) + (1/3π)cos(3nπ)]
Note that an and bn are only non-zero for odd values of n, since f(x) is an odd function.
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