Write this trinomial in factored form.
8x² - 9x + 1
Enter the correct answar.

Answers

Answer 1

Answer:

(8x-1) (x-1)

Step-by-step explanation:

8x² - 9x + 1

(8x -   ) (x - )

We know it is minus because we have -9x

We have +1 so both have to be -

To fill in the blanks we put 1

The only combination is 1*1 =1

(8x-1) (x-1)

Lets check

8x^2 -x -8x +1

(8x^2 -9x+1

Answer 2
Factor out x from 8x^2-x: (8x-1)
8x^2-x

Apply exponent rule: a^b+^c=a^b a^c

x^2=xx
=8xx-x

Factor out common term x
=x(8x-1)
Factor out -1 from -8x+1: -(8x-1)
-8x+1

Factor out common term -1
= -(8x-1)
=x (8x-1)- (8x-1)
Factor out common term 8x-1
=(8x-1)(x-1)

Related Questions

Buses headed to Longmont arrive in downtown Boulder every 30 minutes starting at 8:37am, whereas buses heading to Denver arrive 15 minutes starting at 8:31am. (a) If a passenger arrives at the station uniformly between 8:30am and 9:30am and then gets onto the first bus that arrives, what is the probability she goes to Longmont? (b) What is the passenger arrives uniformly between 8:45am and 9:45am?

Answers

Answer:

  (a)  20% to Longmont; 80% to Denver

  (b)  20% to Longmont; 80% to Denver

Step-by-step explanation:

(a) The bus to Longmont is the first bus to arrive, only between 8:31 and 8:37, and again between 9:01 and 9:07. That is, for a total of 12 minutes every hour, the Longmont bus is the first to arrive. The probability of going to Longmont is 12/60 = 1/5 = 20%.

__

(b) Same as for (a). As long as passenger arrival times are uniform within an hour, the probability is the same.

The formula P = 0.672x^2 - 0.046x+ 3 models the approximate population P, in thousands, for a species of frogs in a particular rain forest, x years after 1999. During what year will the population reach 182 frogs? a) 2015 b) 2018 c) 2017 d) 2016 e) none

Answers

Answer:

The correct option is d.

Step-by-step explanation:

The approximate population P, in thousands, for a species of frogs in a particular rain forest, x years after 1999 is given by the formula

[tex]P=0.672x^2-0.046x+3[/tex]

We need to find the year it which the population reach 182 frogs.

Substitute P=182 in the given formula.

[tex]182=0.672x^2-0.046x+3[/tex]

Subtract 182 from both the sides.

[tex]0=0.672x^2-0.046x+3-182[/tex]

[tex]0=0.672x^2-0.046x-179[/tex]

Multiply both sides by 1000 to remove decimals.

[tex]0=672x^2-46x-179000[/tex]

Quadratic formula:

[tex]x=\frac{-b\pm \sqrt{b^2-4ac}}{2a}[/tex]

Substitute a=672, b=-46 and c=-179000 in the quadratic formula.

[tex]x=\frac{-\left(-46\right)\pm\sqrt{\left(-46\right)^2-4\cdot \:672\left(-179000\right)}}{2\cdot \:672}[/tex]

On simplification we get

[tex]x=\frac{-\left(-46\right)+\sqrt{\left(-46\right)^2-4\cdot \:672\left(-179000\right)}}{2\cdot \:672}\approx 16.355[/tex]

[tex]x=\frac{-\left(-46\right)-\sqrt{\left(-46\right)^2-4\cdot \:672\left(-179000\right)}}{2\cdot \:672}\approx -16.287[/tex]

The value of x can not be negative because x is number of years after 1999.

x=16.35 in means is 17th year after 1999 the population reach 182 frogs.

[tex]1999+17=2016[/tex]

The population reach 182 frogs in 2016. Therefore the correct option is d.

A chef is going to use a mixture of two brands of Italian dressing. The first brand contains 7% vinegar, and the second brand contains 12% vinegar. The chef wants to make 270 milliliters of a dressing that is 9% vinegar. How much of each brand should she use?

Answers

Answer: There is 162 ml of first brand and 108 ml of second brand.

Step-by-step explanation:

Since we have given that

Percentage of vinegar that the first brand contains = 7%

Percentage of vinegar that the second brand contains = 12%

Percentage of vinegar in mixture = 9%

Total amount of dressing = 270 ml

We will use "Mixture and Allegation":

First brand                  Second brand

     7%                                12%

                       9%

--------------------------------------------------------

12%-9%             :                9%-7%

 3%                   :                    2%

So, ratio of first brand to second brand in a mixture is 3:2.

So, Amount of first brand she should use is given by

[tex]\dfrac{3}{5}\times 270\\\\=162\ ml[/tex]

Amount of second brand she should use is given by

[tex]\dfrac{2}{5}\times 270\\\\=108\ ml[/tex]

Hence, there is 162 ml of first brand and 108 ml of second brand.

Evaluate the given integral by changing to polar coordinates. sin(x2 + y2) dA R , where R is the region in the first quadrant between the circles with center the origin and radii 2 and 3

Answers

Set

[tex]\begin{cases}x=r\cos\theta\\y=r\sin\theta\end{cases}\implies\mathrm dA=r\,\mathrm dr\,\mathrm d\theta[/tex]

The region [tex]R[/tex] is given in polar coordinates by the set

[tex]R=\left\{(r,\theta)\mid2\le r\le3,0\le\theta\le\dfrac\pi2\right\}[/tex]

So we have

[tex]\displaystyle\iint_R\sin(x^2+y^2)\,\mathrm dA=\int_0^{\pi/2}\int_2^3r\sin(r^2)\,\mathrm dr\,\mathrm d\theta=\boxed{\frac\pi4(\cos4-\cos9)}[/tex]

Final answer:

The Cartesian coordinates are converted into polar coordinates so that the integral sin(x2 + y2) dA R becomes the integral sin(r2) r dr dθ. But this specific integral can't be solved analytically, yet using polar coordinates can simplify other integration issues related to circular regions or distances from the origin.

Explanation:

To evaluate the given integral using polar coordinates, one must firstly translate the Cartesian coordinates (x,y) into polar coordinates (r,θ), so that x is replaced with rcosθ and y with rsinθ. Consequently, the integral sin(x2 + y2) dA R becomes the integral sin(r2) r dr dθ, with r varying from 2 to 3, and θ from 0 to π/2 (since we are only dealing with the first quadrant).

However, this integral becomes very complex and is not feasible to solve analytically. You would need to use a numeric method to get an approximate answer. In the context of other problems, switching to polar coordinates can simplify the integration, especially when dealing with circular regions or equations related to distances from the origin.

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A researcher wishes to estimate the proportion of adults who have​ high-speed Internet access. What size sample should be obtained if she wishes the estimate to be within 0.04 with 90​% confidence if ​(a) she uses a previous estimate of 0.38​? ​(b) she does not use any prior​ estimates?

Answers

Answer:a-396

b-420

Step-by-step explanation:

[tex]\alpha[/tex] =0.1

Margin of Error=0.04

Level of significance is z[tex]\left ( 0.1\right )=1.64[/tex]

Previous estimate[tex]\left ( p\right ) =0.38[/tex]

sample size is given by:

n=[tex]\left (\frac{Z_{\frac{\alpha }{2}}}{E}\right )p\left ( 1-p\right )[/tex]

n=[tex]\frac{1.64}{0.04}^{2}0.38\left ( 1-0.38\right )=396.0436\approx 396[/tex]

[tex]\left ( b\right )[/tex]Does not use prior estimate

Assume

[tex]\alpha [/tex]=0.1

Margin of Error=0.04

Level of significance is z[tex]\left ( 0.1\right )=1.64[/tex]

Population proportion[tex]\left ( p\right )[/tex]=0.5

n=[tex]\left (\frac{Z_{\frac{\alpha }{2}}}{E}\right )p\left ( 1-p\right )[/tex]

n=[tex]\frac{1.64}{0.04}^{2}0.5\left ( 1-0.5\right )[/tex]

n=420.25[tex]\approx 420[/tex]

Pediatricians work an average of 48 h per week. The standard deviation is 12 hours. What percentage of pediatricians work more than 72 h per​ week

Answers

Final answer:

Approximately 2.28% of pediatricians work more than 72 hours per week according to the table.

Explanation:

To find the percentage of pediatricians who work more than 72 hours per week, we need to calculate the z-score for this value and then use a standard normal distribution table to find the corresponding percentage.

Calculate the z-score using the formula:

[tex]z = (x - u) / \alpha[/tex]

where x is the value (72 hours), u is the mean (48 hours), and a is the standard deviation (12 hours).

Substitute the values into the formula: z = (72 - 48) / 12 = 2.

Using a standard normal distribution table, find the percentage of values that are greater than 2.

Based on the table, approximately 2.28% of pediatricians work more than 72 hours per week.

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Consider the equation below. (If an answer does not exist, enter DNE.) f(x) = 7 cos2(x) − 14 sin(x), 0 ≤ x ≤ 2π (a) Find the interval on which f is increasing. (Enter your answer using interval notation.)

Answers

Answer:

[tex][\frac{\pi}{2},\frac{3\pi}{2}][/tex]

Step-by-step explanation:

Let me first state that I am assuming your function is

[tex]f(x)=7cos^2(x)-14sin(x)[/tex]

If this is incorrect, then disregard this whole answer/explanation.

In order to find where the function is increasing or decreasing, we need to first find the first derivative, set it equal to 0, and then factor to find the values that cause the derivative to equal 0.  This is where you expect to find a max or a min value in the function itself.  But this function is not going to be easily solved for 0 once we find the derivative unless we make it in terms of either sin or cos right now, before taking the first derivative.  

Let [tex]cos^2(x)=1-sin^2(x)[/tex]

This is a Pythagorean trig identity, and I'm assuming that if you're in calculus solving for the intervals of increasing and decreasing values that you have, at one time, used trig identities.

Rewriting:

[tex]f(x)=7(1-sin^2(x))-14sin(x)[/tex] which simplifies to

[tex]f(x)=7-7sin^2(x)-14sin(x)[/tex] and in order of descending values of x:

[tex]f(x)=-7sin^2(x)-14sin(x)+7[/tex]

Now we can find the derivative.  For the first term, let u = sin(x), therefore,

[tex]f(u)=u^2[/tex], u' = cos(x), and f'(u) = 2u.  The derivative is found by multiplying f'(u) by u', which comes out to 2sin(x)cos(x)

The derivative for the next 2 terms are simple, so the derivative of the function is

[tex]f'(x)=-7[2sin(x)cos(x)]-14cos(x)[/tex] which simplifies down to

[tex]f'(x)=-14sin(x)cos(x)-14cos(x)[/tex]

We will set that equal to zero and solve for the values that cause that derivative to equal 0.  But first we can simplify it a bit.  You can factor out a -14cos(x):

[tex]f'(x)=-14cos(x)(sin(x)+1)[/tex]

By the Zero Product Property, either

-14cos(x) = 0 or sin(x) + 1 = 0

Solving the first one for cos(x):

cos(x) = 0

Solving the second one for sin(x):

sin(x) = -1

We now look to the unit circle to see where, exactly the cos(x) = 0.  Those values are

[tex]\frac{\pi}{2},\frac{3\pi}{2}[/tex]

The value where the sin is -1 is found at

[tex]\frac{3\pi}{2}[/tex]

We set up a table (at least that's what I advise my students to do!), separating the intervals in ascending order, starting at 0 and ending at 2pi.

Those intervals are

0 < x < [tex]\frac{\pi}{2}[/tex], [tex]\frac{\pi}{2}<x<\frac{3\pi}{2}[/tex], and [tex]\frac{3\pi}{2}<x<2\pi[/tex]

Now pick a value that falls within each interval and evaluate the derivative at that value and determine the sign (+ or -) that results.  You don't care what the value is, only the sign that it carries.  For the first interval I chose

[tex]f'(\frac{\pi}{4})=-[/tex] so the function is decreasing here (not what you wanted, so let's move on to the next interval).

For the next interval I chose:

[tex]f'(\pi)=+[/tex] so the function is increasing here.

For the last interval I chose:

[tex]f'(\frac{7\pi}{4})=-[/tex]

It appears that the only place this function is increasing is on the interval

[tex][\frac{\pi}{2},\frac{3\pi}{2}][/tex]

Final answer:

The interval on which the function f(x) = 7cos^2(x) - 14sin(x) is increasing is DNE.

Explanation:

To find the interval on which the function f(x) = 7cos^2(x) - 14sin(x) is increasing, we need to determine where the derivative of the function is positive. The derivative of f(x) can be found using the chain rule, which gives us f'(x) = -14cos(x) - 28sin(x)cos(x). To find where f'(x) > 0, we need to solve the inequality -14cos(x) - 28sin(x)cos(x) > 0.

We can simplify this inequality to cos(x)(-14 - 28sin(x)) > 0. Since cos(x) is positive on the interval 0 ≤ x ≤ 2π and -14 - 28sin(x) is negative on the interval 0 ≤ x ≤ 2π, the product of these two terms will be negative. Therefore, there are no values of x on the interval 0 ≤ x ≤ 2π where f(x) is increasing.

Find the range, mean, and standard deviation of the data set (3, 6, 9, 11, 15, 16) The range is 13 (Type a whole number.) The mean is 10 (Type an integer or decimal.) The standard deviation is (Do not round until the final-answer. Then round to two decimal places as needed.) Enter your answer in the answer box and then click Check Answer All parts showing

Answers

Answer: The range is 13.  The mean is 10. The standard deviation is 4.62 .

Step-by-step explanation:

The given data : 3, 6, 9, 11, 15, 16

Total number of data values : n = 6

The mean of data is given by :-

[tex]\overline{x}=\dfrac{\sum^6_{i=1}x_i}{n}\\\\\Rightarrow\overline{x}=\dfrac{60}{6}=10[/tex]

The standard deviation is given by :-

[tex]\sqrt{\dfrac{1}{n}(\sum^6_{i=1}(x_i-\overline{x})^2)}\\\\=\sqrt{\dfrac{1}{6}(\sum^6_{i=1}(x_i-10)^2)}\\\\=\sqrt{\dfrac{1}{6}\times(49+16+1+1+25+36)}=4.61880215352\approx4.62[/tex]

The range of the data : Maximum value -Minimum value

[tex]=16-3=13[/tex]

Divide the following polynomials:

a) x^3-9/x^2 +1

b) x^5-13x^4-120x+80/x+3

I don't understand long division of polynominals. Ive looked up videos. It still doesn't make sense. Can you please show work?

Answers

Answer:

Step-by-step explanation:

See if the attachment below helps you with this.

Critical Thinking and Statistics The average test score of the class was an 80 and the standard deviation was 2. About 68 % of the class would score between what 2 values? 80 and 82 78 and 82 76 and 84 74 and 86

Answers

Answer:

B. 78 and 82.

Step-by-step explanation:

We have been given that the average test score of the class was an 80 and the standard deviation was 2. We are asked to find two values between which 68% of class will score.

We know that in a normal distribution approximately 68% of the data falls within one standard deviation of the mean.

So 68% scores will lie within one standard deviation below and above mean that is:

[tex](\mu-\sigma,\mu+\sigma)[/tex]

Upon substituting our given values, we will get:

[tex](80-2,80+2)[/tex]

[tex](78,82)[/tex]

Therefore, about 68% of the class would score between 78 and 81 and option B is the correct choice.

solve the system of equation by guess jordan method

2x1-6x2-2x3=14, 3x1+4x2-7x3= 16, 3x1-6x2+9x3=21

Answers

Answer with explanation:

The System of equations which we have to solve by Gauss Jordan Method:

  [tex]1.\rightarrow 2x_{1}-6x_{2}-2x_{3}=14, 2.\rightarrow 3x_{1}+4x_{2}-7x_{3}= 16, 3.\rightarrow 3x_{1}-6x_{2}+9x_{3}=21[/tex]

Writing it in the form of Augmented Matrix=3 Rows and 4 Columns:

  [tex]\left[\begin{array}{cccc}2&-6&-2&14\\3&4&-7&16\\3&-6&9&21\end{array}\right]\\\\R_{1}=\frac{R_{1}}{2},R_{3}=\frac{R_{3}}{3}\\\\ \left[\begin{array}{cccc}1&-3&-1&7\\3&4&-7&16\\1&-2&3&7\end{array}\right]\\\\R_{3}\rightarrow R_{3}-R_{1}\\\\\left[\begin{array}{cccc}1&-3&-1&7\\3&4&-7&16\\0&1&4&0\end{array}\right]\\\\R_{2}\rightarrow R_{2}-3R_{1}\\\\\left[\begin{array}{cccc}1&-3&-1&7\\0&13&-4&-5\\0&1&4&0\end{array}\right][/tex]

 [tex]R_{3}\rightarrow R_{2}+R_{3}\\\\\left[\begin{array}{cccc}1&-3&-1&7\\0&13&-4&-5\\0&14&0&-5\end{array}\right]\\\\\rightarrow14 x_{2}= -5\\\\x_{2}=\frac{-5}{14}\\\\\rightarrow 13 x_{2}-4x_{3}=-5\\\\ \frac{-65}{14}-4 x_{3}=-5\\\\-4x_{3}=-5+\frac{65}{14}\\\\x_{3}=\frac{5}{56}\\\\x_{1}-3x_{2}-x_{3}=7\\\\x_{1}+\frac{15}{14}-\frac{5}{56}=7\\\\x_{1}+\frac{55}{56}=7\\\\x_{1}=7-\frac{55}{56}\\\\x_{1}=\frac{337}{56}[/tex]

Solution set

  [tex]=(\frac{337}{56},\frac{-5}{14},\frac{5}{56})[/tex]

In a survey, 169 respondents say that they never use a credit card, 12527 say that they use it sometimes, and 2834 say that they use it frequently. Find the probability that a randomly selected person uses a credit card frequently (Round to 4 decimals) then take that result and decide whether it is Likely or Unlikely (ONLY TYPE IN THE WORD!) for someone to use a credit card frequently.

Answers

Answer:

Probability: 0.1825 or 18.25%  .......  Unlikely

Step-by-step explanation:

Hello, great question. These types are questions are the beginning steps for learning more advanced Probability problems.

To start of we need to calculate the total amount of respondents that took the survey. We do this by adding all the answers together.

169 + 12,527 + 2,834 = 15,530 total people

Now that we know the total amount of people we can calculate the probability of each response by dividing the amount of people that had that response by the total amount of people that took the survey.

Never Used: [tex]\frac{169}{15,530} = 0.0109 = 1.09%[/tex]

Sometimes Used: [tex]\frac{12,527}{15,530} = 0.8066 = 80.66%[/tex]

Frequently used: [tex]\frac{2834}{15,530} = 0.1825 = 18.25%[/tex]

So we can see that the probability of a randomly selected person using a credit card frequently is 0.1825 or 18.25%

Unlikely

I hope this answered your question. If you have any more questions feel free to ask away at Brainly.

Final answer:

The probability that a randomly selected person uses a credit card frequently is calculated as 2834 divided by the total of 15530, resulting in 0.1825 (rounded to four decimal places). Since this is less than 20%, it is considered 'Unlikely' for someone to frequently use a credit card.

Explanation:

To calculate the probability that a randomly selected person uses a credit card frequently, we need to use the basic probability formula, which is the number of favorable outcomes divided by the total number of outcomes. In this case, the number of people who use a credit card frequently is the favorable outcome, and the total number of respondents is the sum of all categories of credit card usage.

Number of people who use a credit card frequently: 2834

Total number of respondents: 169 (never) + 12527 (sometimes) + 2834 (frequently) = 15530

Probability of frequent use: 2834 / 15530 = 0.1825 (rounded to 4 decimal places)

Now, let's interpret the result. A probability of 0.1825, when rounded, is about 18.25%. This number is less than 20%, which is generally considered the benchmark for something to be considered "likely". Therefore, it is Unlikely for someone to use a credit card frequently.

Calculate the mean, median, and mode for each of the following populations of numbers: (a) 17, 23, 19, 20, 25, 18, 22, 15, 21, 20 N (Population) Mean Median Mode (b) 505, 497, 501, 500, 507, 510, 501 N (Population) Mean Median Mode

Answers

Answer: i dont now

Step-by-step explanation:

u have to add them togther i guess

Two functions f and g are given. Show that the growth rate of the linear function is constant and that the relative growth rate of the exponential function is constant. ​f(t)equals160plus8.5​t, ​g(t)equals160 e Superscript t divided by 8 What is the growth rate of the linear​ function

Answers

Answer:

  linear function growth rate: 8.5

Step-by-step explanation:

The growth rate of the linear function is the coefficient of t: 8.5. (It is a constant.)

__

The growth rate of g(t) is its derivative: g'(t) = (1/8)(160e^(t/8)) = 20e^(t/8). Then the relative growth rate is ...

  g'(t)/g(t) = (20e^(t/8))/(160e^(t/8)) = 20/160 = 1/8

It is a constant.

solve x^3+6x=2 using cardano's method

Answers

Answer:

The solution of the given equation is [tex]\sqrt[3]{4}-\sqrt[3]{2}[/tex].

Step-by-step explanation:

According to the cardano's method, the solution of the equation is x=u-v. If the equation is

[tex]x^3+px=q[/tex]

Where [tex]u^3-v^3=q[/tex]

[tex]3uv=p[/tex]

The given equation is

[tex]x^3+6x=2[/tex]

Here p=6 and q=2.

[tex]u^3-v^3=2[/tex]                 .... (1)

[tex]3uv=6[/tex]

[tex]uv=2[/tex]

Taking cube both the sides.

[tex]u^3v^3=8[/tex]

Multiply both sides by 4.

[tex]4u^3v^3=32[/tex]             .... (2)

Taking square both the sides of equation (1).

[tex](u^3-v^3)^2=2^2[/tex]

[tex](u^3)^2-2u^3v^3+(v^3)^2=4[/tex]       .... (3)

Add equation (2) and (3).

[tex](u^3)^2-2u^3v^3+(v^3)^2+4u^3v^3=4+32[/tex]

[tex](u^3+v^3)^2=36[/tex]

Taking square root both the sides.

[tex]u^3+v^3=6[/tex]             .... (4)

On adding equation (1) and (4), we get

[tex]2u^3=8[/tex]

[tex]u^3=4[/tex]

[tex]u=\sqrt[3]{4}[/tex]

On subtracting equation (1) and (4), we get

[tex]-2v^3=-4[/tex]

[tex]v^3=2[/tex]

[tex]v=\sqrt[3]{2}[/tex]

The solution of the equation is

[tex]x=u-v=\sqrt[3]{4}-\sqrt[3]{2}[/tex]

Therefore the solution of the given equation is [tex]\sqrt[3]{4}-\sqrt[3]{2}[/tex].

Final answer:

Solving x³+6x=2 using Cardano's method involves rewriting the equation to match the standard form of a depressed cubic equation, calculating the required constants, and finally, applying these constants to find the roots.

Explanation:

First, let's rewrite the equation x³+6x-2 = 0 as x³+6x = 2 to match the standard form of a depressed cubic equation which is x³ +px = q. Here, p = 6 and q = 2.

Next, we calculate the value t = sqrt[(q/2)² + (p/3)³]. So, t = sqrt[(1)² + (2)³] = sqrt[1 + 8] = 3.

Using these values, we can now calculate the roots. We know the roots are given by the formulaes u-v where u = cubicroot(q/2 + t) and v = cubicroot(q/2 - t). So, u = cubicroot(1 + 3) = 2, and v = cubicroot(1 - 3) = - root(2).

Therefore, the roots of the given polynomial equation are x = u - v = 2 - (- root(2)) = 2 + root(2).

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The weights of steers in a herd are distributed normally. The standard deviation is 300lbs and the mean steer weight is 1100lbs. Find the probability that the weight of a randomly selected steer is greater than 920lbs. Round your answer to four decimal places.

Answers

Answer: 0.7257

Step-by-step explanation:

Given : The weights of steers in a herd are distributed normally.

[tex]\mu= 1100\text{ lbs }[/tex]

Standard deviation : [tex]\sigma=300 \text{ lbs }[/tex]

Let x be the weight of the randomly selected steer .

Z-score : [tex]\dfrac{x-\mu}{\sigma}[/tex]

[tex]z=\dfrac{920-1100}{300}=-0.6[/tex]

The the probability that the weight of a randomly selected steer is greater than 920 lbs using standardized normal distribution table  :

[tex]P(x>920)=P(z>-0.6)=1-P(z<-0.6)\\\\=1-0.2742531=0.7257469\approx0.7257[/tex]    

Hence, the probability that the weight of a randomly selected steer is greater than 920lbs =0.7257

a. draw the correct graph that identifies the feasible region for the following set of constraints.

2 A + 0.5 B ≥ 90
0.75 A + 5 B ≥ 200
0.75 A + 1.5 B ≤ 150
A, B ≥ 0

Answers

Answer:

Step-by-step explanation:

Assuming A as x axis and B as y axis the equations are

[tex]2x+0.5y\geq 90\quad \left(1\right)\\0.75x+5y\geq 200\quad \left(2\right)\\0.75x+1.5y\leq 150\quad \left(3\right)\\x,y\geq 0\quad \left(4\right)[/tex]

Solving equations (2) and (3) we get

x=171.429 y=14.286

Solving equations (1) and (3) we get

x=22.857 y=88.571

Solving equations (1) and (2) we get

x=36.364 y=34.545

The area enclosing the above three points is the feasible region.

Last month a store sold 4 times as many tapes as CDs. If the total quantity of these two items sold was 360, how many tapes did the store sell? a. 288 b. 360 c. 90 d. 20

Answers

Answer: The store sold 288 tapes last month.

Step-by-step explanation:

Let the number of CDs be x , then the number of tapes is given by the expression : 4x

Also, the total quantity of these two items sold was 360.

Now, we have the following equation :-

[tex]x+4x=360\\\\\Rightarrow\ 5x=360\\\\\Rightarrow\ x=\dfrac{360}{5}\\\\\Rightarrow\ x=72[/tex]

The number of CDs sold in last month = 72

The number of tapes sold in last month =[tex]4\times72=288[/tex]

Hence, the store sold 288 tapes last month.

Real estate ads suggest that 58 % of homes for sale have​ garages, 39 % have swimming​ pools, and 6 % have both features. What is the probability that a home for sale has ​a) a pool or a​ garage? ​b) neither a pool nor a​ garage? ​c) a pool but no​ garage?

Answers

Final answer:

Using the given probabilities for each feature (garage and pool), we have found that a) the probability of a home having either a pool or garage is 91%, b) the probability of a home having neither a pool nor a garage is 9%, and c) the probability of a home having a pool but no garage is 33%.

Explanation:

The question is asking about the probability of certain features in homes for sale, namely garages and swimming pools. The given percentages represent independent probabilities for each attribute. Let's denote garage as 'G' and pool as 'P'. Then the probabilities given are P(G)=0.58, P(P)=0.39, and P(G and P)=0.06.

a) The probability a home has a pool or a garage: This is determined using the formula for the union of two events: P(G U P) = P(G) + P(P) - P(G and P) = 0.58+0.39-0.06 = 0.91 or 91% of homes for sale.

b) The probability a home has neither a pool nor a garage: This is the complement of the event in part a. So, P(Neither G nor P) = 1 - P(G U P) = 1 - 0.91 = 0.09 or 9% of homes for sale.

c) The probability a home has a pool but not a garage: This is determined using the formula for the difference of two events: P(P - G) = P(P) - P(G and P) = 0.39 - 0.06 = 0.33 or 33% of homes for sale.

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The wildlife department has been feeding a special food to rainbow trout fingerlings in a pond. Based on a large number of observations, the distribution of trout weights is normally distributed with a mean of 402.7 grams and a standard deviation of 8.8 grams. What is the probability that the mean weight for a sample of 40 trout exceeds 405.5 grams?

Answers

Answer: 0.0222

Step-by-step explanation:

Given : The distribution of trout weights is normally distributed with

Mean : [tex]\mu=402.7\text{ grams}[/tex]

Standard deviation : [tex]\sigma=8.8\text{ grams}[/tex]

Sample size : [tex]n=40[/tex]

The formula to calculate the z-score is given by :-

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

Let x be the weight of randomly selected trout.

Then for x = 405.5  , we have

[tex]z=\dfrac{405.5 -402.7}{\dfrac{8.8}{\sqrt{40}}}\approx2.01[/tex]

The p-value : [tex]P(405.5<x)=P(2.01<z)[/tex]

[tex]1-P(2.01)=1-0.9777844=0.0222156\approx0.0222[/tex]

Thus,the probability that the mean weight for a sample of 40 trout exceeds 405.5 grams= 0.0222.

The probability that the mean weight for a sample of 40 trout exceeds 405.5 grams is  0.0222.

The distribution of trout weights is normally distributed with

We have given that

Mean=402.7 grams

Standard deviation =8.8  grams  

Sample size (n)=40

We have to calculate

The probability that the mean weight for a sample of 40 trout exceeds 405.5 grams

What is the to calculate the z-score?

Te formula of Z score is given by,

[tex]z=\frac{x-\mu }{\frac{\sigma }{\sqrt{n}}}[/tex]

n= the ample size

x=mean

sigma=standard deviation

So by using the formula we have,

Let x is  the weight of randomly selected trout.

Then for x = 405.5  

[tex]z=\frac{405.5-\402.7}{\frac{\8.8 }{\sqrt{40}}}\\\\\z=2.01[/tex]

we have

The p-value :(405.5<x)

(1-2.01)=1-0.97778

           =0.02221

           =0.0222

Therefore,the probability that the mean weight for a sample of 40 trout exceeds 405.5 grams= 0.0222.

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Suppose that Jason recently landed job offers at two companies. Company A reports an average salary of $51,500 with a standard deviation of $2,175. Company B reports an average salary of $46,820 with a standard deviation of $5,920. Assume that salaries at each company are normally distributed. Jason's goal is to secure a position that pays $55,000 per year. What are the ???? ‑scores for Jason's desired salary at Company A and Company B? Please round your answers to two decimal places.

Answers

Answer:

company B

Step-by-step explanation:

average salary of Company A(μ) = $51,500

standard deviation of Company A (σ)=  $2,175.

average salary of Company B(μ) = $46,820

standard deviation of Company B(σ) =$5,920

desired salary(x) = $55,000

z-score for company A = [tex]\dfrac{x-\mu}{\sigma}[/tex]

                                    = [tex]\dfrac{55000-51500}{ 2175} = 1.61[/tex]

z-score for company A = [tex]\dfrac{x-\mu}{\sigma}[/tex]

                                    =  [tex]\dfrac{55000-46820}{ 5920} = 1.38[/tex]

higher the value of z less chances of getting the desired salary hence company B has value of z is less so, the chances of getting desired salary is more in company B.

Final answer:

Jason has to calculate z-score to compare his desired salary with the average salaries at two different companies. The z-score for Company A is 1.61 and for Company B is 1.38. Hence, the desired wage of $55,000 is 1.61 and 1.38 standard deviations away from the mean salaries at Company A and Company B, respectively.

Explanation:

The z-score is a measure of how many standard deviations an observation or datum is from the mean. To calculate Jason's z-score at each company, we would subtract the mean salary at that company from $55,000 and then divide by the standard deviation for that company.

For Company A: [tex]Z_A = ($55,000 - $51,500) / $2,175 = 1.61.[/tex]

For Company B: [tex]Z_B = ($55,000 - $46,820) / $5,920 = 1.38.[/tex]

Therefore, Jason's desired salary of $55,000 is 1.61 standard deviations away from the mean at Company A and 1.38 standard deviations away from the mean at Company B.

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If possible, find a matrix B such that AB = A2 + 2A.

Answers

Answer:

[tex]\large\boxed{B=A+2I}[/tex]

Step-by-step explanation:

It's possible if dimensions of a matrix A and matrix B are n × n

[tex]AB=A^2+2A\qquad\text{multiply both sides on the left by}\ A^{-1}\\\\A^{-1}AB=A^{-1}A^2+A^{-1}(2A)\qquad\text{we know}\ A^{-1}A=I\\\\IB=A^{-1}A\cdot A+2A^{-1}A\\\\IB=IA+2I\qquad\text{we know}\ IA=A\\\\B=A+2I[/tex]

Matrices is an array of numbers, usually 2 dimensional, but can be single dimensional too.

A matrix B such that [tex]AB = A^2 + 2A[/tex] is given as

[tex]B = A + 2I = \left[\begin{array}{cc}4&0\\0&4\end{array}\right][/tex]

(Assuming A is left invertible and  [tex]A = \left[\begin{array}{cc}2&0\\0&2\end{array}\right][/tex])

When can we cancel out matrix multiplied on both sides of an equation?

Suppose that there is an equation

[tex]AB = AC[/tex]

We cannot always say that [tex]B = C[/tex]

If we assume that A is left invertible, then only we can surely say that we have got [tex]B = C[/tex]

Similarly, for [tex]BA = CA[/tex] to imply  [tex]B = C[/tex], we need A to be right invertible.

Assuming that we have A as a left invertible matrix, say

[tex]A = \left[\begin{array}{cc}2&0\\0&2\end{array}\right][/tex]

and [tex]L_A[/tex] be its left inverse, then [tex]L_A A = I[/tex] ([tex]I[/tex] is identity matrix)

Then,

[tex]AB = A^2 + 2A\\A(B) = A(A + 2I_2)\\\\\Multiplying L_{A}\text{ on left side of both terms,}\\\\L_{A} AB = L_{A}A(A + 2I_2)\\B = A + 2I_2\\\\B = \left[\begin{array}{cc}2&0\\0&2\end{array}\right] + \left[\begin{array}{cc}2&0\\0&2\end{array}\right] = \left[\begin{array}{cc}4&0\\0&4\end{array}\right] = 4I_2\\\\B = 4I_2[/tex]

Thus, i

A matrix B such that [tex]AB = A^2 + 2A[/tex] is given as

[tex]B = \left[\begin{array}{cc}4&0\\0&4\end{array}\right][/tex]

(Assuming A is left invertible and  [tex]A = \left[\begin{array}{cc}2&0\\0&2\end{array}\right][/tex])

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describe two reason why cadaver stories are so important to students.

Answers

Answer:

1) So the students do not make the same mistakes

2) So the students can see the importance of their jobs, to save lives

The claim is that the proportion of peas with yellow pods is equal to 0.25​ (or 25%). The sample statistics from one experiment include 590 peas with 139 of them having yellow pods. Find the value of the test statistic.

Answers

Final answer:

The test statistic for the proportion of yellow pea pods being 25% is calculated using the sample proportion, hypothesized proportion, and sample size. Using the given data, the test statistic (Z-score) comes out to approximately -1.412.

Explanation:

To find the value of the test statistic for the claim that the proportion of peas with yellow pods is equal to 0.25 (25%), we use the sample statistics provided from the experiment. You mentioned that there were 590 peas in total, with 139 having yellow pods. First, we check if the conditions for the binomial distribution are met, which in this case they are as we are dealing with two outcomes (yellow pods and not yellow pods), a fixed number of trials (590 peas), and each pea is independent of the others.

The test statistic for a proportion is calculated using the formula:

Z = (p' - p) / (sqrt(p(1 - p) / n))

Where:

p' is the sample proportion (139 / 590 = 0.2356)p is the hypothesized population proportion (0.25)n is the sample size (590)

Now, we calculate the test statistic:

Z = (0.2356 - 0.25) / (sqrt(0.25 × (1 - 0.25) / 590))

Z ≈ -1.412

This Z-score tells us how many standard deviations the observed sample proportion (0.2356) is from the hypothesized proportion (0.25).

M1Q7.) Construct a box plot from the data below

Answers

There are 16 numbers.

The median is 92.5 ( find the middle two values and divide by 2).

Minumum is 81

Maximum is 109

First quartile is 88.25 (Find median of the lower half of numbers).

Third quartile is 97.75 (Find median of the upper half of numbers.)

The interquartile range is 9.5 ( Difference between the first and third quartile).

Plotting that data in a box plot, the correct one looks like #1

Find the median.

92 and 93 are both middle numbers so add and divide by two.

92 + 93 = 185

185 / 2 = 92.5

Minimum (smallest number): 81

Maximum (largest number): 109

Find the median of the lower values behind the median.

88.25

Find the mean of the higher values ahead of the median.

97.75

Subtract to find the interquartile range.

97.75 - 88.25 = 9.5

The only option with these characteristics is Option A.

Best of Luck!

Consider two functions f and g on [1, 8] such that integral^8_1 f(x) dx = 9, integral^8_1 g(x) dx = 5, integral^8_5 f(x) dx = 4, and integral^5_1 g (x) dx = 3. Evaluate the following integrals. a. integral^5_1 2f(x) dx = (Simplify your answer.) b. integral^8_1 (f(x) - g (x)) dx = (Simplify your answer.) c. integral^5_1 (f (x) - g (x)) dx = (Simplify your answer.) d. integral^8_5 (g(x) - f(x)) dx = (Simplify your answer.) e. integral^8_5 7g(x) dx = (Simplify your answer.) f. integral^1_5 3f(x) dx = (Simplify your answer.)

Answers

I'll abbreviate the definite integral with the notation,

[tex]I(f(x),a,b)=\int_a^bf(x)\,\mathrm dx[/tex]

We're given

[tex]I(f,1,8)=9[/tex][tex]I(g,1,8)=5[/tex][tex]I(f,5,8)=4[/tex][tex]I(g,1,5)=3[/tex]

Recall that the definite integral is additive on the interval [tex][a,b][/tex], meaning for some [tex]c\in[a,b][/tex] we have

[tex]I(f,a,b)=I(f,a,c)+I(f,c,b)[/tex]

The definite integral is also linear in the sense that

[tex]I(kf+\ell g,a,b)=kIf(a,b)+\ell I(g,a,b)[/tex]

for some constant scalars [tex]k,\ell[/tex].

Also, if [tex]a\ge b[/tex], then

[tex]I(f,a,b)=-I(f,b,a)[/tex]

a. [tex]I(2f,1,5)=2I(f,1,5)=2(I(f,1,8)-I(f,5,8))=2(9-4)=\boxed{10}[/tex]

b. [tex]I(f-g,1,8)=I(f,1,8)-I(g,1,8)=9-5=\boxed{4}[/tex]

c. [tex]I(f-g,1,5)=I(f,1,5)-I(g,1,5)=\dfrac{I(2f,1,5)}2-I(g,1,5)=10-3=\boxed{7}[/tex]

d. [tex]I(g-f,5,8)=I(g,5,8)-I(f,5,8)=(I(g,1,8)-I(g,1,5))-I(f,5,8)=(5-3)-4=\boxed{-2}[/tex]

e. [tex]I(7g,5,8)=7I(g,5,8)=7(5-3)=\boxed{14}[/tex]

f. [tex]I(3f,5,1)=3I(f,5,1)=-3I(f,1,5)=-\dfrac32I(2f,1,5)=-\dfrac32(10)=\boxed{-15}[/tex]

Final answer:

In this integral calculus problem, we leverage properties of definite integrals to compute the values of various expressions. Key steps usually involve substituting given integral values and multiplying by constant factors when required

Explanation:

To solve the problem, we first need to consider the properties of integral calculus, specifically those of definite integrals. A fundamental rule that is applicable here is that the product of a constant and an integral is the constant times the value of the integral.

So for problem a, integral^5_1 2f(x) dx = 2* integral^5_1 f(x) dx = 2 * 5 = 10.

Similarly, for problem b, integral^8_1 (f(x) - g (x)) dx = integral^8_1 f(x) dx - integral^8_1 g(x) dx = 9 - 5 = 4.

Following through similar steps of substitutions, we obtain the following solutions:

c. integral^5_1 (f (x) - g (x)) dx = 1d. integral^8_5 (g(x) - f(x)) dx = 1e. integral^8_5 7g(x) dx = 21 f. integral^1_5 3f(x) dx = 15

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Which director made the Beatles films, A Hard Day's Night and Help? a. Blake Edwards b. Stanley Kubrick c. Richard Lester d. Mike Nichols

Answers

Answer: Option(c) Richard Lester is correct.

Step-by-step explanation:

Both the films were directed by Richard Lester.

A Hard Day's night was a scripted comic farce and its main focus on  Beatlemania and the band's hectic touring lifestyle. It is a black and white movie.

Help! film also directed by Richard Lester. And this film was shot in various exotic locations. Help! was the first Beatles film that is filmed in colour.  

A pollster wants to construct a 95% confidence interval for the proportion of adults who believe that economic conditions are getting better. A Gallup poll taken in July 2010 estimates this proportion to be 0.33. Using this estimate, what sample size is needed so that the confidence interval will have a margin of error of 0.052 ?

Answers

Final answer:

To construct a 95% confidence interval with a margin of error of 0.052, a sample size of 300 is needed.

Explanation:

To determine the sample size needed for the 95% confidence interval with a margin of error of 0.052, we can use the formula:

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

where n is the sample size, Z is the Z-score corresponding to the desired confidence level (in this case, 1.96), p is the estimated proportion (0.33), and E is the margin of error (0.052).

Substituting the given values into the formula:

n = (1.96^2 * 0.33 * (1 - 0.33)) / (0.052^2)

Simplifying the equation:

n = 299.5554

Rounding up to the nearest whole number, the sample size needed is 300.

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To construct a 95% confidence interval for the proportion of adults who believe economic conditions are getting better with a margin of error of 0.052, the required sample size is approximately 577 participants.

To calculate the sample size needed to construct a 95% confidence interval for the proportion of adults who believe that economic conditions are getting better, with a Gallup poll estimate of 0.33 and a desired margin of error of 0.052, the formula for determining the sample size (n) is:

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

where Z is the Z-score corresponding to the 95% confidence level, p is the estimated proportion (0.33) and E is the margin of error (0.052). The Z-score for a 95% confidence level is 1.96. Plugging in the values gives:

n = (1.96^2*0.33*(1-0.33))/(0.052^2),

Solving this, we find the sample size required:

n= 576.7.

Since we cannot have a fraction of a person, we round up to the next whole number. Therefore, the sample size needed is 577 participants.

Y= x - 2; How do you get the x and y axis and how do you plot it? So my teacher is confusing me and if ya'll could help i'd appreciate it.

Answers

Step-by-step explanation:

hi I have answered ur question

.Given: F(x) = 3x2+ 1, G(x) = 2x - 3, H(x) = x


G-1(x) =

a. -2x + 3

b. (x + 3)/2

c. 2(x + 3)


F(x) + G(x) =

a. 3x^2 + 2x - 2

b. 5x^3 - 2

c. 3x^2 + 2x + 4


F(-2) =

a. -11

b. 13

c. 37


F(3) + G(4) - 2H(5) =

a. 13

b. 23

c. 33

Answers

For this case we have the following functions:

[tex]F (x) = 3x ^ 2 +1\\G (x) = 2x-3\\H (x) = x[/tex]

We have to:

[tex]G (x) * - 1[/tex] is given by:

[tex](2x-3) * - 1 = -2x +3[/tex]

Thus, the correct option is the option is A.

On the other hand,

[tex]F (x) +G (x) = 3x ^ 2 +1 +(2x - 3) = 3x ^ 2+ 1+ 2x-3 = 3x ^ 2 +2x-2[/tex]

Thus, the correct option is the option is A.

We also have:

[tex]F (-2) = 3 (-2) ^ 2+ 1 = 3 (4)+ 1 = 12+ 1 = 13[/tex]

Thus, the correct option is the option is B.

Last we have:

[tex]F (3)+G (4) -2H (5) = (3 (3) ^ 2+ 1)+ (2 (4) -3) -2 (5) = (3 (9)+ 1) - (8-3) 10 = 28+ 5-10 = 33[/tex]

Thus, the correct option is the option is C.

ANswer:

Option A, A, B, C

Answer:

G-1(x)= -2x+3

F(x)+G(x)=3x^2+2x-2

F(-2)=13

F(3)+G(4)-2H(5)=33

A,A,B,C are the answers to the equations

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