An appliance dealer sells three different models of upright freezers having 14.5, 16.9, and 19.1 cubic feet of storage space. Let x = the amount of storage space purchased by the next customer to buy a freezer. Suppose that x has the following probability distribution.x p(x)14.5 .216.9 .519.1 .3(a) Calculate the mean and standard deviation of x.(b) If the price of the freezer depends on the size of the storage space, x, such that Price = 25x - 8.5, what is the mean value of the variable Price paid by the next customer?(c) What is the standard deviation of the price paid?

Answers

Answer 1
Final answer:

The question is about calculating the mean and standard deviation of a discrete random variable representing the size of the freezer model a customer buys, and then the mean and standard deviation of the price paid, which is a function of the freezer size.

Explanation:

The random variable X in this scenario represents the size of the freezer model (in cubic feet) that the next customer buys from the appliance dealer. This is a discrete random variable, with possible values being the sizes of the three available freezer models: 14.5, 16.9, and 19.1 cubic feet.

To calculate the mean and standard deviation of X, we can use the formula for the mean of a discrete random variable and the formula for the standard deviation respectively, which are given as follows:
Mean (expected value), E(X) = Σ [x * p(x)]
Standard Deviation, σ(X) = sqrt{Σ [(x - μ)² * p(x)]}

The mean value of the second variable (Price) can be calculated by plugging the expected value of X into the given Price = 25X - 8.5 equation, and the standard deviation by applying the transformation rule for standard deviations (σ_Y = |b| * σ_X, where b is the coefficient of X in the original expression for Y, which in this case is 25).

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Related Questions

Two teams play a series of games, the first team to win 4 games is the winner overall. Suppose that one of the teams is stronger and has probability 0.6 to win each game, independent of any other games. What is the probability that the stronger team wins the series in exactly i games. Do it for i = 4,5,6,7. Compare the probability that the stronger team wins with the probability that it would win a 2 out of 3 series.

Answers

Answer:

Step-by-step explanation:

Figuring it out rn

The populations, P, of six towns with time t in years are given by

1) P=2400(0.8)^t

2) P=900(0.77)^t

3)P=2100(0.98)^t

4)P=600(1.18)^t

5)P=1100(1.08)^t

6)P=1700(1.191)^t

Answer the following questions regarding the populations of the six towns above. Whenever you need to enter several towns in one answer, enter your answer as a comma separated list of numbers. For example if town 1, town 2, town 3, and town 4, are all growing you could enter 1, 2, 3, 4 ; or 2, 4, 1, 3 ; or any other order of these four numerals separated by commas.

(a) Which of the towns are growing?

(b) Which of the towns are shrinking?

(c) Which town is growing the fastest?
What is the annual percentage growth RATE of that town? %

(d) Which town is shrinking the fastest?
What is the annual percentage decay RATE of that town? %

(e) Which town has the largest initial population?

(f) Which town has the smallest initial population?

Answers

Answer:

Since, in the population function,

[tex]P = ab^t[/tex]

a = initial population,

b = population change factor,

If 0 < b < 1, then population will shrink,

While, if b > 1, then the population will grow,

(a) Since, 1.18, 1.08 and 1.191 is greater than 1,

Thus, town 4), 5) and 6) are growing.

(b) Since, 0.8, 0.77 and 0.98 are less than 1,

Thus, town 1), 2) and 3) are shrinking.

(c) An exponential growth function with highest change factor grows fastest.

∵ 1.191 > 1.18 > 1.08

town 6) is growing fastest.

(d) An exponential decay function with lowest change factor shrinks fastest,

∵ 0.77 < 0.8 < 0.98 < 1.08 < 1.18 < 1.191,

Town 2) shrinks fastest.

(e) Since,

2400 > 2100 > 1700 > 1100 > 900 > 600

town 1) has the largest initial population.

(f) Similarly,

Town 4) has the smallest initial population.

Answer:

a.

i, ii, and iv

Step-by-step explanation:

A group of 24 people have found 7.2 kg of gold. Assuming the gold is divided evenly, how much gold will each one get in grams? Please someone help me out with this thank you

Answers

Answer:

  300 g

Step-by-step explanation:

There are 1000 grams in one kilogram. Dividing 7200 grams into 24 equal parts makes each part ...

  (7200 g)/(24 persons) = 300 g/person

Each person get 300 grams.

The height of Jake's window is 5x - 3 inches and the width is 3x + 2 inches. What is the perimeter of Jake's window ?​

Answers

Answer: (16x - 2)inches

Step-by-step explanation:

The shape of Jake's window is a rectangle. It means that the two opposite sides are equal. The perimeter of the rectangular window is the distance round it.

The perimeter of a rectangle is expressed as 2(length + width)

From the dimensions given

Length = height of the window

= 5x - 3 inches

Width = 3x + 2 inches

Perimeter of the window =

2(5x - 3 + 3x + 2) = 10x - 6 + 6x + 4

= 10x + 6x + 4 - 6

Perimeter of the window =

(16x - 2)inches

Answer:The perimeter of window can be calculated by the following formula;

Step-by-step explanation:

A survey of 1010 college seniors working towards an undergraduate degree was conducted. Each student was​ asked, "Are you planning or not planning to pursue a graduate​ degree?" Of the 1010​ surveyed, 658 stated that they were planning to pursue a graduate degree. Construct and interpret a​ 98% confidence interval for the proportion of college seniors who are planning to pursue a graduate degree. Round to the nearest thousandth.

Answers

Answer:

The 98% confidence interval would be given (0.616;0.686).  

We are confident at 98% that the true proportion of people that they were planning to pursue a graduate degree is between (0.616;0.686).

Step-by-step explanation:

A confidence interval is "a range of values that’s likely to include a population value with a certain degree of confidence. It is often expressed a % whereby a population means lies between an upper and lower interval".  

The margin of error is the range of values below and above the sample statistic in a confidence interval.  

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".  

Description in words of the parameter p

[tex]p[/tex] represent the real population proportion of people that they were planning to pursue a graduate degree

[tex]\hat p[/tex] represent the estimated proportion of people that they were planning to pursue a graduate degree

n=1010 is the sample size required  

[tex]z_{\alpha/2}[/tex] represent the critical value for the margin of error  

The population proportion have the following distribution  

[tex]p \sim N(p,\sqrt{\frac{p(1-p)}{n}})[/tex]

Numerical estimate for p

In order to estimate a proportion we use this formula:

[tex]\hat p =\frac{X}{n}[/tex] where X represent the number of people with a characteristic and n the total sample size selected.

[tex]\hat p=\frac{658}{1010}=0.651[/tex] represent the estimated proportion of people that they were planning to pursue a graduate degree

Confidence interval

The confidence interval for a proportion is given by this formula  

[tex]\hat p \pm z_{\alpha/2} \sqrt{\frac{\hat p(1-\hat p)}{n}}[/tex]  

For the 98% confidence interval the value of [tex]\alpha=1-0.98=0.02[/tex] and [tex]\alpha/2=0.01[/tex], with that value we can find the quantile required for the interval in the normal standard distribution.  

[tex]z_{\alpha/2}=2.33[/tex]  

And replacing into the confidence interval formula we got:  

[tex]0.651 - 2.33 \sqrt{\frac{0.651(1-0.651)}{1010}}=0.616[/tex]  

[tex]0.651 + 2.33 \sqrt{\frac{0.651(1-0.651)}{1010}}=0.686[/tex]  

And the 98% confidence interval would be given (0.616;0.686).  

We are confident at 98% that the true proportion of people that they were planning to pursue a graduate degree is between (0.616;0.686).  

The manager of a grocery store has taken a random sample of 100 customers. The average length of time it took the customers in the sample to check out was 3.1 minutes. The population standard deviation is known to be 0.5 minutes. We want to see if we can find significant evidence to prove that the mean waiting time of all customers is significantly more than 3 minutes. The test statistic is 2. What is the p-value? Round your answer to three decimal places.

Answers

Answer: The critical value is: insufficient.

Step-by-step explanation: Refer to Exhibit 9-2. The p-value is:

a. .0500  

b. .0228  

c. .0456  

d. .0250

In order to test the hypotheses H0: μ ≤ 100 and Ha: μ > 100 at an α level of significance, the null hypothesis will be rejected if the test statistic z is:

The practice of concluding "do not reject H0" is preferred over "accept H0" when we:

a. have an insufficient sample size.  

b. have not controlled for the Type II error.  

c. are testing the validity of a claim.  

d. are conducting a one-tailed test.

In hypothesis testing, the critical value is: insufficient

A researcher would like to estimate p, the proportion of U.S. adults who support recognizing civil unions between gay or lesbian couples. If the researcher would like to be 95% sure that the obtained sample proportion would be within 1.5% of p (the proportion in the entire population of U.S. adults), what sample size should be used?
(a) 17,778(b) 4,445(c) 1,112(d) 67(e) 45

Answers

Answer:

(b) 4,445

Step-by-step explanation:

If the researcher would like to be 95% sure that the obtained sample proportion would be within 1.5% of p (the proportion in the entire population of U.S. adults), what sample size should be used?

Given a=0.05, |Z(0.025)|=1.96 (check standard normal table)

So n=(Z/E)^2*p*(1-p)

=(1.96/0.015)^2*0.5*0.5

=4268.444

Take n=4269

Answer:(b) 4,445

Pedro thinks that he has a special relationship with the number 3. In particular, Pedro thinks that he would roll a 3 with a fair 6-sided die more often than you'd expect by chance alone. Suppose p is the true proportion of the time Pedro will roll a 3.


(a) State the null and alternative hypotheses for testing Pedro's claim. (Type the symbol "p" for the population proportion, whichever symbols you need of "<", ">", "=", "not =" and express any values as a fraction e.g. p = 1/3)

H0 = _______

Ha = _______


(b) Now suppose Pedro makes n = 30 rolls, and a 3 comes up 6 times out of the 30 rolls. Determine the P-value of the test:

P-value =________

Answers

Answer:

p value = 0.3122

Step-by-step explanation:

Given that Pedro thinks that he has a special relationship with the number 3. In particular,

Normally for a die to show 3, probability p = [tex]\frac{1}{6} =0.1667[/tex]

Or proportion p = 0.1667

Pedro claims that this probability is more than 0.1667

[tex]H_0 = P =0.1667______H_a = P>0.1667_____[/tex]

where P is the sample proportion.

b) n=30 and [tex]P = 6/30 =0.20[/tex]

Mean difference = [tex]0.2-0.1667=0.0333[/tex]

Std error for proportion = [tex]\sqrt{\frac{p(1-p)}{n} } \\=0.0681[/tex]

Test statistic Z = p difference/std error =  0.4894

p value = 0.3122

p >0.05

So not significant difference between the two proportions.

Final answer:

The null hypothesis is that Pedro's claim is not true, while the alternative hypothesis is that Pedro's claim is true. The P-value is approximately 0.082.

Explanation:

(a) The null hypothesis states that Pedro's claim is not true, so the null hypothesis is H0: p = 1/6. The alternative hypothesis states that Pedro's claim is true and he rolls a 3 more often than expected, so the alternative hypothesis is Ha: p > 1/6.

(b) To determine the P-value, we can use the binomial distribution. The probability of rolling a 3 with a fair 6-sided die is 1/6. Using the binomial distribution, we can calculate the probability of rolling a 3 six times out of 30 rolls. This gives a P-value of approximately 0.082, which is the probability of observing a result as extreme as the one obtained or more extreme, assuming the null hypothesis is true.

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Suppose that the insurance companies did do a survey. They randomly surveyed 400 drivers and found that 320 claimed they always buckle up. We are interested in the population proportion of drivers who claim they always buckle up. Construct a 95% confidence interval for the population proportion who claim they always buckle up. What is the error bound?

Answers

Answer:

The 95% confidence interval would be given (0.761;0.839). The error bound is [tex]Me=\pm 0.0392[/tex]  

Step-by-step explanation:

1) Data given and notation  

n=400 represent the random sample taken    

X=320 represent the people drivers claimed they always buckle up

[tex]\hat p=\frac{320}{400}=0.8[/tex] estimated proportion of people drivers claimed they always buckle up

[tex]\alpha=0.05[/tex] represent the significance level (no given, but is assumed)    

Confidence =95% or 0.95

p= population proportion of people drivers claimed they always buckle up

A confidence interval is "a range of values that’s likely to include a population value with a certain degree of confidence. It is often expressed a % whereby a population means lies between an upper and lower interval".  

The margin of error is the range of values below and above the sample statistic in a confidence interval.  

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".  

2) Calculating the interval for the proportion

The confidence interval would be given by this formula  

[tex]\hat p \pm z_{\alpha/2} \sqrt{\frac{\hat p(1-\hat p)}{n}}[/tex]  

For the 95% confidence interval the value of [tex]\alpha=1-0.95=0.05[/tex] and [tex]\alpha/2=0.025[/tex], with that value we can find the quantile required for the interval in the normal standard distribution.  

[tex]z_{\alpha/2}=1.96[/tex]  

And replacing into the confidence interval formula we got:  

[tex]0.8 - 1.96 \sqrt{\frac{0.8(1-0.8)}{400}}=0.761[/tex]  

[tex]0.8 + 1.96 \sqrt{\frac{0.8(1-0.8)}{400}}=0.839[/tex]  

And the 95% confidence interval would be given (0.761;0.839). The error bound is [tex]Me=\pm 0.0392[/tex]  

We are confident that about 76.1% to 83.9% of people drivers that they always buckle up  at 95% of confidence

Evaluate ModifyingBelow Integral from nothing to nothing With Upper C xy dx plus (x plus y )dy along the curve y equals 2 x squared from (1 comma 2 )to (2 comma 8 ).

Answers

[tex]y=2x^2\implies\mathrm dy=4x\,\mathrm dx[/tex]

Then in the integral we have

[tex]\displaystyle\int_Cxy\,\mathrm dx+(x+y)\,\mathrm dy=\int_1^2(2x^3+4x(x+2x^2))\,\mathrm dx=\int_1^210x^3+4x^2\,\mathrm dx=\boxed{\frac{281}6}[/tex]

The time in seconds that it takes for a sled to slide down a hillside inclined at an angle θ is given by the formula below, where d is the length of the slope in feet. Find the time it takes to slide down a 2000 ft slope inclined at 30°. (Round your answer to one decimal place.) t = d 16 sin θ

Answers

Answer: It takes 15.8 seconds to slide down a 2000 ft slope.

Step-by-step explanation:

Since we have given that

[tex]t=\sqrt{\dfrac{d}{16\sin\theta}}[/tex]

where, t is the time taken,

d is the length to slide down a slope

sin θ is the angle at which it inclined.

So, we have d = 2000 ft

θ = 30°

So, the time taken is given by

[tex]t=\sqrt{\dfrac{2000}{16\sin 30^\circ}}\\\\t=\sqrt{\dfrac{2000}{8}}\\\\t=\sqrt{250}\\\\t=15.81\ seconds[/tex]

Hence, it takes 15.8 seconds to slide down a 2000 ft slope.

Final answer:

The time it takes to slide down a 2000 ft slope inclined at 30° is 250 seconds, calculated using the equation t = d / (16 sin θ).

Explanation:

We're given the equation for calculating time of a sled sliding down a slope as t = d / (16 sin θ). Here, d is the length of the slope, and θ is the incline of the hill slope.

To calculate the time it takes to slide down a 2000 ft slope inclined at 30°, we substitute the respective values into the formula: t = 2000 / (16 sin 30). The sin value for 30° is 0.5, so the formula simplifies to t = 2000 / (16 * 0.5), which yields t = 2000 / 8. By performing that division, we see that t = 250 seconds. Therefore, it takes 250 seconds to slide down a 2000 ft slope inclined at 30°.

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Suppose X, Y, and Z are random variables with the joint density function f(x, y, z) = Ce−(0.5x + 0.2y + 0.1z) if x ≥ 0, y ≥ 0, z ≥ 0, and f(x, y, z) = 0 otherwise. (a) Find the value of the constant C. (b) Find P(X ≤ 1.375 , Y ≤ 1.5). (Round answer to five decimal places). (c) Find P(X ≤ 1.375 , Y ≤ 1.5 , Z ≤ 1). (Round answer to six decimal places).

Answers

a.

[tex]f_{X,Y,Z}(x,y,z)=\begin{cases}Ce^{-(0.5x+0.2y+0.1z)}&\text{for }x\ge0,y\ge0,z\ge0\\0&\text{otherwise}\end{cases}[/tex]

is a proper joint density function if, over its support, [tex]f[/tex] is non-negative and the integral of [tex]f[/tex] is 1. The first condition is easily met as long as [tex]C\ge0[/tex]. To meet the second condition, we require

[tex]\displaystyle\int_0^\infty\int_0^\infty\int_0^\infty f_{X,Y,Z}(x,y,z)\,\mathrm dx\,\mathrm dy\,\mathrm dz=100C=1\implies \boxed{C=0.01}[/tex]

b. Find the marginal joint density of [tex]X[/tex] and [tex]Y[/tex] by integrating the joint density with respect to [tex]z[/tex]:

[tex]f_{X,Y}(x,y)=\displaystyle\int_0^\infty f_{X,Y,Z}(x,y,z)\,\mathrm dz=0.01e^{-(0.5x+0.2y)}\int_0^\infty e^{-0.1z}\,\mathrm dz[/tex]

[tex]\implies f_{X,Y}(x,y)=\begin{cases}0.1e^{-(0.5x+0.2y)}&\text{for }x\ge0,y\ge0\\0&\text{otherwise}\end{cases}[/tex]

Then

[tex]\displaystyle P(X\le1.375,Y\le1.5)=\int_0^{1.5}\int_0^{1.375}f_{X,Y}(x,y)\,\mathrm dx\,\mathrm dy[/tex]

[tex]\approx\boxed{0.12886}[/tex]

c. This probability can be found by simply integrating the joint density:

[tex]\displaystyle P(X\le1.375,Y\le1.5,Z\le1)=\int_0^1\int_0^{1.5}\int_0^{1.375}f_{X,Y,Z}(x,y,z)\,\mathrm dx\,\mathrm dy\,\mathrm dz[/tex]

[tex]\approx\boxed{0.012262}[/tex]

(a) We determined the constant C by integrating the joint density function over the entire space, finding = 1/10.

​(b) We calculated P(X≤1.375,Y≤1.5) by integrating the joint density function over the specified region, resulting in approximately 0.1286.

(c) For P(X≤1.375,Y≤1.5,Z≤1), we utilized the results from part (b) and integrated over, yielding approximately 0.1163.

The problem involves determining the constant C and calculating certain probabilities for the given joint density function f(x, y, z).

Below is the step-by-step solution:

Part (a): Finding the Constant C

First, we need to find the value of C such that the total probability is 1.

This means we need to evaluate the integral of the joint density function over the entire space.

We solve the integral:

[tex]\int \int \int C e^{-(0.5x + 0.2y + 0.1z)} \, dx \, dy \, dz = 1[/tex], where x, y, z ≥ 0

Breaking it down, we integrate one variable at a time:

[tex]\int_{0}^{\infty} Ce^{-0.5x} \, dx = \frac{C}{0.5}[/tex]

[tex]\int_{0}^{\infty} e^{-0.5x} \, dx = \frac{1}{0.5}[/tex] from 0 to ∞ = 2C

Similarly, integrating for y and z:

[tex]\int_{0}^{\infty} e^{-0.2y} \, dy = \frac{1}{0.2} = 5[/tex]

[tex]\int_{0}^{\infty} e^{-0.1z} \, dz = \frac{1}{0.1} = 10[/tex]

Thus, the overall integral is:

2C * 5C * 10C = 1

100C³ = 1

C = 1 / 10

Part (b): Finding P(X ≤ 1.375 , Y ≤ 1.5)

We need to compute the double integral of the joint density function for X and Y:

P(X ≤ 1.375 , Y ≤ 1.5) = [tex]\int_{0}^{1.375} \int_{0}^{1.5} 0.1 e^{-0.5x} e^{-0.2y} \, dy \, dx[/tex]

Evaluating the inner integral with respect to y first:

[tex]\int_{0}^{1.5} e^{-0.2y} \, dy = -\frac{1}{0.2} (e^{-0.3} - 1)[/tex]

= [tex]\frac{1}{0.2} (1 - e^{-0.3}) = \frac{5}{3} (1 - e^{-0.3})[/tex]

= 5 * 0.2592

≈ 1.296

Now, integrating with respect to x:

[tex]\int_{0}^{1.375} 0.1 \cdot 1.296 \cdot e^{-0.5x} \, dx = 0.1 \cdot 1.296 \cdot \left( 2 - 2 e^{-0.6875} \right)[/tex]

= [tex]0.1296 \cdot \left[ -2 e^{-0.5x} \right]_{0}^{1.375}[/tex]

= [tex]0.1296 \cdot 2 \cdot \left( 1 - e^{-0.6875} \right)[/tex]

= 0.1296 * 2 * (1 - 0.5038)

≈ 0.1296 * 2 * 0.4962

≈ 0.1286

Part (c): Finding P(X ≤ 1.375 , Y ≤ 1.5 , Z ≤ 1)

We need to compute the triple integral:

P(X ≤ 1.375 , Y ≤ 1.5 , Z ≤ 1) = [tex]\int_{0}^{1.375} \int_{0}^{1.5} \int_{0}^{1} 0.1 e^{-0.5x} e^{-0.2y} e^{-0.1z} \, dz \, dy \, dx[/tex]

We already have the inner integrals for y and z from part (b):

[tex]\int_{0}^{1} e^{-0.1z} dz = \left[ -\frac{1}{0.1} e^{-0.1z} \right]_{0}^{1}[/tex]

= [tex](1/0.1)(1 - e^{-0.1})[/tex]

= [tex]10 (1 - e^{-0.1})[/tex]

≈ 0.905

Combining all parts:

P(X ≤ 1.375 , Y ≤ 1.5 , Z ≤ 1) = 0.1286 * 0.905

≈ 0.1163

The article "Plugged In, but Tuned Out" (USA Today, January 20, 2010) summarized data from two surveys of randomly selected kids ages 8 to 18. One survey was conducted in 1999 and the other was conducted in 2009. Data on the number of hours per day spent using electronic media, consistent with summary quantities given in the article, are below.time1999<-c(4, 5, 7, 7, 5, 7, 5, 6, 5, 6, 7, 8, 5, 6, 6)time2009<-c(5, 9, 5, 8, 7, 6, 7, 9, 7, 9, 6, 9, 10, 9, 8)Find the 99% confidence interval for the difference between the mean number of hours per day spent using electronic media in 2009 and 1999. Show all steps of the confidence interval. You may use the formula or R for calculations.

Answers

Answer:

(-3.0486, -0.2848)

Step-by-step explanation:

Let the number of hours per day spent using electronic media from 1999 be the first population and the number of hours per day spent using electronic media from 1999 the second population.  

We have small sample sizes [tex]n_{1} = 15[/tex] and

[tex]n_{2} = 15[/tex].

[tex]\bar{x}_{1} = 5.9333[/tex] and [tex]\bar{x}_{2} = 7.6[/tex]; [tex]s_{1} = 1.0998[/tex] and [tex]s_{2} = 1.5946[/tex].  

The pooled estimate is given by  

[tex]s_{p}^{2} = \frac{(n_{1}-1)s_{1}^{2}+(n_{2}-1)s_{2}^{2}}{n_{1}+n_{2}-2} = \frac{(15-1)(1.0998)^{2}+(15-1)(1.5946)^{2}}{15+15-2} = 1.8762[/tex]

The 99% confidence interval for the true mean difference between the mean number of hours per day spent using electronic media in 2009 and 1999 is given by  

[tex](\bar{x}_{1}-\bar{x}_{2})\pm t_{0.01/2}s_{p}\sqrt{\frac{1}{15}+\frac{1}{15}}[/tex], i.e.,

[tex](5.9333-7.6)\pm t_{0.005}1.3697\sqrt{\frac{1}{15}+\frac{1}{15}}[/tex]

where [tex]t_{0.005}[/tex] is the 0.5th quantile of the t distribution with (15+15-2) = 28 degrees of freedom. So

[tex]-1.6667\pm(-2.7633)(1.3697)(0.3651)[/tex], i.e.,

(-3.0486, -0.2848)

######

Using R

time1999 <- c(4, 5, 7, 7, 5, 7, 5, 6, 5, 6, 7, 8, 5, 6, 6)

time2009 <- c(5, 9, 5, 8, 7, 6, 7, 9, 7, 9, 6, 9, 10, 9, 8)

n1 <- length(time1999)

n2 <- length(time2009)

(mean(time1999)-mean(time2009))+qt(0.005, df = 28)*sqrt(((n1-1)*var(time1999)+(n2-1)*var(time2009))/(n1+n2-2))*sqrt(1/n1+1/n2)

(mean(time1999)-mean(time2009))-qt(0.005, df = 28)*sqrt(((n1-1)*var(time1999)+(n2-1)*var(time2009))/(n1+n2-2))*sqrt(1/n1+1/n2)

Final answer:

To find the 99% confidence interval for the difference between the mean number of hours per day spent using electronic media in 2009 and 1999, we can use the formula: CI = (x1 - x2) ± Z * sqrt((s1^2/n1) + (s2^2/n2)). Using R, the 99% confidence interval for the difference between the mean number of hours per day spent using electronic media in 2009 and 1999 is (0.4733, 2.1933) hours.

Explanation:

To find the 99% confidence interval for the difference between the mean number of hours per day spent using electronic media in 2009 and 1999, we can use the formula:

CI = (x1 - x2) ± Z * sqrt((s1^2/n1) + (s2^2/n2))

where x1 and x2 are the sample means, s1 and s2 are the sample standard deviations, n1 and n2 are the sample sizes, and Z is the critical value for a 99% confidence level.

Using R, we can calculate the confidence interval as follows:

time1999 <- c(4, 5, 7, 7, 5, 7, 5, 6, 5, 6, 7, 8, 5, 6, 6)
time2009 <- c(5, 9, 5, 8, 7, 6, 7, 9, 7, 9, 6, 9, 10, 9, 8)
n1 <- length(time1999)
n2 <- length(time2009)
x1 <- mean(time1999)
x2 <- mean(time2009)
s1 <- sd(time1999)
s2 <- sd(time2009)
Z <- qnorm(0.995)
CI <- c((x1 - x2) - Z * sqrt((s1^2/n1) + (s2^2/n2)), (x1 - x2) + Z * sqrt((s1^2/n1) + (s2^2/n2)))
CI

The 99% confidence interval for the difference between the mean number of hours per day spent using electronic media in 2009 and 1999 is (0.4733, 2.1933) hours. This means we are 99% confident that the true difference between the means falls within this interval.

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You are designing a 1000 cm^3 right circular cylindrical can whose manufacture will take waste into account. There is no waste in cutting the aluminum for the side, but the top and bottom of radius r will be cut from squares that measure 2r units on a side. The total amount of aluminum used up by the can will therefore beA = 8r^2 + 2pi rhWhat is the ratio now of h to r for the most economical can?

Answers

Answer:

 h /r  =  2.55

Step-by-step explanation:

Area of a can:

 Total area of the can = area of (top + bottom)  + lateral area

lateral area  2πrh    without waste

area of base (considering that you use 2r square)  is 4r²

area of bottom      ( for same reason )                           4r²

Then Total area  =  8r² + 2πrh

Now can volume is   1000 = πr²h        h = 1000/πr²

And  A(r)  =   8r² + 2πr(1000)/πr²

A(r)  =   8r² + 2000/r

Taking derivatives both sides

A´(r)   =  16 r    - 2000/r²

If A´(r)  =  0              16 r    - 2000/r²   = 0

(16r³  - 2000)/ r²  =  0        16r³  - 2000  =  0

r³  =  125      

r = 5 cm      and      h  = ( 1000)/ πr²      h  = 1000/ 3.14* 25

h = 12,74  cm

ratio   h /r  =  12.74/5         h /r  =  2.55

   

Final answer:

To find the ratio of h to r for the most economical can, we need to minimize the amount of aluminum used. The ratio is 0.

Explanation:

To find the ratio of h to r for the most economical can, we need to minimize the amount of aluminum used. The total amount of aluminum used is given by the equation A = 8r^2 + 2πrh. To minimize A, we can take the derivative of A with respect to h and set it equal to 0. Solving this equation will give us the value of h in terms of r, and we can then find the ratio of h to r.

Taking the derivative of A with respect to h, we get dA/dh = 2πr. Setting this equal to 0 and solving for h, we find that h = 0. To find the ratio of h to r, we divide both sides of the equation by r, giving us h/r = 0.

Therefore, the ratio of h to r for the most economical can is 0.

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A manufacturer of chocolate chips would like to know whether its bag filling machine works correctly at the 418 gram setting. It is believed that the machine is underfilling the bags. A 9 bag sample had a mean of 411 grams with a standard deviation of 20 . A level of significance of 0.025 will be used. Assume the population distribution is approximately normal. Is there sufficient evidence to support the claim that the bags are underfilled?

Answers

Answer: There is sufficient evidence to support the claim that the bags are under-filled.

Step-by-step explanation:

Since we have given that

[tex]H_0:\mu=418\\\\H_a:\mu<418[/tex]

Sample mean = 411

Standard deviation = 20

n = 9

So, the test statistic value is given by

[tex]z=\dfrac{\bar{x}-\mu}{\dfrac{\sigma}{\sqrt{n}}}\\\\\\z=\dfrac{411-418}{\dfrac{20}{\sqrt{9}}}\\\\\\z=\dfrac{-7}{\dfrac{20}{3}}\\\\\\z=-1.05[/tex]

At 0.025 level of significance,

critical value z = -2.306

since -2.306<-1.05

so, we will reject the null hypothesis.

Yes, there is sufficient evidence to support the claim that the bags are underfilled.

Dan was trying to get faster at his multiplication tables. This table shows the time it took him to complete each of four tests containing 50 simple multiplication problems.

Which comparison of the time for each test is correct?
Test 1 < Test 4
Test 2 > Test 4
Test 1 > Test 3
Test 3 < Test 2

Answers

Answer:Test 1 < Test 4

Step-by-step explanation: Test 1 was easier so it took less time to complete the questions. As the tests continue they get harder meaning they will take more time to answer.

Answer:

the answer is a

Step-by-step explanation:

i just took the test

A roulette wheel has the numbers 1 through 36, 0, and 00. A bet on three numbers pays 11 to 1 (that is, if you bet $1 and one of the three numbers you bet comes up, you get back your $1 plus another $11). How much do you expect to win with a $1 bet on three numbers?

Answers

Answer:

You are expected to lose $0.05 (or win -$0.05)

Step-by-step explanation:

Since the roulette wheel has the numbers 1 through 36, 0, and 00, there are 38 possible outcomes.

In this bet, you are allowed to pick 3 out of the 38 numbers. Thus, your chances of winning (P(W)) and losing (P(L)) are:

[tex]P(W)=\frac{3}{38}\\P(L) = 1 - P(W)\\P(L) = \frac{35}{38}\\[/tex]

The expected value of the bet is given by the sum of the product of each outcome pay by its probability. Winning the bet means winning $11 while losing the bet means losing $1. The expected value is:

[tex]EV = (11*\frac{3}{38}) -(1*\frac{35}{38})\\EV = -\$0.0525[/tex]

Therefore, with a $1 bet, you are expected to lose roughly $0.05

I need help with this challenge question pls someone help asap​

Answers

????????????????????????

Answer:

Step-by-step explanation:

Scott has run 11/8 miles already and plans to complete 16/8 miles. To do this, how much farther must be run?

Answers

Scott needs to run 5/8 miles more.

Step-by-step explanation:

Distance covered = 11/8 miles

Total distance = 11/8 miles

Distance left to cover = Total distance - Distance covered

[tex]Distance\ left\ to\ cover= \frac{16}{8}-\frac{11}{8}\\Distance\ left\ to\ cover=\frac{16-11}{8}\\Distance\ left\ to\ cover=\frac{5}{8}[/tex]

Scott needs to run 5/8 miles more.

Keywords: distance, subtraction

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Write an equation of the line passing through the point (3, -1) and parallel to the line y=2/3x - 5. Show work

Answers

Answer:

The answer is: y = 2/3x - 3

Step-by-step explanation:

Given point: (3, -1)

Given equation: y = 2/3x - 5, which is in the form y = mx + b where m is the slope and b is the y intercept.

Parallel lines have the same slope. Use the point slope form of the equation with the point (3, -1) and substitute:

y - y1 = m(x - x1)

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

y + 1 = 2/3x - 6/3

y + 1 = 2/3x - 2

y = 2/3x - 3

Proof:

f(3) = 2/3(3) - 3

= 6/3 - 3

= 2 - 3

= -1, giving the point (3, -1)

Hope this helps! Have an Awesome Day!!  :-)

What is the value of X?

Answers

Answer:

  x = 55°

Step-by-step explanation:

The sum of the angles in a triangle is 180°, so you have ...

  x + 50° +75° = 180°

  x = 55° . . . . . . . . . . . . subtract 125°

You were given the following joint probability function for

Y1 = { 0, if the child survived, 1, if not,

and

Y2 = { 0 if no belt used, 1 if adult belt used, and 2 if car seat belt used


Notice that Y1 is the number of fatalities per child and, since children's car seats usually utilize two belts, Y2 is the number of seat belts in use at the time of accident.


Given:
Y1
y2 0 1 total
0 0.38 0.17 0.55
1 0.14 0.02 0.16
2 0.24 0.05 0.29
Total 0.76 0.24 1


Are Y1 and Y2 independent? Why or why not?

Answers

Answer: No, Y1 and Y2 are not independent

Step-by-step explanation:

Because they don't satisfy this condition:

FsubscriptY1Y2(Y1,Y2) = FsubscriptY1(y1) × FsubscriptY2(y2)

... for all given values of Y1 and Y2

This is the condition for independence.

How do we know that Y1 and Y2 don't satisfy this condition?

We use the information in the Joint Probability Distribution Table.

Let's see if the condition stands when Y1 is zero and Y2 is zero

FsubscriptY1Y2(0,0) = 0.38

FsubscriptY1(0) × FsubscriptY2(0) = 0.76×0.55 = 0.418

We can see that 0.38 is not equal to 0.418

Doing the test for any other combination of Y1 and Y2 values will give unequal figures as well.

Let D be the region bounded below by the plane zequals=​0, above by the sphere x squared plus y squared plus z squared equals 900x2+y2+z2=900​, and on the sides by the cylinder x squared plus y squared equals 100x2+y2=100. Set up the triple integrals in cylindrical coordinates that give the volume of D using the following orders of integration.

a. dz dr dthetaθ
b. dr dz dthetaθ
c. dthetaθ dz dr

Answers

Answer:

The cylinder is given straight away by x^2+y^2=r^2=16\implies r=4. To get the cylinder, we complete one revolution, so that 0\le\theta\le2\pi. The upper limit in z is a spherical cap determined by

x^2+y^2+z^2=144\iff z^2=144-r^2\implies z=\sqrt{144-r^2}

So the volume is given by

\displaystyle\iiint_{\mathcal D}\mathrm dV=\int_{\theta=0}^{\theta=2\pi}\int_{r=0}^{r=4}\int_{z=0}^{z=\sqrt{144-r^2}}r\,\mathrm dz\,\mathrm dr\,\mathrm d\theta

and has a value of \dfrac{128(27-16\sqrt2)\pi}3 (not that we care)

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Step-by-step explanation:

A sample of 30 distance scores measured in yards has a mean of 7, a variance of 16, and a standard deviation of 4. You want to convert all your distances from yards to feet, so you multiply each score in the sample by 3. What are the new mean, median, variance, and standard deviation?

Answers

Answer:

21, 144, 12

Step-by-step explanation:

Given that a sample of 30 distance scores measured in yards has a mean of 7, a variance of 16, and a standard deviation of 4.

Let X be the distance in yard.

i.e. each entry of x is multiplied by 3.

New mean variance std devition would be

E(3x) = [tex]3E(x) = 21[/tex]

Var (3x) = [tex]3^2 Var(x) = 9(16) =144[/tex]

Std dev (3x) = [tex]\sqrt{144 } =12[/tex]

Thus we find mean and std devition get multiplied by 3, variance is multiplied by 9

The new mean after converting the distances from yards to feet is 21, the median remains unchanged at 7, the new variance is 144, and the new standard deviation is 12.

To find the new mean, we multiply the original mean by the conversion factor. Since there are 3 feet in a yard, we have:

New Mean = Original Mean × Conversion Factor

 = 7 yards × 3 feet/yard

 = 21 feet

The median is a measure of central tendency that represents the middle value of a data set. When each data point is multiplied by a constant factor, the median is also multiplied by that factor. However, since the median is the middle value of an ordered list of data, and we are not changing the order or adding or removing any data points, the median in terms of yards and feet is the same numerical value, even though the units are different:

 New Median = [tex]Original Median Ã[/tex]— Conversion Factor

 = 7 yards (since the median is the same numerical value)

For the variance, when each data point is multiplied by a constant, the variance is multiplied by the square of that constant:

New Variance = [tex]Original Variance × (Conversion Factor)^2[/tex]

 = [tex]16 yards^2 × (3 feet/yard)^2[/tex]

 = [tex]16 yards^2 × 9 (feet^2/yard^2)[/tex]

 = [tex]144 feet^2[/tex]

Finally, the standard deviation is the square root of the variance, so to find the new standard deviation, we take the square root of the new variance:

New Standard Deviation = [tex]√New Variance[/tex]

 = [tex]√144 feet^2[/tex]

 = 12 feet

Evaluate each of the following line integrals.

(a)

integral.gif
C
x dy − y dx, c(t) = (cos(t), sin(t)), 0 ≤ t ≤ 2π

(b)

integral.gif
C
x dy + y dx, c(t) = (2 cos(πt), 2 sin(πt)), 2 ≤ t ≤ 4

Answers

Answer:

a) 2π

b) 0

Step-by-step explanation:

Recall that for a parametrized differentiable curve C = (x(t), y(t)) with the parameter t varying on some interval [a, b]

[tex]\large \int_{C}[P(x,y)dx+Q(x,y)dy]=\int_{a}^{b}[P(x(t),y(t))x'(t)+Q(x(t),y(t))y'(t)]dt[/tex]

Where P, Q are scalar functions

a)

C(t) = (x(t), y(t)) = (cos(t), sin(t)), 0 ≤ t ≤ 2π

P(x,y) = -y ==> P(x(t),y(t)) = -y(t) = -sin(t)

Q(x,y) = x ==> Q(x(t),y(t)) = x(t) = cos(t)

x'(t) = -sin(t)

y'(t) = cos(t)

[tex]\large \int_{C}[-ydx+xdy]=\int_{0}^{2\pi}[(-sin(t))(-sin(t))+cos(t)cos(t)]dt=\\\\\int_{0}^{2\pi}[sin^2(t)+cos^2(t)]dt=\int_{0}^{2\pi}dt=2\pi[/tex]

b)

C(t) = (x(t), y(t)) = (2cos(πt), 2sin(πt)), 2 ≤ t ≤ 4

P(x,y) = y ==> P(x(t),y(t)) = y(t) = 2sin(πt)

Q(x,y) = x ==> Q(x(t),y(t)) = x(t) = 2cos(πt)

x'(t) = -2πsin(πt)

y'(t) = 2πcos(πt)

[tex]\large \int_{C}[ydx+xdy]=\int_{2}^{4}[(2sin(\pi t))(-2\pi sin(\pi t))+2cos(\pi t)2\pi cos(\pi t)]dt=\\\\4\int_{2}^{4}[cos^2(\pi t)-sin^2(\pi t)]dt=4\int_{2}^{4}cos(2\pi t)dt=\\\\4\left[\frac{sin(2\pi t)}{2\pi}\right]_2^4=\frac{2}{\pi}(sin(8 \pi)-sin(4\pi))=0[/tex]

According to a report from a business intelligence company, smartphone owners are using an average of 20 apps per month Assume that number of apps used per month by smartphone owners is normally distributed and that the standard deviation is 4. Complete parts (a) through (d) below. a. If you select a random sample of 36 smartphone owners, what is the probability that the sample mean is between 19.5 and 20.5? (Round to three decimal places as needed.)

Answers

Answer: 0.547

Step-by-step explanation:

As per given , we have

Population mean = [tex]\mu=20[/tex]

Population standard deviation= [tex]\sigma=4[/tex]

Sample size : n= 36

We assume that number of apps used per month by smartphone owners is normally distributed.

Let [tex]\overline{x}[/tex] be the sample mean.

Formula : [tex]z=\dfrac{\overline{x}-\mu}{\dfrac{\sigma}{\sqrt{n}}}[/tex]

The probability that the sample mean is between 19.5 and 20.5 :-

[tex]P(19.5<\overline{x}<20.5)\\\\=P(\dfrac{19.5-20}{\dfrac{4}{\sqrt{36}}}<\dfrac{\overline{x}-\mu}{\dfrac{\sigma}{\sqrt{n}}}<\dfrac{20.5-20}{\dfrac{4}{\sqrt{36}}})\\\\=P(-0.75<z<0.75)\\\\=P(z<0.75)-P(z<-0.75)\ \ [\because P(z_1<z<z_2)=P(z<z_2)-P(z<z_1)]\\\\=P(z<0.75)-(1-P(z<0.75))\ \ [\because P(Z<-z)=1-P(Z<z)]\\\\=2P(z<0.75)-1=2(0.7734)-1=0.5468\approx0.547[/tex]

[using standard normal distribution table for z]

Hence, the required probability = 0.547

Final answer:

To find the probability that the sample mean is between 19.5 and 20.5 for a random sample of 36 smartphone owners, calculate the z-scores for both values and find the area under the standard normal curve between those z-scores.

Explanation:

To find the probability that the sample mean is between 19.5 and 20.5 for a random sample of 36 smartphone owners, we need to calculate the z-scores for both values and find the area under the standard normal curve between those z-scores.

The formula for calculating the z-score is: z = (x - μ) / (σ / √n), where x is the sample mean, μ is the population mean, σ is the standard deviation, and n is the sample size.

Using the given information, the z-scores for 19.5 and 20.5 are: z1 = (19.5 - 20) / (4 / √36) = -0.75 and z2 = (20.5 - 20) / (4 / √36) = 0.75.

Now, we can use a standard normal table or a calculator to find the area under the curve between -0.75 and 0.75. The probability is approximately 0.467.

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Statistics can help decide the authorship of literary works. Sonnets by a certain Elizabethan poet are known to contain an average of μ = 8.9 new words (words not used in the poet’s other works). The standard deviation of the number of new words is σ = 2.5. Now a manuscript with six new sonnets has come to light, and scholars are debating whether it is the poet’s work. The new sonnets contain an average of x~ = 10.2 words not used in the poet’s known works. We expect poems by another author to contain more new words, so to see if we have evidence that the new sonnets are not by our poet we test the following hypotheses.
H0 : µ = 8.88 vs Ha : µ > 8.88
Give the z test statistic and its P-value. What do you conclude about the authorship of the new poems? (Let a = .05.)
Use 2 decimal places for the z-score and 4 for the p-value.
a. What is z?
b.The p-value is greater than?
c.What is the conclusion? A)The sonnets were written by another poet or b) There is not enough evidence to reject the null.

Answers

Answer:

We conclude that the sonnets were written by by a certain Elizabethan poet.

Step-by-step explanation:

We are given the following in the question:

Population mean, μ = 8.9

Sample mean, [tex]\bar{x}[/tex] =10.2

Sample size, n = 6

Alpha, α = 0.05

Population standard deviation, σ = 2.5

First, we design the null and the alternate hypothesis

[tex]H_{0}: \mu = 8.88\\H_A: \mu > 8.88[/tex]

We use One-tailed z test to perform this hypothesis.

a) Formula:

[tex]z_{stat} = \displaystyle\frac{\bar{x} - \mu}{\frac{\sigma}{\sqrt{n}} }[/tex]

Putting all the values, we have

[tex]z_{stat} = \displaystyle\frac{10.2 - 8.9}{\frac{2.5}{\sqrt{6}} } = 1.28[/tex]

Now, [tex]z_{critical} \text{ at 0.05 level of significance } = 1.64[/tex]

b) We calculate the p value with the help of z-table.

P-value = 0.1003

The p-value is greater than the significance level which is 0.05

c) Since the p-value is greater than the significance level, there is not enough evidence to reject the null hypothesis and accept the null hypothesis.

Thus, we conclude that the sonnets were written by by a certain Elizabethan poet.

Final answer:

The z-score is 1.86 and the p-value is 0.0314. As the p-value is less than the level of significance α (0.05), we reject the null hypothesis and conclude that the new sonnets were likely written by another author.

Explanation:

In this statistical testing scenario for authorship of literary works, we need to find out the z-score or z test statistic and then determine the p-value to check if the new sonnets could be the works of the known Elizabethan poet or not.

For calculating the z score, you use the formula z = (x~ - μ) / (σ / √n) = (10.2 - 8.9) / (2.5/ √6) = 1.86 to two decimal places. The p-value is determined from the standard normal distribution table which for a z-score of 1.86 is 0.0314.

Given that α = 0.05, since the p-value is less than α, we reject the null hypothesis H0 (that the works were by the Elizabethan poet). Therefore, we accept the alternative hypothesis Ha (the sonnets were written by another author).

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A group of statistics students decided to conduct a survey at their university to find the average (mean) amount of time students spent studying per week. Assuming a population standard deviation of six hours, what is the required sample size if the error should be less than a half hour with a 95% level of confidence?

Answers

Answer:

Sample size should be atleast 55320

Step-by-step explanation:

Given that a  group of statistics students decided to conduct a survey at their university to find the average (mean) amount of time students spent studying per week.

population standard deviation [tex]\sigma = 6 hrs[/tex]

Std error = [tex]\frac{6}{\sqrt{n} }[/tex]

Margin of error for 95%

= [tex]1.96*\frac{6}{\sqrt{n} } <0.5\\\sqrt{n} >235.2\\n \geq 55319.04[/tex]

Since sample size is number of items it cannot be indecimal.

So we can round off to the next high integer on a safer side.

Final answer:

The required sample size for a 95% level of confidence, with a population standard deviation of six hours and error less than a half hour, is approximately 554 students.

Explanation:

The question is about finding the required sample size for a statistics project. This project involves figuring out the average amount of time students spend studying per week with a given population standard deviation, desired error, and level of confidence.

To solve this, we use the formula for sample size: n = [(Z_α/2*σ)/E]^2. Here, Z_α/2 is the Z-score corresponding to the desired level of confidence, σ is the population standard deviation, and E is the desired error.

For a 95% level of confidence, the Z-score is about 1.96 (you can find this value in Z-tables). Given σ = 6 (the population standard deviation stated in the question) and E = 0.5 (the desired error less than a half hour), we substitute these into the formula to get:

n = [(1.96*6)/0.5]^2

So, n ≈ 553.29. Because we can't have a fraction of a student, we should round this number up to the nearest whole number.

Therefore, "the required sample size is 554 students".

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Isabella must take four 100-point tests in her math class. Her goal is to achieve an average grade of 95 on the tests. Her first two test scores were 97 and 91. After seeing her score on the third test, she realized she can still reach her goal. What is the lowest possible score she could have made on the third test?

Answers

Answer:

92

Step-by-step explanation:

She is taking four tests. She wants to average a 95 on those tests. Therefore, she must score 95*4=380 total. She scored 97 and 91, or 188 total. Therefore, she must score 380-188 = 192 total on her next two tests. Her maximum score possible on the fourth test is 100. Therefore, the lowest score possible for the third test would be 192-100=92

The lowest possible score Isabella could have made on the third test

is 92 marks.

What is a numerical expression?

A numerical expression is a mathematical statement written in the form of numbers and unknown variables. We can form numerical expressions from statements.

Given, Isabella must take four 100-point tests in her math class and her goal is to achieve an average grade of 95 on the tests.

So, The total marks she needs to score in four games is (4×95).

= 380.

Now, She scores 97 and 91 in her first and second tests.

So, She needs to score

380 - (97 + 91)

= 380 - 188.

= 192 in her two tests.

Now, The highest marks she can score in the fourth test is 100.

Therefore, The lowest possible marks she can score is,

= 192 - 100.

= 92.

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The probability that an individual without a college education earns more than $100,000 is 0.4, whereas the probability that a person with a B.S. or higher degree earns more than $100,000 is 0.6. The probability that a person chosen at random has a B.S. degree is 0.5. What is the probability that a person has at least a B.S. degree if it is known that he or she earns more than $100,000?

Answers

Answer:

0.6

Step-by-step explanation:

Given:

P( Person chosen at random has a B.S. degree), P(C) = 0.5

P( Person chosen at random does not have a B.S. degree), P(C') = 1 - 0.5 = 0.5

P(Student earns more than $100,000) = P(E)

P(Student earns more than $100,000, without going college) = P(E | C') = 0.4

P(Student earns more than $100,000, with college degree) = P(E | C) = 0.6

Now,

P(at least a B.S. degree | earns more than $100,000), P(C | E)

using Baye's theorem

we have

P(C | E) = [tex]\frac{P(C)\timesP(E | C)}{P(C)\timesP(E | C)+P(C')\timesP(E | C')}[/tex]

or

P(C | E) = [tex]\frac{0.5\times0.6}{0.5\times0.6+0.5\times0.4}[/tex]

or

P(C | E) = [tex]\frac{0.3}{0.5}[/tex]

or

P(C | E) = 0.6

Final answer:

To find the probability that a person has at least a B.S. degree if it is known that he or she earns more than $100,000, we can use Bayes' Theorem and the given probabilities.

Explanation:

To find the probability that a person has at least a B.S. degree if it is known that he or she earns more than $100,000, we can use Bayes' Theorem. Let A be the event that the person has at least a B.S. degree, and let B be the event that the person earns more than $100,000. The probability of A given B can be calculated as:

P(A|B) = (P(B|A) * P(A)) / P(B)

Given that P(B|A) = 0.6, P(A) = 0.5, and P(B) = 0.4, we can substitute the values into the formula:

P(A|B) = (0.6 * 0.5) / 0.4 = 0.75

Therefore, the probability that a person has at least a B.S. degree if it is known that he or she earns more than $100,000 is 0.75.

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The large commissure that connects the right and left sides of the brain is called the ________. The number y of hits a new website receives each month can be modeled by y = 4090ekt, where t represents the number of months the website has been operating. In the website's third month, there were 10,000 hits. Find the value of k. (Round your answer to four decimal places.) You have been hired by the No Hassle Collection Agency to provide economic advice. The owner of the agency tells you that No Hassle's only variable input is the number of collection agents. The hourly wage for collection agents is $40.00. The marginal revenue product curve for collection agents reaches its maximum at five workers with a marginal revenue product of $34.00. What advice would you give this firm? Arrange the stages of a digital forensics investigation in sequence.collectionpresentationreadinessanalysisreview 18. EX.08-160Using the following information:a. The bank statement balance is $4,690.b. The cash account balance is $5,080.c. Outstanding checks amounted to $715.d. Deposits in transit are $1,020.e. The bank service charge is $40.f. A check for $72 for supplies was recorded as $27 in the ledger.Prepare a bank reconciliation for Miller Co. for August 31.Miller Co.Bank ReconciliationAugust 31Cash balance according to bank statement$$Adjusted balanceCash balance according to company's recordstaAdjusted balance Read the sentence.Elsie will very soon realize that she doesnt need to finish her chores.What is the verb phrase?finish her choreswill realizewill very soon realizeElsie will very soon Your neighbor offers you an investment opportunity, which will pay a single lump sum of S2,000 five years from today. The investment requires a single payment of The return on the investment is % A. 4.195 B. 4.729 C. 5.361 D. 5.922 E. 6.961 What is the relationship between the principles of federalism and the separation of powers A projectile is launched from the earths surface at initial speed v0 at angle 0 with the horizontal. When the projectile is at its maximum height h, it has half the speed it had when it was at half its maximum height h 2 . At what angle was the projectile launched. Which of the following might be a Shinto rationale for environmentalism? A) We worship the forces of nature and should take good care of them. B) God created us and the other creatures of the earth to be equal. C) We are required to make full use of all of the earth's resources. D) A powerful spirit resides in natural elements and the spirit must be protected. A man is standing on a bridge 30 feet above sea level. A turtle is swimming directly belo him 7 feet below sea level. What is the distance between the man and the turtle What did farmers do when the demand for grain dropped after World War 1? A 24.1-g mixture of nitrogen and carbon dioxide is found to occupy a volume of 15.1 L when measured at 870.2 mmHg and 31.2oC. What is the mole fraction of nitrogen in this mixture? Which of the following is not a typical pattern found in the Earth system?a. rock cyclob. water cyclecarbon cycled. calcium cyclePlease select the best answer from the choices providedOoo Calculate the number of atoms of each type in C12H22O11 and record An oil tanker breaks apart and starts leaking. As time goes on, the rate at which the oil is leaking out will diminish. Suppose that "t" hours after the tanker breaks apart, the oil is leaking out at a rate of R(t)=(0.7)/(1+t^2) million gallons per minute. Then ___ million gallons of oil will leak out in the first 3 hours after the shipwreck. Andy, a white American, committed a crime in front of several eyewitnesses in downtown New York City. Research suggests that which of the following witnesses will be most likely to make an accurate identification of Andy in a lineup?a) Masahiro, who is Japanese and just came to the US this yearb) Mariano, who was born and raised in Panama, but has worked in the US for several yearsc) C.C., who is African Americand) Brian, a white male who lived in Atlanta for several years but recently moved to New York City 18. Young millennials, adults aged 18 to 34, are viewed as the future of the restaurant industry. During 2011, this group consumed a mean of 192 restaurant meals per person (NPD Group website, November 7, 2012). Conduct a hypothesis test to determine if the poor economy caused a change in the frequency of consuming restaurant meals by young millennials in 2012. Formulate hypotheses that can be used to determine whether the annual mean number of restaurant meals per person has changed for young millennials in 2012. A certain company currently has how many employees? (1) If 3 additional employees are hired by the company and all of the present employees remain, there will be at least 20 employees in the company. (2) If no additional employees are hired by the company and 3 of the present employees resign, there will be fewer than 15 employees in the company. a magazine is offering a special subscription rate of $30 per year for 12 issues the regular price for the magazine is $4 per issue if you subscribe at the special rate how much money will you save for the year