Answer:
y<=x+2
Step-by-step explanation:
Some workers at Walmart take bus to go to work. It is estimated that at most 25% of the workers take bus. Does this seem to be a valid estimate if, in a random sample of 90 workers, 28 are found to take bus to work? (a = 0.05)
The estimate of at most 25% of workers taking the bus does not seem to be a valid estimate based on the given sample data.
To determine whether the estimate of at most 25% of workers taking the bus is valid, we can perform a hypothesis test using the given sample data.
Null Hypothesis: The true proportion of workers who take the bus to work is equal to or less than 0.25.
Alternative Hypothesis: The true proportion of workers who take the bus to work is greater than 0.25.
We can use a one-tailed z-test for proportions to test this hypothesis, with a significance level of alpha = 0.05. The test statistic is calculated as follows:
z = (p - P) / sqrt(P*(1-P)/n)
where:
p = sample proportion of workers who take the bus = 28/90 = 0.3111
P = hypothesized proportion of workers who take the bus = 0.25
n = sample size = 90
Substituting the values, we get:
z = (0.3111 - 0.25) / sqrt(0.25*(1-0.25)/90) = 1.87
The critical value for a one-tailed test with alpha = 0.05 and a right-tailed alternative hypothesis is 1.645 (found using a standard normal distribution table). Since our test statistic of 1.87 is greater than the critical value of 1.645, we reject the null hypothesis and conclude that the true proportion of workers who take the bus to work is likely greater than 0.25. Therefore, the estimate of at most 25% of workers taking the bus does not seem to be a valid estimate based on the given sample data.
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The equation value = mean + (#ofSTDEVs)(standard deviation) can be expressed for a
The equation value = mean + (#ofSTDEVs)(standard deviation) can be expressed for a sample and for a population.
For both a sample and a population, the formula value = mean + (#ofSTDEVs)(standard deviation) may be used. The calculation of the standard deviation for a sample vs a population does, however, differ slightly. The standard deviation is written as s for a sample and is determined using the following formula:
[tex]s = sqrt(sum((xi - x)^2) / (n - 1))[/tex]
When n is the sample size, x is the sample mean, and xi represents each unique data point. When calculating the population standard deviation from a sample, the degrees of freedom are taken into account using the denominator (n - 1).
Thus,
value = mean + (#ofSTDEVs)(s)
[tex]σ = √sum((xi - μ)^2) / N)[/tex]
value = mean + (#ofSTDEVs)(σ)
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pts Given the equation of a conic 9y? - 4x2 - 367 - 82 = 4. Identify the curve and find the center of the curve.
a. Ellipse; center (2, -1)
b. Ellipse; center (-1,2)
c. Hyperbolas; center (-1,2)
d. Hyperbolas; center (2,-1)
The center of the curve is c. Hyperbola; center (-5, -2). The correct option is:c.
The given equation is 9y² - 4x² - 36y - 82 = 0.
To identify the curve and find the center, we need to check the signs of the coefficients of x² and y². Here, x² has a negative coefficient and y² has a positive coefficient, which suggests that the given equation represents a hyperbola.
To find the center of the hyperbola, we need to rewrite the equation in the standard form, which is of the form:
[(y - k)² / a²] - [(x - h)² / b²] = 1
where (h, k) is the center of the hyperbola, a is the distance from the center to the vertices, and b is the distance from the center to the foci.
Rewriting the given equation in the standard form, we get:
9(y² + 4y) - 4(x² + 20x) = 328
Dividing both sides by 36, we get:
[(y + 2)² / 4²] - [(x + 5)² / (3/2)²] = 1
Comparing this equation with the standard form, we get:
Center = (-5, -2)
Therefore, the correct option is:
c. Hyperbola; center (-5, -2)
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(Translations LU)
Use the graph to answer the question.
-6 -5
A'
-4
В'
-3
D'
-2 -1
A
0
C'
4
-5
-6
B
2
D
Determine the translation used to create the image.
3
4
C
5
Answer:
5 units to the left
Step-by-step explanation:
Look at point A. To get to A' you need to move 5 units to the left.
Helping in the name of Jesus.
how to graph y=x^2/36
Homework #6 1. Determine the intervals on which the following function is concave up or concave down: f(x) = V2x +3
The intervals on which f(x) is concave down are (-∞,∞).
To determine the intervals on which the function f(x) = √(2x+3) is concave up or concave down, we need to find its second derivative.
First, we find the first derivative of f(x):
f'(x) = (1/2)(2x+3)^(-1/2) * 2
f'(x) = (1/√(2x+3)) * 2
f'(x) = 2/√(2x+3)
Next, we find the second derivative of f(x):
f''(x) = d/dx (2/√(2x+3))
f''(x) = -4(2x+3)^(-3/2)
f''(x) = -4/(2x+3)^(3/2)
Now, to determine where the function is concave up or down, we need to find where the second derivative is positive (concave up) or negative (concave down).
f''(x) > 0 if -4/(2x+3)^(3/2) > 0
-4 > 0
This inequality is never true for any value of x, so f(x) is never concave up.
f''(x) < 0 if -4/(2x+3)^(3/2) < 0
-4 < 0
This inequality is always true for any value of x, so f(x) is always concave down.
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Find the height of a cylinder with a volume of 150 pi cubic units and a radius of 5 units
A square field has one side tripled and one side decreased by 4 feet. If the new area is
135 square feet, what are the original and new dimensions?
Original dimensions: 9 x 9 ft. New dimensions: 27 x 5 ft.
How to solveLet x be the original side length. The new dimensions are (3x) and (x-4). The new area is 135 sq ft:
[tex]3x(x-4) = 135[/tex]
[tex]3x^2 - 12x = 135[/tex]
[tex]3x^2 - 12x - 135 = 0[/tex]
Factor the quadratic equation:
(x - 9)(3x + 15) = 0
x = 9 (original side length)
3x = 27 (new length)
x-4 = 5 (new width)
Original dimensions: 9 x 9 ft. New dimensions: 27 x 5 ft.
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please help me put with this problem
Answer:
D. y = 3sin(1/2x)
Step-by-step explanation:
You want to know the equation that corresponds to the graph.
ScalingThe graph shows one cycle of a sine function. It has a peak value of 3, indicating a vertical scaling by a factor of 3. All of the answer choices have this scale factor:
y = 3sin( )
That one cycle extends from x = -2π to x = 2π, a total of 2π -(-2π) = 4π units. The period of the parent sine function y=sin(x) is 2π, so this represents a horizontal expansion by a factor of 2. That scaling is represented in the function's equation as a divisor of x:
y = 3sin(x/2)
[tex]\boxed{y=\sin{\left(\dfrac{1}{2}x\right)}}[/tex]
1. #40 pg 325 in book (section 7.3) Determine if the following statements are true or false, and justify your answer. (a) If V is a finite dimensional vector space, then V cannot contain an infinite linearly independent subset. (b) If Vi and V2 are vector spaces and dim(V1) < dim (V2), then V1 ⊂ V2. 2. #50 pg 198 in book (section 4.3) Determine if the following statements are true or false, and justify your answer. (a) If xo is a solution to Ax=b, then xo is in row(A). (b) If A is a 4x13 matrix, then the nullity of A could be equal to 5.
a) If V is a finite-dimensional vector space, then V cannot contain an infinite linearly independent subset. This statement is false.
(b) If Vi and V2 are vector spaces and dim(V1) < dim (V2), then V1 ⊂ V2. This statement is false.
(a) If xo is a solution to Ax=b, then xo is in row(A). This statement is false.
(b) If A is a 4x13 matrix, then the nullity of A could be equal to 5. This statement is false.
(a) False. A vector space can have an infinite linearly independent subset, but only if it is infinite-dimensional. For example, the vector space of polynomials has an infinite linearly independent subset {1, x, [tex]x^2[/tex], [tex]x^3[/tex], ...}.
(b) False. Just because the dimension of V1 is less than V2 does not necessarily mean V1 is a subset of V2. For example, V1 could be the x-axis in [tex]R^2[/tex] and V2 could be the entire plane.
(a) False. Just because xo is a solution to Ax=b does not mean xo is in row(A). xo could be any vector that satisfies the equation Ax=b.
(b) False. The nullity of matrix A is equal to the dimension of its null space. The null space is the set of all solutions to the homogeneous equation Ax=0. Since A has 13 columns, the maximum rank it can have is 13. Therefore, the nullity of A can be at most 13-4=9. It cannot be equal to 5.
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Find the general indefinite integral. (Use C for the constant of integration.)
∫(5x2+6+6x2+1)dx
The Fundamental Theorem of Calculus tells us that for any integrable function f, the indefinite integral
∫f(x)dx is the family of functions of the form
F(x)+C (where C is an arbitrary constant) whenever F′(x)=f(x) for all x in the domain of f.
We'll use the linearity property of differentiation, thus we just need to find antiderivatives for the terms in the integrand.
The general indefinite integral is F(x) = (11/3)x³ + 7x + C.
To find the general indefinite integral of ∫(5x²+6+6x²+1)dx, you can first simplify the integrand as 11x² + 7. Now, apply the Fundamental Theorem of Calculus and linearity property to find the antiderivatives of each term.
1. Simplify the integrand: 5x² + 6 + 6x² + 1 = 11x² + 7
2. Find the antiderivative of 11x²: ∫(11x²)dx = (11/3)x³ + C₁
3. Find the antiderivative of 7: ∫(7)dx = 7x + C₂
4. Add the antiderivatives and combine constants: F(x) = (11/3)x³ + 7x + (C₁ + C₂)
5. Use a single constant, C: F(x) = (11/3)x³ + 7x + C
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after it is planted, a tree grows at a rate of 0.6 meters per year. after 3 years the tree is 2.2 meters tall. write the equation in point-slope form that models the situation. then, predict the height of the tree after 6 years.
The equation modeling the tree's growth in point-slope form is y - 2.2 = 0.6(x - 3), and after 6 years, the tree will be 4 meters tall.
1. The tree grows at a rate of 0.6 meters per year, and after 3 years, it is 2.2 meters tall.
2. Point-slope form equation: y - y1 = m(x - x1), where m is the slope (growth rate) and (x1, y1) is a point on the line (year, height).
3. We have the slope (m) as the growth rate, which is 0.6 meters per year. The point (x1, y1) is (3, 2.2), representing 3 years and a height of 2.2 meters.
4. Plug the values into the point-slope form equation: y - 2.2 = 0.6(x - 3)
5. To predict the height after 6 years, substitute x with 6 in the equation: y - 2.2 = 0.6(6 - 3)
6. Simplify and solve for y: y - 2.2 = 0.6(3) → y - 2.2 = 1.8 → y = 4
The equation modeling the tree's growth in point-slope form is y - 2.2 = 0.6(x - 3), and after 6 years, the tree will be 4 meters tall.
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6. An $8,750 Rolex watch appreciates by 24% every 20 years. Find the value of the watch after 30.
Answer:
To find the value of the watch after 30 years, we can use the formula:
V = P(1 + r/n)^(nt)
Where:
V = final value
P = initial value
r = annual interest rate (as a decimal)
n = number of times interest is compounded per year
t = time in years
In this case, P = $8,750, r = 24% = 0.24, n = 1 (compounded annually), and t = 30.
Plugging in the values, we get:
V = 8,750(1 + 0.24/1)^(1*30)
V = 8,750(1.24)^30
V ≈ $407,180.24
Therefore, the value of the watch after 30 years is approximately $407,180.24.
Answer:
$168,735.00.
Step-by-step explanation:
To solve this problem, we can use the formula for compound interest:
A = P(1 + r/n)^(nt)
where A is the final amount, P is the principal (initial amount), r is the annual interest rate as a decimal, n is the number of times the interest is compounded per year, and t is the time in years.
In this case, we have P = $8,750, r = 24% = 0.24, n = 1 (compounded annually), and t = 30 years. Plugging in these values, we get:
A = $8,750(1 + 0.24/1)^(1*30)
A = $8,750(1.24)^30
A = $8,750(19.284)
A = $168,735.00
Therefore, the value of the watch after 30 years is $168,735.00.
A car weighs 1650 kg and a truck weighs 3 tonnes. Express the weight of the car as a percentage of the weight of the truck
If car weighs "1650-kg" and truck weighs "3-tons", then weight of car as percentage of weight of truck is 55%.
In order to express the weight of car as a percentage of weight of truck, we need to convert the weights to the same unit of measurement.
We know that,
⇒ Weight of the car = 1650 kg,
⇒ Weight of the truck = 3 tons,
Since 1 ton is equal to 1000 kg, we convert the weight of truck from "ton" to "Kg" by multiplying it by 1000,
So, Weight of truck in kg = 3×1000,
Weight of truck in kg = 3000 kg,
So, Percentage = (Weight of car)/(Weight of truck) × 100,
Substituting the values,
⇒ Percentage = (1650/3000) × 100,
⇒ Percentage = 0.55 × 100,
⇒ Percentage = 55%
Therefore, the weight of the car is 55% of the weight of the truck.
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(a) Determine the probability that the algorithm is incorrect if it is known the photo is about fashion.
(b) Using the answers from part (a) and 3.29(b), compute
P (mach learn is pred fashion | truth is fashion)+ P (mach learn is pred not | truth is fashion)
(c) Provide an intuitive argument to explain why the sum in (b) is 1
The probability of the algorithm being incorrect when the photo is about fashion depends on the accuracy of the algorithm in predicting fashion-related content. This probability can be calculated based on the given information.
(a) The probability of the algorithm being incorrect, given that the photo is about fashion, can be denoted as P(incorrect | fashion). This probability depends on the accuracy of the algorithm in correctly identifying fashion-related content. If the algorithm has a high accuracy in predicting fashion-related content, then P(incorrect | fashion) would be low. On the other hand, if the algorithm has a low accuracy in predicting fashion-related content, then P(incorrect | fashion) would be high.
(b) Using the answers from part (a) and 3.29(b), we can compute P(mach learn is pred fashion | truth is fashion) + P(mach learn is pred not | truth is fashion), where P(mach learn is pred fashion | truth is fashion) is the probability that the algorithm predicts fashion correctly when the truth is indeed about fashion, and P(mach learn is pred not | truth is fashion) is the probability that the algorithm predicts fashion incorrectly when the truth is about fashion.
(c) The sum of P(mach learn is pred fashion | truth is fashion) + P(mach learn is pred not | truth is fashion) is 1 because these two probabilities together represent all possible outcomes when the truth is about fashion. The algorithm can either predict fashion correctly (P(mach learn is pred fashion | truth is fashion)) or predict fashion incorrectly (P(mach learn is pred not | truth is fashion)), but there is no other possibility. Therefore, the sum of these two probabilities is equal to 1, as it accounts for all possible outcomes.
Therefore, the sum of P(mach learn is pred fashion | truth is fashion) + P(mach learn is pred not | truth is fashion) is 1.
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√5x^7 BRAINLIEST IF CORRECT!!!!!!!!!!!!
Answer:
Step-by-step explanation:
Answer:
The answer is x³√5x
Step-by-step explanation:
√5x⁷=x³√5x
This exercise involves the use of an unrealistically small population to provide a concrete ilustration for the exact distribution of a sample proportion. A population consists of one man and four women. The first name of the man is Noah, the first names of the women are Emma, Rose, Abigail, and Becca. Suppose that the specified attribute is "male. Complete parts (a) through (e) below a. Determine the population proportion, p (Type an integer or a decimal. Do not round)
The population proportion of males is 0.2, or 20%. This means that in the population of one man and four women, 20% of the individuals are male.
The population is defined as the entire group of individuals that we are interested in studying. In this exercise, the population consists of one man and four women, for a total of five individuals.
The attribute of interest is "male", which means we are looking to determine the proportion of individuals in the population who are male. In this case, there is only one male in the population (Noah) and a total of five individuals, so the proportion of males in the population can be calculated as:
p = number of males / total population size
In this case, the number of males is 1, and the total population size is 5, so the proportion of males in the population is:
p = 1/5
p = 0.2
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A study involving stress is conducted among the students on a college campus. The stress scores follow a uniform distribution with the lowest stress score equal to one and the highest equal to five. Using a sample of 55 students, find the probability that the sample mean is less than 7. Round to four decimal places.
the probability that the sample mean is less than 7 is approximately zero
Since the stress scores follow a uniform distribution from 1 to 5, the mean of the distribution is:
mu = (1 + 5) / 2 = 3
The standard deviation of the distribution is:
sigma = (5 - 1) / sqrt(12) = sqrt(2.33)
The sample size is n = 55.
The sample mean follows a normal distribution with mean mu = 3 and standard deviation sigma/sqrt(n) = sqrt(2.33)/sqrt(55) = 0.313.
To find the probability that the sample mean is less than 7, we standardize the variable:
z = (7 - 3) / 0.313 = 12.78
This is an extremely large value of z, indicating a probability that is essentially zero. Therefore, the probability that the sample mean is less than 7 is approximately zero
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Find dy /dx . y = 5 √5x/ 5x - 3. dy/dx= _____.
If y = 5 √5x/ 5x - 3. dy/dx = 25/(2√(5x))
To find dy/dx for y = 5√(5x)/(5x-3), we need to use the chain rule.
Let u = 5x, then y = 5√(5x)/(5x-3) = 5√u/(u-3)
Using the power rule, we can find du/dx = 5
Using the chain rule, we get:
dy/dx = dy/du * du/dx
To find dy/du, we need to use the power rule and the constant multiple rule:
dy/du = (5/2) * u(-1/2)
Substituting back for u, we get:
dy/du = (5/2) * (5x)(-1/2)
Now, substituting all the values we found, we get:
dy/dx = dy/du * du/dx = (5/2) * (5x)(-1/2) * 5
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(A) Find the radius of convergence of the power series x3 to y = 1 -x^3/(3 · 2) + x^6/(6 · 5) · (3 · 2) - x^9/(9.8) ·(6 · 5) · (3 · 2)+ ..... Remark: The absolute value of the ratio of terms has a very simple and obvious expression and the ratio test indicator can be easily computed from that. (B) Show that the function so defined satisfies the differential equation y" + xy = 0.
The value is y" + xy = 5x^4/2 - 8x^7/(3·2) - 8x^3/3 + 14x^6/(3·5) - 20x^9/(3·5·7
(A) To find the radius of convergence of the power series, we can use the ratio test. The ratio of consecutive terms of the series is:
| x^3/(3·2) · (3·2·5)/(6·5·8) · (6·5·11)/(9·8·14) · ... | = | x^3/6 | · | (5/8) · (11/14) · (17/20) · ... |
The second factor is a product of terms of the form (4n + 1)/(4n + 4), which simplifies to (1 + 1/(4n + 4)). Thus, the product can be written as:
| (5/8) · (11/14) · (17/20) · ... | = | (1 + 1/4) · (1 + 1/8) · (1 + 1/12) · ... | = ∏(1 + 1/(4n + 4))
Using the ratio test, the series converges absolutely if the limit of the ratio of consecutive terms is less than 1:
| x^3/6 | · ∏(1 + 1/(4n + 4)) < 1
The limit of the product is known to be the Wallis product, which is equal to π/2. Thus, we have:
| x^3/6 | · π/2 < 1
Solving for |x|, we get:
|x| < (2/π)^(1/3)
Therefore, the radius of convergence is:
R = (2/π)^(1/3)
(B) To show that the function y(x) satisfies the differential equation y" + xy = 0, we need to show that its second derivative and the product xy(x) satisfy the equation. Differentiating the power series term by term, we get:
y' = 0 - x^2 + x^5/2 - x^8/(3·2) + ...
y" = 0 - 0 + 5x^4/2 - 8x^7/(3·2) + ...
Multiplying x and y(x) term by term, we get:
xy = x - x^4/3 + x^7/(3·5) - x^10/(3·5·7) + ...
Taking the derivative of xy with respect to x, we get:
(xy)' = 1 - 4x^3/3 + 7x^6/(3·5) - 10x^9/(3·5·7) + ...
Differentiating xy' with respect to x again, we get:
(xy)" = - 4x^2 + 21x^5/(3·5) - 30x^8/(3·5·7) + ...
Adding xy to -x(xy)' and simplifying, we get:
y" + xy = 5x^4/2 - 8x^7/(3·2) - 4x^3/3 + 7x^6/(3·5) - 10x^9/(3·5·7) - 4x^3 + 7x^6/(3·5) - 10x^9/(3·5·7) + ...
Collecting like terms, we get:
y" + xy = 5x^4/2 - 8x^7/(3·2) - 8x^3/3 + 14x^6/(3·5) - 20x^9/(3·5·7
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2. Consider the regression model without the intercept: yi = B1xi, +Er i=1,2,...,n. Show that the total sum of squares (SST) need not be equal to residual sum of squares (SSR) + explained sum of square (SE) when there is no intercept.
In the regression model without an intercept, yi = B1xi + Er for i=1,2,...,n, the total sum of squares (SST) need not be equal to the residual sum of squares (SSR) + explained sum of squares (SE) due to the absence of the intercept term.
SST represents the total variation in the dependent variable (yi), which is typically decomposed into explained variation (SE) and unexplained variation (SSR) in the presence of an intercept. However, when the model doesn't include an intercept, this decomposition does not hold true.
The reason is that without an intercept, the regression line is forced to go through the origin (0,0), which can result in a poor fit of the data. Consequently, the explained sum of squares (SE) may not accurately capture the variability explained by the model, and the residual sum of squares (SSR) might not account for the remaining unexplained variation.
Therefore, in a regression model without an intercept, the relationship SST = SSR + SE may not hold true, as the decomposition of total variability into explained and unexplained components is disrupted by the lack of an intercept term.
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the following questions.
1) Find the unknown angle measure.
35⁰
10
62⁰
The unknown angle measure based on the information is 35⁰.
How to calculate the angleAn angle is a geometric figure formed by two rays (or lines) that share a common endpoint called the vertex. The rays are typically represented as line segments with the vertex at their endpoint, and the angle is measured in degrees or radians based on the amount of rotation between the two rays.
Angles are commonly denoted using the vertex as the center point and a letter at each end of the rays, for example, angle ABC, where B is the vertex and A and C are the endpoints of the two rays forming the angle.
Since the angles on a triangle are 80°, x, and 65°, the value of the unknown angle will be:
= 180 - (65 + 80)
= 35°
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The angles on a triangle are 80°, x, and 65°. What is the value of the unknown angle?
A college student surveyed fellow students in order to determine a 90% confidence interval on the proportion of students who plan on voting in the upcoming student election for Student Government Association President. Of those surveyed, it is determined that 97 plan on voting and 154 do not plan on voting. (a) Find the 90% confidence interval. Enter the smaller number in the first box. Confidence interval:( b) Which of the following is the correct interpretation for your answer in part (a)? A. We can be 90% confident that the proportion of students who will vote in the upcoming election lies in the interval B. We can be 90% confident that the number of students who will vote in the upcoming election lies in the interval. C. There is a 90% chance that the proportion of students who will vote in the upcoming election lies in the interval D. We can be fairly sure that 90% of the students will vote in the upcoming election lies in the interval E. None of the above
(a) The 90% confidence interval for the proportion of students who plan on voting is (0.386 - 0.069, 0.386 + 0.069) = (0.317, 0.455). The smaller number is 0.317, so that is entered in the first box.
(b) The correct interpretation for the answer in part (a) is A: We can be 90% confident that the proportion of students who will vote in the upcoming election lies in the interval (0.317, 0.455).
(a) To find the 90% confidence interval, follow these steps:
1. Determine the sample proportion (p') by dividing the number of students who plan on voting by the total number of students surveyed:
p' = 97 / (97 + 154) = 97 / 251 ≈ 0.3865
2. Find the critical value (z) for a 90% confidence interval using a z-table. For 90%, the z-value is 1.645.
3. Calculate the standard error (SE) using the formula:
SE = √(p'(1 - p') / n) = √(0.3865(1 - 0.3865) / 251) ≈ 0.0302
4. Find the margin of error (ME) using the formula:
ME = z × SE = 1.645 × 0.0302 ≈ 0.0497
5. Calculate the lower and upper limits of the confidence interval:
Lower Limit = p' - ME = 0.3865 - 0.0497 ≈ 0.3368
Upper Limit = p' + ME = 0.3865 + 0.0497 ≈ 0.4362
Confidence interval: (0.3368, 0.4362)
(b) The correct interpretation for the 90% confidence interval is:
A. We can be 90% confident that the proportion of students who will vote in the upcoming election lies in the interval (0.3368, 0.4362). This means that if we were to repeat this survey many times and construct a 90% confidence interval each time, we would expect 90% of those intervals to contain the true proportion of students who plan on voting in the election. It does not mean that there is a 90% chance that the true proportion lies in this interval, nor does it provide any information about the actual number of students who will vote.
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Find the area inside one loop of the lemniscate r2 = 10 sin 2θ.
The area inside one loop of the lemniscate r2 = 10 sin 2θ is 5 square units.
To find the area inside one loop of the lemniscate r2 = 10 sin 2θ, we need to use the formula for the area enclosed by a polar curve:
A = (1/2) ∫[a,b] r(θ)2 dθ
Since we want the area inside one loop, we can choose the limits of integration to be from 0 to π/2, which covers one complete loop of the lemniscate. Plugging in the given polar equation, we get:
A = (1/2) ∫[0,π/2] (10 sin 2θ) dθ
Using a double angle identity, we can simplify the integrand to:
A = (1/2) ∫[0,π/2] (10 sin θ) cos θ dθ
Integrating this expression gives:
A = (1/2) [(-10/2) cos2θ] [0,π/2]
A = (1/2) [(-10/2) (1)] = -5
However, since we are looking for a positive area, we need to take the absolute value of this result, which gives:
A = 5 square units
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Suppose you want to construct a 99% confidence interval for the mean number of seconds that people spend brushing their teeth. You want a margin of error of no more than plus or minus 2 seconds and know that the standard deviation is 21 seconds. At least how many people must you observe?
At least 289 people must be observed to construct a 99% confidence interval with a margin of error of no more than ±2 seconds.
To construct a 99% confidence interval for the mean number of seconds people spend brushing their teeth with a margin of error of no more than ±2 seconds and a standard deviation of 21 seconds, you'll need to determine the minimum sample size required.
Step 1: Identify the z-score for a 99% confidence level. The z-score is 2.576 (you can find this using a standard normal distribution table or online calculator).
Step 2: Use the margin of error (E) formula:
E = z * (σ / √n)
where E is the margin of error, z is the z-score, σ is the standard deviation, and n is the sample size.
Step 3: Plug in the values and solve for n:
2 = 2.576 * (21 / √n)
Step 4: Rearrange the equation to solve for n:
n = (2.576 * 21 / 2)^2
Step 5: Calculate the value of n:
n ≈ 288.39
Since you cannot have a fraction of a person, you must round up to the nearest whole number. Therefore, at least 289 people must be observed to construct a 99% confidence interval with a margin of error of no more than ±2 seconds.
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Do shoppers at the mall spend less money on average the day after Thanksgiving compared to the day after Christmas? The 37 randomly surveyed shoppers on the day after Thanksgiving spent an average of \$117. Their standard deviation was$29. The 35 randomly surveyed shoppers on the day after Christmas spent an average of$138. Their standard deviation was$34. What can be concluded at the0.05level of significance?
The p-value is less than the significance level of 0.05, we reject the null hypothesis.
Using the given data, we can calculate the t-test statistic as follows:
t = (117 - 138) / √[(29²/37) + (34²/35)] = -2.21
where 117 is the sample mean for the day after Thanksgiving, 138 is the sample mean for the day after Christmas, 29 is the standard deviation for the day after Thanksgiving, 34 is the standard deviation for the day after Christmas, 37 is the sample size for the day after Thanksgiving, and 35 is the sample size for the day after Christmas.
Using a t-table or a statistical software, we can find the p-value associated with this t-test statistic. At the 0.05 level of significance, the p-value is 0.016. This means that if the null hypothesis were true, we would observe a t-test statistic as extreme or more extreme than -2.21 only 1.6% of the time.
This means that we have evidence to suggest that the mean amount of money spent by shoppers on the day after Thanksgiving is less than the mean amount of money spent by shoppers on the day after Christmas.
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(a) Let f(x,y) = 4 - 2y. Evaluate ∫ ∫R f(x,y) dA where R = [0, 1] x [0,1]. Find the average value of f(x,y) on R. (b) Evaluate ∫ ∫D(x^2 + 2y) dA where D is bounded by y = x, y = x^3 and x>0.
A) The value of the integral is 2
2) The value of the integral is 1/12.
(a) To evaluate ∫ ∫R f(x,y) dA where R = [0, 1] x [0,1] and f(x,y) = 4 - 2y, we integrate the function over the region R.
Step 1: Integrate with respect to y
∫(4 - 2y) dy from 0 to 1
Step 2: Integrate the result with respect to x
∫(4 - 2y) dx from 0 to 1
The result is 2. The average value of f(x,y) on R is (2)/(1*1) = 2.
(b) To evaluate ∫ ∫D(x² + 2y) dA where D is bounded by y = x, y = x³, and x > 0:
Step 1: Determine the limits of integration
x: 0 to 1 (x > 0)
y: x³ to x (bounded by y = x and y = x³)
Step 2: Integrate with respect to y
∫(x² + 2y) dy from x³ to x
Step 3: Integrate the result with respect to x
∫(result) dx from 0 to 1
The result is 1/12.
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A boy lifts a 7 Kg microwave oven 2 meters off the ground. How much work did the boy do on the
microwave?
What is the work?
Answer:
140J
Step-by-step explanation:
work done = Mass x acceleration x distance
mass = 7kg
acceleration = 10m/s^2
distance= 2m
work = 7 x 10 x 2
= 140j
Answer:
The answer is 140J or 140Nm
Step-by-step explanation:
Work done=mgh
W=7×10×2
W=140J or 140Nm
Evaluate 54 + c2 when c = 7 *BUT "Evaluate the exponent first" I need to know how to evaluate the exponent first
Answer:
103
Step-by-step explanation:
Given: 54+c², c=7
We can substitute 7 for c into the equation first:
54+7²
The question is asking to evaluate the exponent first, which is the ² part of the expression.
Broken down, we have 54 and 7², so let's focus on 7² first.
7² says that you have to multiply 7 x 7, or in words, multiply 7 by itself.
7 x 7 =49, so c²=49.
Back to the entire equation, we now have:
54+49
=103
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SOMEOME PLSSSSSSS HELP ME!!!! PLS
Mr. Sofi drew a random sample of 10 grades from each of his Block 1 and Block 2 Algebra Unit 2 Test.
The following scores were the ones he drew:
Block 1: 25, 60, 70, 75, 80, 85, 85, 90, 95, 100.
Block 2: 70, 70, 75, 75, 75, 75, 80, 80, 85, 100.
1. What is the interquartile range of each block?
A. Block 1 IQR: 75; Block 2 IQR: 30
B. Block 1 IQR: 20; Block 2 IQR: 15
C. Block 1 IQR: 15; Block 2 IQR: 10
D. Block 1 IQR: 20; Block 2 IQR: 5
Please explain how you found your answer:
2. What were the outliers in each block?
A. Block One: 25, Block Two: none
B. Block One: 25, Block Two: 100
C. Block One: 25 & 60, Block Two: 85 & 100
D. There were no outliers in either block
Please explain how you found your answer
3. Describe each data displays as symmetric, skewed left, or skewed right.
A. Both are symmetrical
B. Block 1 is skewed right, Block 2 is skewed left
C. Block 1 is skewed left, Block 2 is skewed right
D. Block 1 & Block 2 are skewed right
Please explain how you found your answer:
What is the mean and standard deviation of Block 1?
A. Mean: 76. 5, standard deviation: 21. 6
B. Mean: 82. 5, standard deviation: 21. 6
C. Mean: 78. 5, standard deviation: 8. 8
D. Mean: 75, standard deviation: 8. 8
Please explain how you found your answer
The random samples of the given scores of each block represents ,
Inter quartile range of each block is Option D. Block 1 IQR = 20 and Block 2 IQR= 5.
Outliers present in each block is Option B. Block One= 25, Block Two= 100.
Each data display represents Option B. Block 1 is skewed right, Block 2 is skewed left.
Mean and standard deviation in Block 1 is Option A. Mean = 76.5, standard deviation = 21.6.
Score of two blocks,
Block 1
25, 60, 70, 75, 80, 85, 85, 90, 95, 100.
Block 2
70, 70, 75, 75, 75, 75, 80, 80, 85, 100.
To get Interquartile range 'IQR' of each block,
First find the quartiles.
Median of Block 1 = 80
Median of Block 2 = 75
First quartile Q₁ and third quartile Q₃ of each block,
Split the data into two halves at the median and find the median of each half.
Block 1
Lower half is,
25, 60, 70, 75, 80
Q₁ = median of the lower half
= 70
Upper half is,
85, 85, 90, 95, 100.
Q₃ = median of the upper half
= 90
IQR = Q₃ - Q₁
= 90 - 70
= 20
Block 2
Lower half is,
70, 70, 75, 75, 75
Q₁ = median of the lower half
= 75
Upper half is,
75, 80, 80, 85, 100.
Q₃ = median of the upper half
= 80
IQR = Q₃ - Q₁
= 80 - 75
= 5
Option D. Block 1 IQR = 20 and Block 2 IQR= 5
Outliers in each block,
First find lower and upper bounds.
Any data point outside the bounds is considered an outlier.
The lower bound is Q₁ - 1.5(IQR),
and the upper bound is Q₃ + 1.5(IQR).
Block 1,
Q₁ = 70
Q₃ = 90
IQR = 20
Lower bound
= Q₁ - 1.5(IQR)
= 70 - 1.5(20)
= 70 - 30
= 40
Upper bound
=Q₃ + 1.5(IQR)
= 90 + 1.5(20)
= 120
The data point 25 is less than the lower bound,
so it is an outlier in Block 1.
Block 2,
Q₁ = 75
Q₃ = 80
IQR = 5
Lower bound
= 75 - 1.5(5)
= 67.5
Upper bound
= 80 + 1.5(5)
= 87.5
100 is more than the upper bounds in Block 2,
so it is an outliers of Block 2.
Option B. Block One= 25, Block Two= 100
The data displays as symmetric skewed left or skewed right,
Examine the shape of the histograms.
Block 1 has a histogram that is skewed right.
With more scores on the higher end of the range.
Block 2 has a histogram that is slightly skewed left.
With more scores on the lower end of the range.
Option B. Block 1 is skewed right, Block 2 is skewed left.
Mean and standard deviation of Block 1,
Use the formulas,
Mean = sum of scores / number of scores
Standard deviation = √ [(sum of (scores - mean)^2) / (n - 1)]
Block 1
Mean
= (25 + 60 + 70 + 75 + 80 + 85 + 85 + 90 + 95 + 100) / 10
= 76.5
Standard deviation
= √[((25-76.5)^2 + (60-76.5)^2 + ... + (100-76.5)^2) / (10 -1 )]
=√2652.25 + 272.25+ 42.25 +2.25 + 12.25 + 72.25 + 72.25 + 182.25 + 342.25 + 552.25 /9
= √4202.5/9
= 21.6
Option A. Mean = 76.5, standard deviation = 21.6.
Therefore, for the given scores answer of the following questions are,
Inter quartile range is Option D. Block 1 IQR = 20 and Block 2 IQR= 5.
Outliers in each block is Option B. Block One= 25, Block Two= 100.
Data display is Option B. Block 1 is skewed right, Block 2 is skewed left.
In Block 1 Option A. Mean = 76.5, standard deviation = 21.6.
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