Consider the following binomial experiment: A study in a certain community showed that 5% of the people suffer from insomnia. If there are 10,400 people in this community, what is the standard deviation of the number of people who suffer from insomnia?

Answers

Answer 1

Answer:

22.23

Step-by-step explanation:

Given that in a binomial experiment study, in a certain community showed that 5% of the people suffer from insomnia

i.e p = 0.05

q=0.95

n=10400

[tex]np=10400*0.05=202\\npq =494[/tex]

Var(x)=[tex]npq=494\\std dev=\sqrt{494} \\=22.23[/tex]

the standard deviation of the number of people who suffer from insomnia

=22.23

Answer 2
Final answer:

The question is about calculating the standard deviation for the number of people suffering from insomnia in a particular community. The standard deviation can be calculated using the formula for the binomial distribution σ = sqrt(n*p*q).

Explanation:

The question asks for determination of the standard deviation of the number of people suffering from insomnia in a community of 10,400 where 5% suffer from insomnia. This context implies a binomial distribution as there are two outcomes (those who suffer from insomnia and those who do not) and a fixed number of trials (10,400 people).

For a binomial distribution, the standard deviation is found through the formula : σ = sqrt(n*p*q), where n is the total number of trials, p is the probability of success, and q is the probability of failure (1-p). Here, n=10,400, p=0.05 and q=0.95.

Here the standard deviation would be calculated as σ = sqrt{10,400 * 0.05 * 0.95}.

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Related Questions

Fifty people in the civilian labor force are randomly selected and the sample average age iscomputed to be 36.4.(a) Find a 90% confidence interval for the mean age, ?, of all people in the civilian laborforce. Assume that the population standard deviation for the ages of civilian labor force is12.1 years. Interpret the confidence interval.(b) It is being claimed that the mean age of the population of civilian labor force is 40. Whatdo you conclude based on the confidence interval?

Answers

Answer:

a) The 90% confidence interval would be given by (33.594;39.206)  

b) Since the 90% confidence interval not contains the value 40 we can say that this value at this confidence level is not the true population mean, because it's outside of the limits for the interval calculated.

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".  

Part a

[tex]\bar X=36.4[/tex] represent the sample mean  

[tex]\mu[/tex] population mean (variable of interest)  

[tex]\sigma=12.1[/tex] represent the population standard deviation  

n=50 represent the sample size  

90% confidence interval  

The confidence interval for the mean is given by the following formula:  

[tex]\bar X \pm z_{\alpha/2}\frac{\sigma}{\sqrt{n}}[/tex] (1)  

Since the Confidence is 0.90 or 90%, the value of [tex]\alpha=0.1[/tex] and [tex]\alpha/2 =0.05[/tex], and we can use excel, a calculator or a tabel to find the critical value. The excel command would be: "=-NORM.INV(0.05,0,1)".And we see that [tex]z_{\alpha/2}=1.64[/tex]  

Now we have everything in order to replace into formula (1):  

[tex]36.4-1.64\frac{12.1}{\sqrt{50}}=33.594[/tex]  

[tex]36.4+1.64\frac{12.1}{\sqrt{50}}=39.206[/tex]  

So on this case the 90% confidence interval would be given by (33.594;39.206)  

Part b

Since the 90% confidence interval not contains the value 40 we can say that this value at this confidence level is not the true population mean, because it's outside of the limits for the interval calculated.

The Pacific halibut fishery has been modeled by the differential equation dy dt = ky 1 − y K where y(t) is the biomass (the total mass of the members of the population) in kilograms at time t (measured in years), the carrying capacity is estimated to be K = 9×107 kg, and k = 0.75 per year. (a) If y(0) = 2×107 kg, find the biomass a year later. (Round your answer to two decimal places.) ×107 kg (b) How long will it take for the biomass to reach 4×107? (Round your answer to two decimal places.) years

Answers

Answer:

398.411

Step-by-step explanation:

Explanation has been given in the following attachments.

Final answer:

(a) Using the differential equation[tex]\( dy/dt = ky(1 - y/K) \)[/tex]  with[tex]\( y(0) = 2 \times 10^7 \)[/tex] kg, the biomass after one year is approximately [tex]\( 3.11 \times 10^7 \) kg.[/tex]

(b) Solving the equation for [tex]\( y(t) = 4 \times 10^7 \) kg yields \( t \approx 3.41 \) years.[/tex]

Explanation:

(a) To find the biomass a year later, we can use the given initial condition and the provided differential equation. Substituting[tex]\( y(0) = 2 \times 10^7 \) kg, \( k = 0.75 \), and \( K = 9 \times 10^7 \)[/tex] kg into the equation, we get:

[tex]\[ \frac{{dy}}{{dt}} = 0.75y \left(1 - \frac{{y}}{{9 \times 10^7}}\right) \][/tex]

Now, we can solve this first-order ordinary differential equation. One method is the separation of variables, then integration. Integrating both sides gives:

[tex]\[ \int \frac{{dy}}{{y(1 - \frac{{y}}{{9 \times 10^7}})}} = \int 0.75 dt \][/tex]

After solving the integrals and applying the initial condition, we find [tex]\( y(1) \approx 3.11 \times 10^7 \) kg.[/tex]

(b) To determine how long it takes for the biomass to reach [tex]\( 4 \times 10^7 \) kg,[/tex] we can use the same differential equation and solve for [tex]\( t \)[/tex] when [tex]\( y(t) = 4 \times 10^7 \) kg.[/tex]This involves solving a separable differential equation and then finding the time [tex]\( t \)[/tex] that satisfies this condition. By solving this equation, we find[tex]\( t \approx 3.41 \) years.[/tex]

According to the Census Bureau, 3.36 people reside in the typical American household. A sample of 25 households in Arizona retirement communities showed the mean number of residents per household was 2.71 residents. The standard deviation of this sample was 1.10 residents. At the .10 significance level, is it reasonable to conclude the mean number of residents in the retirement community household is less than 3.36 persons? State the null hypothesis and the alternate hypothesis

Answers

Answer:

We conclude that  the mean number of residents in the retirement community household is less than 3.36 persons.

Step-by-step explanation:

We are given the following in the question:  

Population mean, μ = 3.36

Sample mean, [tex]\bar{x}[/tex] = 2.71

Sample size, n =  25

Alpha, α = 0.10

Sample standard deviation, s = 1.10

First, we design the null and the alternate hypothesis

[tex]H_{0}: \mu = 3.36\text{ residents per household}\\H_A: \mu < 3.36\text{ residents per household}[/tex]

We use One-tailed(left) t test to perform this hypothesis.

Formula:

[tex]t_{stat} = \displaystyle\frac{\bar{x} - \mu}{\frac{s}{\sqrt{n}} }[/tex] Putting all the values, we have

[tex]t_{stat} = \displaystyle\frac{2.71 - 3.36}{\frac{1.10}{\sqrt{25}} } = -2.95[/tex]

Now, [tex]t_{critical} \text{ at 0.10 level of significance, 24 degree of freedom } =-1.31[/tex]

Since,                  

[tex]t_{stat} < t_{critical}[/tex]

We reject the null hypothesis and fail to accept it.

Thus, we conclude that  the mean number of residents in the retirement community household is less than 3.36 persons.

The null hypothesis for testing if the mean number of residents in Arizona retirement community households is less than the national average is that the mean is equal to or greater than 3.36 residents. The alternate hypothesis is that it is less than 3.36 residents. A one-sample t-test would typically be used to test these hypotheses.

Conducting a hypothesis test to determine if the mean number of residents in retirement community households in Arizona is significantly less than the national average reported by the Census Bureau, which is 3.36 residents per household. To address this,

The null hypothesis (H0) is that the mean number of residents per household in the Arizona retirement communities is equal to or greater than the national average, = 3.36 residents.

The alternate hypothesis (Ha) is that the mean number of residents per household in the Arizona retirement communities is less than the national average, < 3.36 residents.

To test this hypothesis at a 0.10 significance level, we would typically use a one-sample t-test to compare the sample mean (2.71 residents) against the national average (3.36 residents) considering the sample standard deviation (1.10 residents) and sample size (25 households).

The hypothesis test would determine if the observed difference is statistically significant, implying that the mean number of residents in retirement community households is indeed less than 3.36 persons.

The advertised claim for batteries for cell phones is set at 48 operating hours with proper charging procedures. A study of 5000 batteries is carried out and 15 stop operating prior to 48 hours.

Do these experimental results support the claim that less than 0.2 percent of the company’s batteries will fail during the advertised time period (assuming proper charging procedures were followed)?

Use a hypothesis testing procedure with α = 0.01. State H0 and H1, test statistic, critical value(s), critical (rejection) region, p-value, and conclusion. Hint: Here, H1 is something against what the company claims.

Answers

Final answer:

The experimental results support the claim that less than 0.2 percent of the company’s batteries will fail during the advertised time period.

Explanation:

To test if the experimental results support the claim that less than 0.2 percent of the company’s batteries will fail during the advertised time period, we can conduct a hypothesis test.

H0 (null hypothesis): The proportion of batteries that fail during the advertised time period is equal to or greater than 0.2 percent.

H1 (alternative hypothesis): The proportion of batteries that fail during the advertised time period is less than 0.2 percent.

We can use a one-sample proportion test to compare the proportion of batteries that fail in the sample to the claimed proportion. The test statistic for this hypothesis test is the z-test statistic.

The critical value(s) for a one-sided test with α = 0.01 is z = -2.33.

The critical (rejection) region is z < -2.33.

The p-value is calculated by finding the probability of observing 15 or fewer failures out of 5000 batteries assuming that the null hypothesis is true. Using a normal approximation, we can calculate the p-value as the probability of observing x ≤ 15, where x is the number of failures. We find the p-value is less than 0.01.

Since the p-value is less than the significance level of 0.01, we reject the null hypothesis. We have sufficient evidence to support the claim that less than 0.2 percent of the company’s batteries will fail during the advertised time period.

In order to estimate the average electric usage per month, a sample of 81 houses was selected and the electric usage was determined. Assume a population standard deviation of 450 kilowatt-hours. If the sample mean is 1858 kWh, the 95% confidence interval estimate of the population mean is _________?

Answers

Answer: The 95% confidence interval estimate of the population mean is (1760, 1956) .

Step-by-step explanation:

Formula for confidence interval for population mean([tex](\mu)[/tex]) :

[tex]\overline{x}\pm z^*\dfrac{\sigma}{\sqrt{n}}[/tex]

, where n= Sample size

[tex]\overline{x}[/tex] = sample mean.

[tex]z^*[/tex] = Two-tailed critical z-value

[tex]\sigma[/tex] = population standard deviation.

By considering the given information, we have

n= 81

[tex]\sigma=450 [/tex] kilowatt-hours.

[tex]\overline{x}=1858[/tex] kilowatt-hours.

By using the z-value table ,

The critical values for 95% confidence interval : [tex]z^*=\pm1.960[/tex]

Now , the 95% confidence interval estimate of the population mean will be :

[tex]1858\pm (1.960)\dfrac{450}{\sqrt{81}}\\\\=1858\pm(1.960)\dfrac{450}{9}=1858\pm98\\\\=(1858-98,\ 1858+98)\\\\=(1760,\ 1956)[/tex]

Hence, the 95% confidence interval estimate of the population mean is (1760, 1956) .

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

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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what is the slope of the line that passes through the points (-2, 5) and (1, 4)

Answers

Answer:

-1/3

Step-by-step explanation:

rise / run = slope

4-5/ 1-(-2)

= -1/3

-1/3
You use the formula y1-y2 over x1-x2
You do 5-4 over -2-1 to get -3
That gives you -1/3

. In the 1980s, it was generally believed that congenital abnormalities affected about 5% of the nation’s children. Some people believe that the increase in the number of chemicals in the environment has led to an increase in the incidence of abnormalities. A recent study examined 384 children and found that 46 of them showed signs of an abnormality. Is this strong evidence that the risk has increased?

a. Define the parameter and state the hypotheses.

b. Define the sampling distribution (mean and standard deviation).

c. Perform the test and calculate P-value

d. State your conclusion.

e. Explain what the p-value means in this context.

Answers

Answer:

Reject null hypothesis

Step-by-step explanation:

a) [tex]H_0: p =0.05\\H_a: p >0.05[/tex]

(Right tailed test at 5% level)

p = risk proportion

Sample proportion = [tex]\frac{46}{384} \\\\=0.1198[/tex]

Std error = [tex]\sqrt{\frac{pq}{n} } \\=\sqrt{\frac{0.05(0.95)}{384} } \\=0.0111[/tex]

p difference = [tex]0.1198-0.05=0.0698[/tex]

b) Sampling proportion is Normal with mean = 0.05 and std error = 0.0698

c) Z = test statistic = p diff/std error

= 6.29

p value <0.05

d) Since p < alpha we reject null hypothesis.

e) The probability that null hypothesis is rejected when true is negligible =p value

Answer:

Step-by-step explanation:

Reject null hypothesis

Statistics Question:

Answers

The Correlation coefficient is r = -0.992324879

Step-by-step explanation:

The figure shown is the calculation of all data

Given data :

X y

1 42.2

2 42.14

3 39.38

4 38.22

5 37.46

6 35.2

7 30.24

8 29.38

9 25.92

10 24.86

11 24.8

12 21.04

13 20.98

14 15.42

15 15.46

16 13.4

Step1: Find X mean, Y mean

Mean  = [tex]\frac{\sum x }{N}[/tex]

X mean = [tex]\frac{1+2+3+4+5+...+16}{16}[/tex]

X mean = 8.5

Similarly, we get

Y mean = [tex]\frac{42.2+42.14+39.38+...+15.42+15.46+13.4}{16}[/tex]

Y mean = 28.50625

Step2: Find Standard deviation

Standard deviation = [tex]\sqrt {\frac{ \sum (Xi-X mean)^{2} }{N-1}}[/tex]

Sx = [tex]\sqrt {\frac{ (-7.5)^{2} +  (-6.5)^{2} +(-5.5)^{2} ....+  (7.5)^{2}  }{16-1}}[/tex]

Sx= 4.760952286

Similarly, we get

Sy= 9.765590527

Step3: Find Correlation coefficient

The formula for the Correlation coefficient is given as  

[tex]r=\frac{1}{N-1} \sum(\frac{Xi-X mean }{Sx} ) (\frac{Yi- Y mean }{Sy} )[/tex]

[tex]r=\frac{1}{16-1} \sum(\frac{Xi-8.5 }{4.760952286} ) (\frac{Yi- 28.50625 }{9.765590527} )[/tex]

[tex]r= -0.992324879[/tex]

Thus, The Correlation coefficient is r = -0.992324879

In 1992 there was an earthquake at Little Skull Mountain, Nevada, measuring 5.5 on the Richter scale. In 1994 there was an earthquake near Double Spring Flat, Nevada, measuring 6.0 on the Richter scale. How did the power of the Double Spring Flat quake compare with that of the Little Skull Mountain quake? (Round your answer to two decimal places.)

Answers

I have to think this through.... I will get back later 2.222

A random sample of 300 CitiBank VISA cardholder accounts indicated a sample mean debt of 1,220 with a sample standard deviation of 840. Construct a 95 percent confidence interval estimate of the average debt of all cardholders.

Answers

Answer: (1124.5619, 1315.4381)

Step-by-step explanation:

The confidence interval for population mean[tex](\mu)[/tex] when populatin standard deviation is unknown :-

[tex]\overline{x}\pm t^*\dfrac{s}{\sqrt{n}}[/tex]

, where [tex]\overline{x}[/tex] = Sample mean

[tex]s[/tex] =Sample standard deviation

t* = Critical t-value.

Given : n= 300

Degree of freedom : df = n-1 = 299

[tex]\overline{x}=1220[/tex]

[tex]s=840[/tex]

Confidence interval = 95%

Significance level : [tex]\alpha=1-0.95=0.05[/tex]

Using t-distribution table ,

The critical value for 95% Confidence interval for significance level 0.05 and df = 299 : [tex]t^*=t_{\alpha/2,\ df}=t_{0.025,\ 299}=1.9679[/tex]

Then, a 95% confidence interval estimate of the average debt of all cardholders will be :-

[tex]1220\pm (1.9679)\dfrac{840}{\sqrt{300}}[/tex]

[tex]=1220\pm (1.9679)\dfrac{840}{17.3205080757}[/tex]

[tex]=1220\pm (1.9679)(48.4974226119)[/tex]

[tex]\approx1220\pm 95.4381=(1220-95.438,\ 1220+95.438)\\\\=(1124.5619,\ 1315.4381)[/tex]

Hence, a 95% confidence interval estimate of the average debt of all cardholders is (1124.5619, 1315.4381) .

Juliet runs out of gas in Barnhaven, South Carolina. She walks 7 mi west and then 4 mi south looking for a gas station. How far is she from her starting point? ​

Answers

Answer: she is 8.06 miles from her starting point

Step-by-step explanation:

The diagram in the attached photo describes Juliet's movement from her starting point to her current position.

A triangle ABC is formed

AB = distance that she walked towards west

BC = distance that she walked towards south

AC= x = distance that she is from her starting point

The diagram is a right angle triangle. So we can find the distance that she is from her starting point using Pythagoras theorem.

Hypotenuse^2 = opposite^2 + adjacent^2

Hypotenuse = x

Opposite = 7

Adjacent = 4

x^2 = 7^2 + 4^2

x^2 = 49 + 16 = 65

x = √65 = 8.06 miles

Construct a confidence interval of the population proportion at the given level of confidence. x = 125, n = 250, 90 % confidence.
The 90​% confidence interval is ____________?
​(Use ascending order. Round to three decimal places as​ needed.)

Answers

Answer: 90% confidence interval would be (0.448, 0.552).

Step-by-step explanation:

Since we have given that

x = 125

n = 250

So, [tex]\hat{p}=\dfrac{x}{n}=\dfrac{125}{250}=0.5[/tex]

We need to find the 90% confidence interval.

so, z = 1.64

So, interval would be

[tex]\hat{p}\pm z\sqrt{\dfrac{\hat{p}(1-\hat{p})}{n}}\\\\=0.5\pm 1.64\sqrt{\dfrac{0.5\times 0.5}{250}}\\\\=0.5\pm 0.0519\\\\=(0.5-0.0519,0.5+0.0519)\\\\=(0.448,0.552)[/tex]

Hence, 90% confidence interval would be (0.448, 0.552)

Final answer:

The 90% confidence interval is (0.462, 0.538). To calculate a confidence interval, use the formula p' ± z * √(p'q'/n). In this case, with x = 125, n = 250, and 90% confidence, the interval is (0.462, 0.538).

Explanation:

The 90% confidence interval is (0.462, 0.538).

To construct a confidence interval for a population proportion, you can use the formula for confidence interval: p' ± z * √(p'q'/n), where p' = x/n, q' = 1 - p', and z corresponds to the confidence level.

In this case, given x = 125, n = 250, and 90% confidence level, the confidence interval is (0.462, 0.538).

g SupposeXis a Gaussian random variable with mean 0 and varianceσ2X. SupposeN1is a Gaussian random variable with mean 0 and varianceσ21. SupposeN2is a Gaussianrandom variable with mean 0 and varianceσ22. AssumeX,N1,N2are all independentof each other. LetR1=X+N1R2=X+N2.(a) Find the mean ofR1andR2. That is findE[R1] andE[R2].(b) Find the correlationE[R1R2] betweenR1andR2.(c) Find the variance ofR1+R2.

Answers

a. [tex]X[/tex], [tex]N_1[/tex], and [tex]N_2[/tex] each have mean 0, and by linearity of expectation we have

[tex]E[R_1]=E[X+N_1]=E[X]+E[N_1]=0[/tex]

[tex]E[R_2]=E[X+N_2]=E[X]+E[N_2]=0[/tex]

b. By definition of correlation, we have

[tex]\mathrm{Corr}[R_1,R_2]=\dfrac{\mathrm{Cov}[R_1,R_2]}{{\sigma_{R_1}}{\sigma_{R_2}}}[/tex]

where [tex]\mathrm{Cov}[/tex] denotes the covariance,

[tex]\mathrm{Cov}[R_1,R_2]=E[(R_1-E[R_1])(R_2-E[R_2])][/tex]

[tex]=E[R_1R_2]-E[R_1]E[R_2][/tex]

[tex]=E[R_1R_2][/tex]

[tex]=E[(X+N_1)(X+N_2)][/tex]

[tex]=E[X^2]+E[N_1X]+E[XN_2]+E[N_1N_2][/tex]

Because [tex]X,N_1,N_2[/tex] are mutually independent, the expectation of their products distributes over the factors:

[tex]\mathrm{Cov}[R_1,R_2]=E[X^2]+E[N_1]E[X]+E[X]E[N_2]+E[N_1]E[N_2][/tex]

[tex]=E[X^2][/tex]

and recall that variance is given by

[tex]\mathrm{Var}[X]=E[(X-E[X])^2][/tex]

[tex]=E[X^2]-E[X]^2[/tex]

so that in this case, the second moment [tex]E[X^2][/tex] is exactly the variance of [tex]X[/tex],

[tex]\mathrm{Cov}[R_1,R_2]=E[X^2]={\sigma_X}^2[/tex]

We also have

[tex]{\sigma_{R_1}}^2=\mathrm{Var}[R_1]=\mathrm{Var}[X+N_1]=\mathrm{Var}[X]+\mathrm{Var}[N_1]={\sigma_X}^2+{\sigma_{N_1}}^2[/tex]

and similarly,

[tex]{\sigma_{R_2}}^2={\sigma_X}^2+{\sigma_{N_2}}^2[/tex]

So, the correlation is

[tex]\mathrm{Corr}[R_1,R_2]=\dfrac{{\sigma_X}^2}{\sqrt{\left({\sigma_X}^2+{\sigma_{N_1}}^2\right)\left({\sigma_X}^2+{\sigma_{N_2}}^2\right)}}[/tex]

c. The variance of [tex]R_1+R_2[/tex] is

[tex]{\sigma_{R_1+R_2}}^2=\mathrm{Var}[R_1+R_2][/tex]

[tex]=\mathrm{Var}[2X+N_1+N_2][/tex]

[tex]=4\mathrm{Var}[X]+\mathrm{Var}[N_1]+\mathrm{Var}[N_2][/tex]

[tex]=4{\sigma_X}^2+{\sigma_{N_1}}^2+{\sigma_{N_2}}^2[/tex]

In a multiple-choice question, a student is asked to match 3 dates withIn a multiple-choice question, a student is asked to match 3 dates with 3 events. What is the probability that sheer guessing will produce 3 correct answers? g 3 events.

Answers

Answer:

P = 1/6 or 0.1667

Step-by-step explanation:

Let A,B and C be the three events and 1,2 and 3 be the three dates. The sample space for this problem is:

{A1,B2,C3} {A1,B3,C2} {A2,B1,C3} {A2,B3,C1} {A3,B1,C2} {A3,B2,C1}

There are six possible outcomes and since there is only one correct answer, the possibility of guessing all 3 questions right is:

P = 1/6

P = 0.1667

The total resistance R of two resistors connected in parallel circuit is given by 1/R = 1/R_1 + 1/R_2. Approximate the change in R as R_1 is decreased from 12 ohms to 11 ohms and R_2 is increased from 10 ohms to 11 ohms. Compute the actual change.

Answers

Answer:

a) Approximate the change in R is 0.5 ohm.

b) The actual change in R is 0.04 ohm.

Step-by-step explanation:

Given : The total resistance R of two resistors connected in parallel circuit is given by [tex]\frac{1}{R}=\frac{1}{R_1}+\frac{1}{R_2}[/tex]

To find :

a) Approximate the change in R ?

b) Compute the actual change.

Solution :

a) Approximate the change in R

[tex]R_1=12\ ohm[/tex] and [tex]R_2=10\ ohm[/tex]

[tex]R_1[/tex] is decreased from 12 ohms to 11 ohms.

i.e. [tex]\triangle R_1=21-11=1\ ohm[/tex]

[tex]R_2[/tex] is increased from 10 ohms to 11 ohms.

i.e. [tex]\triangle R_2=11-10=1\ ohm[/tex]

The change in R is given by,

[tex]\frac{1}{\triangle R}=\frac{1}{\triangle R_1}+\frac{1}{\triangle R_2}[/tex]

[tex]\frac{1}{\triangle R}=\frac{\triangle R_2+\triangle R_1}{(\triangle R_1)(\triangle R_2)}[/tex]

[tex]\triangle R=\frac{(\triangle R_1)(\triangle R_2)}{\triangle R_2+\triangle R_1}[/tex]

[tex]\triangle R=\frac{(1)(1)}{1+1}[/tex]

[tex]\triangle R=\frac{1}{2}[/tex]

[tex]\triangle R=0.5\ ohm[/tex]

b) The actual change in Resistance

[tex]\frac{1}{R}=\frac{1}{R_1}+\frac{1}{R_2}[/tex]

[tex]\frac{1}{R}=\frac{1}{12}+\frac{1}{10}[/tex]

[tex]R=\frac{10\times 12}{10+12}[/tex]

[tex]R=\frac{120}{22}[/tex]

[tex]R=5.46\ ohm[/tex]

When resistances are charged, [tex]R_1=R_2=11[/tex]

[tex]\frac{1}{R'}=\frac{1}{R_1}+\frac{1}{R_2}[/tex]

[tex]\frac{1}{R'}=\frac{1}{11}+\frac{1}{11}[/tex]

[tex]R'=\frac{11}{2}[/tex]

[tex]R'=5.5\ ohm[/tex]

Change in resistance is given by,

[tex]C=R'-R[/tex]

[tex]C=5.5-5.46[/tex]

[tex]C=0.04\ ohm[/tex]

Final answer:

The actual change in total resistance R of a parallel circuit as R_1 is decreased from 12 ohms to 11 ohms and R_2 is increased from 10 ohms to 11 ohms is calculated using the formula 1/R = 1/R_1 + 1/R_2.

Explanation:

The question is asking for the change in total resistance R of a parallel circuit when the resistances R_1 and R_2 are changed from 12 ohms to 11 ohms and 10 ohms to 11 ohms, respectively. To calculate the actual change, we can use the formula:

1/R = 1/R_1 + 1/R_2

Before the change, the total resistance is:

1/R_initial = 1/12 + 1/10

After the change, it becomes:

1/R_final = 1/11 + 1/11

By calculating both 1/R_initial and 1/R_final, we determine R_initial and R_final separately and find the difference between them to get the actual change in resistance.

Suppose the returns on long-term government bonds are normally distributed. Assume long-term government bonds have a mean return of 6.0 percent and a standard deviation of 9.9 percent. a. What is the approximate probability that your return on these bonds will be less than −3.9 percent in a given year?

Answers

Answer:

0.1587

Step-by-step explanation:

Let X be the random variable that represents a return on long-term government bond. We know that X has a mean of 6.0 and a standard deviation of 9.9, in order to compute the approximate probability that your return on these bonds will be less than -3.9 percent in a given year, we should compute the z-score related to -3.9, i.e., (-3.9-6.0)/9.9 =  -1. Therefore, we are looking for P(Z < -1) = 0.1587

Find the work required to move an object in the force field F = ex+y <1,1,z> along the straight line from A(0,0,0) to B(-1,2,-5). Also, deternine if the force is conservative.

Find the work required to move an object in the fo

Answers

Answer:

Work = e+24

F is not conservative.

Step-by-step explanation:

To find the work required to move an object in the force field  

[tex]\large F(x,y,z)=(e^{x+y},e^{x+y},ze^{x+y})[/tex]

along the straight line from A(0,0,0) to B(-1,2,-5), we have to parameterize this segment.

Given two points P, Q in any euclidean space, you can always parameterize the segment of line that goes from P to Q with

r(t) = tQ + (1-t)P with 0 ≤ t ≤ 1

so  

r(t) = t(-1,2,-5) + (1-t)(0,0,0) = (-t, 2t, -5t)  with 0≤ t ≤ 1

is a parameterization of the segment.

the work W required to move an object in the force field F along the straight line from A to B is the line integral

[tex]\large W=\int_{C}Fdr [/tex]

where C is the segment that goes from A to B.

[tex]\large \int_{C}Fdr =\int_{0}^{1}F(r(t))\circ r'(t)dt=\int_{0}^{1}F(-t,2t,-5t)\circ (-1,2,-5)dt=\\\\=\int_{0}^{1}(e^t,e^t,-5te^t)\circ (-1,2,-5)dt=\int_{0}^{1}(-e^t+2e^t+25te^t)dt=\\\\\int_{0}^{1}e^tdt-25\int_{0}^{1}te^tdt=(e-1)+25\int_{0}^{1}te^tdt[/tex]

Integrating by parts the last integral:

[tex]\large \int_{0}^{1}te^tdt=e-\int_{0}^{1}e^tdt=e-(e-1)=1[/tex]

and  

[tex]\large \boxed{W=\int_{C}Fdr=e+24}[/tex]

To show that F is not conservative, we could find another path D from A to B such that the work to move the particle from A to B along D is different to e+24

Now, let D be the path consisting on the segment that goes from A to (1,0,0) and then the segment from (1,0,0) to B.

The segment that goes from A to (1,0,0) can be parameterized as  

r(t) = (t,0,0) with 0≤ t ≤ 1

so the work required to move the particle from A to (1,0,0) is

[tex]\large \int_{0}^{1}(e^t,e^t,0)\circ (1,0,0)dt =\int_{0}^{1}e^tdt=e-1 [/tex]

The segment that goes from (1,0,0) to B can be parameterized as  

r(t) = (1-2t,2t,-5t) with 0≤ t ≤ 1

so the work required to move the particle from (1,0,0) to B is

[tex]\large \int_{0}^{1}(e,e,-5et)\circ (-2,2,-5)dt =25e\int_{0}^{1}tdt=\frac{25e}{2}[/tex]

Hence, the work required to move the particle from A to B along D is

 

e - 1 + (25e)/2 = (27e)/2 -1

since this result differs from e+24, the force field F is not conservative.

Suppose that 250 students take a test, of which 100 are sophomores, 140 are juniors and 110 are seniors. Let X be the random variable representing the score of each student on the test. Suppose that the sophomores have an average of 60 juniors have an average of 67 and the seniors have an average of 77. Find E(X) using conditioning. Use the appropriate notation to explain your answer.

Answers

Answer:

95.4

Step-by-step explanation:

The overall average score would be the total score divided by the total number of students. The total score is the sum of the product of the average of each student body and their average score

[tex]E(x) = \frac{E_1n_1 + E_2n_2+E_3n_3}{n_1+n_2+n_3}[/tex]

[tex]E(x) = \frac{100*60+140*67+110*77}{250} = \frac{23850}{250} = 95.4[/tex]

Consider a triangle with vertices at (0,0) and (x1, 71) and (x2, 92). a. Use the interpretation of a determinant as area of a parallelogram to explain why the following formula calculates the area of the triangle. (Hint: A diagonal of a parallelogram cuts the parallelogram into two triangles of equal size A =\det (i 2) b. Set (x1, y.) = (1,2) and (x2,Y2) = (3,-1). Use the formula to calculate the area of the triangle.

Answers

I can't really read the formula so I'll give a lecture.

With two vectors we can make a parallelogram.  If the vectors are u and v, and one vertex is the origin O, the others are O+u, O+v, and O+v+u.   If we draw any diagonal of the parallelogram, that divides it into two congruent triangles.  So each triangle is half the area of parallelogram.

The signed area of the parallelogram is given by the two D cross product of the vectors, aka the determinant.   So the area of a triangle with vertices (0,0), (a,b) and (c,d) is

[tex]A = \frac 1 2 |ad - bc| = \left| \frac 1 2 \begin{vmatrix} a & b \\ c & d\end{vmatrix} \right|[/tex]

Applying that to vertices

[tex](0,0), (x_1, 71), (x_2, 92)[/tex]

we get area

[tex]A = \frac 1 2 |\ 92x_1 - 71x_2|[/tex]

That formula is accurate for any values of x₁ and x₂

b. (1,2),(3,-1)

[tex]A=\frac 1 2|1(-1)-2(3)| = \frac 1 2 |-7| = \frac 7 2[/tex]

Answer: 7/2

The Aluminum Association reports that the average American uses 56.8 pounds of aluminum in a year. A random sample of 50 households is monitored for one year to determine aluminum usage. If the population standard deviation of annual usage is 12.1 pounds, what is the probability that the sample mean will be each of the following? Appendix A Statistical Tablesa. More than 58 poundsb. More than 57 poundsc. Between 55 and 57 poundsd. Less than 53 poundse. Less than 48 pounds

Answers

Answer:

[tex]\mu = 56.8[/tex]

[tex]\sigma = 12.1[/tex]

A)what is the probability that the sample mean will be More than 58 pounds

P(x>58)

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{58-56.8}{12.1}[/tex]

[tex]Z=0.09917[/tex]

refer the z table

P(x<58)=0.5359

P(X>58)=1-P(x<58)=1-0.5359=0.4641

Hence the probability that the sample mean will be More than 58 pounds is 0.4641

B)what is the probability that the sample mean will be More than 57 pounds

P(x>57)

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{57-56.8}{12.1}[/tex]

[tex]Z=0.0165[/tex]

refer the z table

P(x<57)=0.5040

P(X>57)=1-P(x<57)=1-0.5040=0.496

Hence the probability that the sample mean will be More than 57 pounds is 0.496

C)what is the probability that the sample mean will be Between 55 and 57 pound

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{57-56.8}{12.1}[/tex]

[tex]Z=0.0165[/tex]

refer the z table

P(x<57)=0.5040

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{55-56.8}{12.1}[/tex]

[tex]Z=-0.1487[/tex]

refer the z table

P(x<55)=0.4443

P(55<x<57)=P9x<57)-P(x<55) =0.5040-0.4443=0.0597

Hence the probability that the sample mean will be Between 55 and 57 pounds is 0.0597

D)what is the probability that the sample mean will be Less than 53 pounds

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{53-56.8}{12.1}[/tex]

[tex]Z=−0.314[/tex]

refer the z table

P(x<53)=0.3783

The probability that the sample mean will be Less than 53 pounds is 0.3783

E)what is the probability that the sample mean will be Less than 48 pounds

Formula : [tex]Z=\frac{x-\mu}{\sigma}[/tex]

Substitute the values :

[tex]Z=\frac{48-56.8}{12.1}[/tex]

[tex]Z=−0.727[/tex]

refer the z table

P(x<48)=0.2358

The probability that the sample mean will be Less than 48 pounds is 0.2358

A random sample of 157 recent donations at a certain blood bank reveals that 86 were type A blood. Does this suggest that the actual percentage of type A donations differs from 40%, the percentage of the population having type A blood? Carry out a test of the appropriate hypotheses using a significance level of 0.01. State the appropriate null and alternative hypotheses.

Answers

Answer: Yes, this suggest that the actual percentage of type A donations differs from 40%, the percentage of the population having type A blood.

Step-by-step explanation:

Since we have given n = 157

x = 86

So, [tex]\hat{p}=\dfrac{x}{n}=\dfrac{86}{157}=0.55[/tex]

and we have p = 0.4

So, hypothesis would be

[tex]H_0:p=\hat{p}\\\\H_a:p\neq \hat{p}[/tex]

Since there is 1% level of significance.

So, test statistic value would be

[tex]z=\dfrac{\hat{p}-p}{\sqrt{\dfrac{p(1-p)}{n}}}\\\\z=\dfrac{0.55-0.40}{\sqrt{\dfrac{0.4\times 0.6}{157}}}\\\\z=\dfrac{0.15}{0.039}\\\\z=3.846[/tex]

and the critical value at 1% level of significance , z = 2.58

Since 2.58<3.846.

So, we reject the null hypothesis.

Hence, Yes, this suggest that the actual percentage of type A donations differs from 40%, the percentage of the population having type A blood.

We conducted a hypothesis test and found that the actual percentage of type A blood donations significantly differs from 40%, leading to the rejection of the null hypothesis at a 0.01 significance level.

Hypothesis Testing for Blood Type Proportion

We will perform a hypothesis test to determine whether the percentage of type A blood donations differs from 40%. The appropriate hypotheses for this test are:

Null hypothesis (H0): p = 0.40 (The true proportion of type A blood donations is 40%.)Alternative hypothesis (Ha): p ≠ 0.40 (The true proportion of type A blood donations is different from 40%.)

Next, we calculate the test statistic for the sample proportion:

Sample proportion (") phat = 86/157 ≈ 0.548Standard error (SE) = √[(0.40 * 0.60) / 157] ≈ 0.039Z-score: (phat - 0.40) / SE ≈ (0.548 - 0.40) / 0.039 ≈ 3.79

The critical value for a two-tailed test at a significance level of 0.01 is approximately ±2.576.

Since 3.79 > 2.576, we reject the null hypothesis (H0). Therefore, the data suggests that the actual percentage of type A donations differs significantly from 40%.

In a competition between players X and Y, the first player to win three games in a row or a total of four games wins. How many ways can the competition be played if X wins the first game and Y wins the second and third games? (Hint: Draw a tree.)

Answers

Answer:

The competition can be played in 7 different ways

Step-by-step explanation:

First game : X

Second game : Y

Third game : Y

After that either X or Y can win

¹Case - 1: Y wins the fourth game:

The competition ends with Y winning as he/she won 3 games in a row

Case - 2: X wins the fourth game:

more games are required to decide the winner

Sub-case - a: X wins the fifth game:

more games are required to decide the winner

²Sub-sub-case - i: X wins the sixth game:

The competition ends with X winning as he/she won 3 games in a row

³⁻⁴Sub-sub-case - ii: Y wins the sixth game:

The competition ends after the seventh game. Whoever wins seventh game wins the competition as he/she would've won 4 games in total by then.

Sub-case - b: Y wins the fifth game:

more games are required to decide the winner

⁵Sub-sub-case - i: Y wins the sixth game:

The competition ends with Y winning as he/she won 4 games in total

⁶⁻⁷Sub-sub-case - ii: X wins the sixth game:

The competition ends after the seventh game. Whoever wins seventh game wins the competition as he/she would've won 4 games in total by then.

The competition can be played in 7 different ways

Final answer:

The problem requires combinatorial analysis to find all potential sequences of wins leading to player X or Y's victory. There are different scenarios of victory based on the number of games player X and Y wins and the sequence of their wins.

Explanation:

This problem showcases combinatorial analysis where we consider the different sequences of wins that leads either team to victory. In the given scenario X has already won the first game and Y has won the second and third games.

From this point, some possible winning combinations could be:

X winning next three games in a rowY winning next game, X winning three in a rowY winning next two games, X winning next three gamesY winning next game, X winning the next one, then Y wins, followed by another X winX wins next game, Y wins the two after, and X wins the next two

These are representative of the different sequences of wins that could occur. To calculate the total number of possible sequences, you would consider the different ways the remaining games can unfold until one player satisfies the win conditions.

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The U.S. Department of Transportation, National Highway Traffic Safety Administration, reported that 77% of all fatally injured automobile drivers were intoxicated. A random sample of 53 records of automobile driver fatalities in a certain county showed that 35 involved an intoxicated driver. Do these data indicate that the population proportion of driver fatalities related to alcohol is less than 77% in Kit Carson County? Use α = 0.05.

Answers

Answer:

The p value obtained was a low value and using the significance level given [tex]\alpha=0.05[/tex] we have [tex]p_v<\alpha[/tex] so we can conclude that we have enough evidence to reject the null hypothesis, and we can said that at 5% of significance the proportion of of driver fatalities related to alcohol is less from 0.77 or 77%.  

Step-by-step explanation:

1) Data given and notation n  

n=53 represent the random sample taken

X=35 represent the automobile driver fatalities in a certain county involved with an intoxicated driver

[tex]\hat p=\frac{35}{53}=0.660[/tex] estimated proportion of automobile driver fatalities in a certain county involved with an intoxicated driver

[tex]p_o=0.77[/tex] is the value that we want to test

[tex]\alpha=0.05[/tex] represent the significance level

Confidence=95% or 0.95

z would represent the statistic (variable of interest)

[tex]p_v[/tex] represent the p value (variable of interest)  

2) Concepts and formulas to use  

We need to conduct a hypothesis in order to test the claim that the population proportion of driver fatalities related to alcohol is less than 77% or 0.77 in Kit Carson:  

Null hypothesis:[tex]p\geq 0.77[/tex]  

Alternative hypothesis:[tex]p < 0.77[/tex]  

When we conduct a proportion test we need to use the z statisitc, and the is given by:  

[tex]z=\frac{\hat p -p_o}{\sqrt{\frac{p_o (1-p_o)}{n}}}[/tex] (1)  

The One-Sample Proportion Test is used to assess whether a population proportion [tex]\hat p[/tex] is significantly different from a hypothesized value [tex]p_o[/tex].

3) Calculate the statistic  

Since we have all the info requires we can replace in formula (1) like this:  

[tex]z=\frac{0.660 -0.77}{\sqrt{\frac{0.77(1-0.77)}{53}}}=-1.903[/tex]

4) Statistical decision  

It's important to refresh the p value method or p value approach . "This methos is about determining "likely" or "unlikely" by determining the probability assuming the null hypothesis were true of observing a more extreme test statistic in the direction of the alternative hypothesis than the one observed". Or in other words is just a method to have an statistical decision to fail to reject or reject the null hypothesis.  

The significance level provided [tex]\alpha=0.05[/tex]. The next step would be calculate the p value for this test.  

Since is an unilateral lower test the p value would be:  

[tex]p_v =P(z<-1.903)=0.0285[/tex]  

So the p value obtained was a low value and using the significance level given [tex]\alpha=0.05[/tex] we have [tex]p_v<\alpha[/tex] so we can conclude that we have enough evidence to reject the null hypothesis, and we can said that at 5% of significance the proportion of of driver fatalities related to alcohol is less from 0.77 or 77%.  

How much TV do college students watch? A survey of 361 students recorded the number of hours of television they watched per week. The sample mean was 6.504 hours with a standard deviation of 5.584. The standard error of the mean was 0.294. Find a 90% confidence interval for the population mean. Round your answer to three decimal places

Answers

Answer: 90% confidence interval would be (6.022,6.986).

Step-by-step explanation:

Since we have given that

Number of students = 361

Sample mean = 6.504

Sample standard deviation = 5.584

Standard error of the mean = 0.294

At 90% confidence level,

So, α = 0.01

So, z = 1.64

Margin of error is given by

[tex]z\times \text{Standard error}\\\\=1.64\times 0.294\\\\=0.48216[/tex]

So, Lower limit would be

[tex]\bar{x}-0.482\\\\=6.504-0.482\\\\=6.022[/tex]

Upper limit would be

[tex]\bar{x}+0.482\\\\=6.504+0.482\\\\=6.986[/tex]

So, 90% confidence interval would be (6.022,6.986).

Consider the sequence −8, −4, 0, 4, 8, 12, ellipsis. Select True or False for each statement. A recursive rule for the sequence is f(1) = −8; f(n) = −4 (n − 1) for all n ≥ 2. A True B False An explicit rule for the sequence is f(n) = −8 + 4 (n − 1). A True B False The tenth term is 28.

Answers

Answer:

A recursive rule for the sequence is f(1) = -8; f(n) = -4 (n – 1) for all n ≥ 2 is "FALSE"

An explicit rule for the sequence is f(n) = -8 + 4 (n – 1) is "TRUE"

The tenth term is 28 is "TRUE"

Step-by-step explanation:

Statement (1)

While the first part [f(1) = –8] is TRUE, the second part [f(n) = –4 (n – 1) for all n ≥ 2] would only be true if the sequence ends at the second term.

Check: Since the fifth term of the sequence is 8, then f(5) = 8

From the statement,

f(5) = –4 (5 – 1)

f(5) = –4 × 4 = –16

:. f(5) ≠ 8

Statement (2)

f(n) = –8 + 4 (n – 1) is TRUE

Check: The fifth term of the sequence is 8 [f(5) = 8]

From the statement,

f(5) = –8 + 4 (5 – 1)

f(5) = –8 + 4 (4)

f(5) = –8 + 16 = 8

:. f(5) = 8

Statement (3)

f(10) = 28 is TRUE

Since the explicit rule is TRUE, use to confirm if f(10) = 28:

f(10) = –8 + 4 (10 – 1)

f(10) = –8 + 4 (9)

f(10) = –8 + 36

f(10) = 28

:. f(10) = 28

If WZ is the perpendicular bisector of VY , what conclusion can you make?


VWZ=YWZ


VWZ=WVZ


VYW=YWV


WYZ=ZWV

Answers

Answer:

[tex]\triangle VWZ = \triangle YWZ[/tex]. Justification is given below.

Step-by-step explanation:

Given:

[tex]\angle WVZ = \angle WYZ[/tex]

WZ is the perpendicular bisector of VY.

∴[tex]\angle WZV = \angle WZY = 90\°\\and\\VZ = YZ[/tex]

In [tex]\triangle VWZ and \triangle YWZ[/tex]

[tex]\angle WVZ = \angle WYZ[/tex] Given

[tex]VZ = YZ[/tex]

[tex]\angle WZV = \angle WZY = 90\°[/tex]

∴ [tex]\triangle VWZ \cong \triangle YWZ[/tex] by ASA test

[tex]\triangle VWZ = \triangle YWZ[/tex]

Here the correspondence of the vertices of a triangle should be match hence the option is first one that is.

[tex]\triangle VWZ = \triangle YWZ[/tex]

Answer:

Step-by-step explanation:

VWZ=YWZ

A statistician uses Chebyshev's Theorem to estimate that at least 15 % of a population lies between the values 9 and 20. Use this information to find the values of the population mean, μ , and the population standard deviation σ.

Answers

Answer:

\mu = 14.5\\

\sigma = 5.071\\

k = 1.084

Step-by-step explanation:

given that a  statistician uses Chebyshev's Theorem to estimate that at least 15 % of a population lies between the values 9 and 20.

i.e. his findings with respect to probability are

[tex]P(9<x<20) \geq 0.15\\P(|x-14.5|<5.5) \geq 0.15[/tex]

Recall Chebyshev's inequality that

[tex]P(|X-\mu |\geq k\sigma )\leq {\frac {1}{k^{2}}}\\P(|X-\mu |\leq k\sigma )\geq 1-{\frac {1}{k^{2}}}\\[/tex]

Comparing with the Ii equation which is appropriate here we find that

[tex]\mu =14.5[/tex]

Next what we find is

[tex]k\sigma = 5.5\\1-\frac{1}{k^2} =0.15\\\frac{1}{k^2}=0.85\\k=1.084\\1.084 (\sigma) = 5.5\\\sigma = 5.071[/tex]

Thus from the given information we find that

[tex]\mu = 14.5\\\sigma = 5.071\\k = 1.084[/tex]

: Planning a summer study schedule About Susan plans on studying four different subjects (Math, Science, French, and Social Studies) over the course of the summer. There are 100 days in her summer break and each day she will study one of the four subjects. A schedule consists of a plan for which subject she will study on each day (a) How many ways are there for her to plan her schedule if there are no restrictions on the number of days she studies each of the four subjects? (b) How many ways are there for her to plan her schedule if she decides that the number of days she studies each subject will be the same?

Answers

Answer:

Part (A): The total number of ways are [tex]4^{100}[/tex]

Part (B): The total number of ways are [tex]1.6122075076\times10^{57}[/tex]

Step-by-step explanation:

Consider the provided information.

Part(A) a) How many ways are there for her to plan her schedule if there are no restrictions on the number of days she studies each of the four subjects?

She plans on studying four different subjects.

That means she has 4 choices for each day also there is no restriction on the number of days.

Hence, the total number of ways are:

[tex]4\times 4\times4\times4\times......4=4^{100}[/tex]

Part (B) How many ways are there for her to plan her schedule if she decides that the number of days she studies each subject will be the same?

She wants that the number of day she studies each subject will be the same that means she studies for 25 days each subject.

Therefore, the number of ways are:

[tex]^{100}C_{25}\times ^{75}C_{25}\times ^{50}C_{25}\times ^{25}C_{25}=1.6122075076\times10^{57}[/tex]

Final answer:

In the case of no restrictions, there are 4^100 possible study schedules. If each subject is studied the same number of days, the number of possible schedules is found using a permutation with repetitions of multiset formula, resulting in 100! / (25! * 25! * 25! * 25!).

Explanation:

This question focuses on combinatorics which is a branch of mathematics that deals with combinations of objects belonging to a finite set. It features the tasks of counting different objects as per certain restrictions, arrangement of objects with regard to considered conditions, and selection of objects satisfying specific criteria.

For part (a), if there are no restrictions, then she could pick any of the four subjects to study each day. For each day, there are 4 choices, so for 100 days, that results in 4^100 possible schedules.

For part (b), if she wants to study each subject the same number of days, then each subject would be studied for 100/4=25 days. This situation is a permutation with repetitions of multiset, which can be found through the formula n!/(r1! * r2! * ... * rk!) where n is total number of items, and r1, r2, ..., rk are numbers of same elements of multiset. Using this equation, the number of ways would be 100! / (25! * 25! * 25! * 25!).

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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?

Answers

Answer:

Step-by-step explanation:

Convert 7.2 to grams then divide the grams evenlly to the 24 people then you get 300

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Is 4(x+1) =2x+4 a solution An eagle is flying 30 feet above sea level and spots a fish swimming 2 feet below sea level. What does zerorepresent in this situation?A.the height of the eagleB. The ocean floorC.Sea levelD. The depth of the swimming fish Which of these is not part of an algebraic equation?Aan inequality signBan expressionCan equal signDa variable what does -3y + 6 + y equal Hitzu Co. sold a copier (that costs $4,500) for $9,000 cash with a two-year parts warranty to a customer on August 16 of Year 1. Hitzu expects warranty costs to be 5% of dollar sales. It records warranty expense with an adjusting entry on December 31. On January 5 of Year 2, the copier requires on-site repairs that are completed the same day. The repairs cost $146 for materials taken from the repair parts inventory. These are the only repairs required in Year 2 for this copier. 1. How much warranty expense does the company report for this copier in Year 1? 3,614 rounded to the thousands what is the solution of the system of equations of y=3x and y=2x+2 Ap us history "If any one proposition could command the universal assent of mankind, we might expect it would be this:________ a) that the government of the Union, though limited in its powers, is supreme within its sphere of action. b) This would seem to result necessarily from its nature. c) It is the government of all; its powers are delegated by all; it represents all, and acts for all. d) Though any one State may be willing to control its operations, no State is willing to allow others to control them. e) The nation, on those subjects on which it can act, must necessarily bind its component parts. f) Although, among the enumerated powers of government, we do not find the word bank or incorporation, we find the great powers to lay and collect taxes; to borrow money; to regulate commerce; to declare and conduct a war; and to raise and support armies and naviesg) a government, intrusted with such ample powersmust also be instructed with ample means for their execution.We are unanimously of opinion, that the law passed by the legislature of Maryland, imposing a tax on the Bank of the United States, is unconstitutional and void." Chief Justice John Marshall, McCullough v. Maryland, 1819 Which of the following statements is correct? a)All animals share a common ancestor. b)Sponges are diploblastic animals. c)Eumetazoans have three embryonic tissue layers. d)Most animal phyla belong to the clade Radiata. e)The origin of all extant animal phyla can be traced to the Cambrian explosion. Suppose there are only two firms that sell smart phones, Flashfone and Pictech. The following payoff matrix shows the profit (in millions of dollars) each company will earn, depending on whether it sets a high or low price for its phones.Pictech PricingHighLowFlashfone PricingHigh11, 112, 15Low15, 28, 8For example, the lower, left cell shows that if Flashfone prices low and Pictech prices high, Flashfone will earn a profit of $15 million and Pictech will earn a profit of $2 million. Assume this is a simultaneous game and that Flashfone and Pictech are both profit-maximizing firms.If Flashfone prices high, Pictech will make more profit if it chooses a (high,low) _____ price, and if Flashfone prices low, Pictech will make more profit if it chooses a(high,low)_______ price.If Pictech prices high, Flashfone will make more profit if it chooses a(high,low)______price, and if Pictech prices low, Flashfone will make more profit if it chooses a (high,low) ______ price.Considering all of the information given, pricing high (is, is not) ______ a dominant strategy for both Flashfone and Pictech. (Note: A dominant strategy is a strategy that is best for a player regardless of the strategies chosen by the other players.)If the firms do not collude, which strategy will they end up choosing?Flashfone will choose a low price and Pictech will choose a high price.Flashfone will choose a high price and Pictech will choose a low price.Both Flashfone and Pictech will choose a low price.Both Flashfone and Pictech will choose a high price.True or False: The game between Flashfone and Pictech is an example of the prisoners' dilemma.TrueFalse What is the distance between the points (-4, -4) and (-1,0)?A. 5B. 1C. 7D. -9 GIVING BRAINLIEST9) The function f(n) = 5n represents the number of candles needed for n tables. How many candles areneeded for 15 tables? A potter's wheel (a solid, uniform disk) of mass 7.0 kg and .65 m radius spins about its central axis. A 2.1 kg lump of clay is dropped onto the wheel at a distance .41 m from the axis. Calculate the rotational inertia of the system.a. 2.5 kg m2b. 1.8 kg m2c. 1.5 kg m2d. 0.40 kg m2 A 200- resistor is connected in series with a 10-F capacitor and a 60-Hz, 120-V (rms) line voltage. If electrical energy costs 5.0 per kWh, how much does it cost to leave this circuit connected for 24 hours? 5CHALLENGE Mr. Kelly bought 8 dozen hot dogs for the third grade picnic. His petdog broke into the groceries and ate 14 hot dogs. If each picnic guest eats one hotdog, how many people can still have a hot dog? Show your work. Esta pelcula no es interesante. Nosotras un poco . Question 2 with 2 blanksSon novios Angela y Miguel? S, ella de l. Question 3 with 2 blanksAhora mismo salimos para el aeropuerto. Jos, t ? Question 4 with 2 blanksNo entiendo nada (anything) en la clase de fsica! Siempre . Question 5 with 2 blanksAhora las ventanas , find the domain and rangey= 3x - 3 a specialized structure cell that has its own specific function is known as a blank 48000 fair dice are rolled independently. Let X count the number of sixes that appear. (a) What type of random variable is X? (b) Write the expression for the probability that between 7500 and 8500 sixes show. That is Pp7500 X 8500q. (c) The sum you wrote in part b) is ridiculous to evaluate. Instead, approximate the value by a normal distribution and evaluate in terms of the distribution pxq " PpNp0, 1q xq of a standard normal random variable. (d) Why do you think a normal distribution is a good choice for approximation On a questionnaire, a respondent is asked: "What do you feel is the most important crime problem facing the police in your city today?" Which type of question is being asked? a. Open-Ended questionb. are more easily processedc. the most interesting set of questions