Find the distance between 7 and -4

Answers

Answer 1

11 is the distance between given two numbers.

To find the distance between 7 and -4,

we need to find the absolute value of the difference between them:

|7 - (-4)| = |7 + 4| = |11| = 11

Therefore, the distance between 7 and -4 is 11.

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Related Questions

A (tiny) library has 5 history texts, 3 sociology texts, 6 anthropology texts and 4 psychology texts. Find the number of ways a student can choose:

Answers

Thus, there are 18 ways to choose one book, 153 ways to choose two books, and 360 ways to choose three books, one from each category.

To find the number of ways a student can choose from the given library, we need to use the formula for combinations.

The formula for combinations is:
nCr = n! / r!(n-r)!

where n is the total number of items, r is the number of items to be chosen, and ! denotes factorial.

Let's consider the different ways a student can choose:

1. Choosing one book from any category:
Total number of books = 5+3+6+4 = 18
n = 18, r = 1
Number of ways = 18C1 = 18! / 1!(18-1)! = 18

2. Choosing two books from any category:
n = 18, r = 2
Number of ways = 18C2 = 18! / 2!(18-2)! = 153

3. Choosing three books, one from each category:
For this, we need to choose one book from each category, and the order of selection does not matter.
n1 = 5, r1 = 1 (for history)
n2 = 3, r2 = 1 (for sociology)
n3 = 6, r3 = 1 (for anthropology)
n4 = 4, r4 = 1 (for psychology)
Number of ways = (5C1 x 3C1 x 6C1 x 4C1) = (5 x 3 x 6 x 4) = 360

Therefore, there are 18 ways to choose one book, 153 ways to choose two books, and 360 ways to choose three books, one from each category.

In summary, a student can choose:
- 18 ways to choose one book
- 153 ways to choose two books
- 360 ways to choose three books, one from each category

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There are five vowels (a,e,i,o,u) along with 21 consonants. Suppose that you decide to make up a password where the first seven characters alternate - consonant, vowel, consonant, vowel, consonant, vowel - with repetitions allowed, and a digit as the eighth character. How many different passwords can be make up

Answers

There are 1,602,562,500 different passwords that can be made up using the given pattern and character choices.

We need to make a password with eight characters, where the first seven characters follow the pattern CVCVCVC, and the eighth character is a digit. There are 21 consonants and 5 vowels available, and there are 10 digits (0-9) available for the eighth character.

To find the number of possible passwords, we can count the number of choices for each character in the password, and then multiply the choices together.

For the first character, we can choose from 21 consonants. For the second character, we can choose from 5 vowels. For the third character, we can choose from 21 consonants again, and so on, alternating between consonants and vowels. For the eighth character, we can choose from 10 digits.

Therefore, the total number of possible passwords is:

21 x 5 x 21 x 5 x 21 x 5 x 21 x 10 = 1,602,562,500

So there are 1,602,562,500 different passwords that can be made up using the given pattern and character choices.

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You need to compute the 99% confidence interval for the population mean. How large a sample should you draw to ensure that the sample mean does not deviate from the population mean by more than 1.3

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To compute the 99% confidence interval for the population mean, you need to determine the appropriate sample size to ensure that the sample mean does not deviate from the population mean by more than 1.3. The key terms involved in this process are the confidence interval, sample size, population mean, and sample mean.

The confidence interval represents the range within which the population parameter (in this case, the population mean) is likely to fall, given a certain level of confidence. A 99% confidence interval means that you are 99% confident that the true population mean falls within the specified range.

To calculate the required sample size, you will need to use the formula for the margin of error (E), which is E = (Zα/2 * σ) / √n, where Zα/2 is the critical value associated with the desired level of confidence (99%), σ is the population standard deviation, and n is the sample size.

Since you want the sample mean to not deviate from the population mean by more than 1.3, you will need to set E = 1.3 and solve for n. After finding the critical value for a 99% confidence interval (which is approximately 2.576) and assuming you know the population standard deviation, you can plug these values into the formula and solve for n.

By doing this, you will be able to determine the appropriate sample size to ensure that the 99% confidence interval for the population mean is within 1.3 units of the sample mean.

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Normal probability distribution is applied to: A. a subjective random variable B. a discrete random variable C. any random variable D. a continuous random variable

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Normal probability distribution is applied to a continuous random variable. The correct option is D.

The normal probability distribution, also known as the Gaussian distribution, is a probability distribution that is commonly used in statistics and probability theory. It is a continuous probability distribution that is often used to model the behavior of a wide range of variables, such as physical measurements like height, weight, and temperature.

The normal distribution is characterized by two parameters: the mean (μ) and the standard deviation (σ). It is a bell-shaped curve that is symmetrical around the mean, with the highest point of the curve being located at the mean. The standard deviation determines the width of the curve, and 68% of the data falls within one standard deviation of the mean, while 95% falls within two standard deviations.

The normal distribution is widely used in statistical inference and hypothesis testing, as many test statistics are approximately normally distributed under certain conditions. It is also used in modeling various phenomena, including financial markets, population growth, and natural phenomena like earthquakes and weather patterns.

Overall, the normal probability distribution is a powerful tool for modeling and analyzing a wide range of continuous random variables in a variety of fields.

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38. MODELING REAL LIFE In British Columbia, Canada, the number y of purple martin nesting pairs x years since 2000 can be modeled by the function y = 0.63x² +51.8x + 144. When were there about 1000 nesting pairs?​

Answers

In British Columbia, Canada, the number y of purple martin nesting pairs x years since 2000 can be modeled by the equation y = 0.63x² +51.8x + 144 there were about 1000 nesting pairs around the time of year 2011.5.

To find when there were about 1000 nesting pairs, we need to solve the given equation for x.

y = 0.63x² +51.8x + 144

We substitute y = 1000 and solve for x:

1000 = 0.63x² +51.8x + 144

0.63x² + 51.8x - 856 = 0

We can solve this quadratic equation using the quadratic formula:

x = (-b ± sqrt(b² - 4ac)) / 2a

where a = 0.63, b = 51.8, and c = -856.

x = (-51.8 ± sqrt(51.8² - 4(0.63)(-856))) / 2(0.63)

x ≈ -86.3 or x ≈ 11.5

Since we are interested in the time after 2000, we discard the negative solution and get:

x ≈ 11.5

This means that there were about 1000 nesting pairs approximately 11.5 years after 2000. To find the actual year, we add 11.5 to 2000:

2000 + 11.5 = 2011.5

Therefore, there were about 1000 nesting pairs around the time of  year 2011.5.

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22. If a pilot elects to proceed to the selected alternate, the landing minimums used at that airport should be

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If a pilot elects to proceed to the selected alternate, the landing minimums used at that airport should be equal to or higher than the minimums required for the original destination airport.

When a pilot chooses to proceed to the selected alternate airport, they must consider the weather conditions at that airport, particularly the landing minimums. The landing minimums are the lowest weather conditions in which an aircraft can safely land at an airport. They are determined by various factors, such as the visibility range and the height of the cloud ceiling.

Therefore, if a pilot decides to go to the alternate airport, they should use the landing minimums for that airport to ensure a safe landing. The landing minimums for the alternate airport should be equal to or higher than the minimums required for the original destination airport.

It's important to note that the pilot must have knowledge of the landing minimums for the alternate airport before deciding to proceed there. If they don't have the necessary information, they should consider other options, such as returning to the departure airport or diverting to a different airport with suitable weather conditions.

In summary, when a pilot chooses to proceed to an alternate airport, they should use the landing minimums for that airport to ensure a safe landing. The pilot must have knowledge of the minimums before proceeding to the alternate airport.

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Alanna went for a run. She ran ddd kilometers at an average speed of vvv kilometers per hour, and then walked to cool down for 0.250.250, point, 25 hours. The total duration of the trip was ttt hours. Write an equation that relates ddd, vvv, and ttt.

Answers

This equation tells us that the distance Alanna ran (ddd) is equal to her average speed (vvv) multiplied by the time she spent running (ttt - 0.25).

To find the equation that relates ddd, vvv, and ttt, we need to use the formula for average speed, which is:

Average speed = distance ÷ time

In this case, Alanna ran ddd kilometers at an average speed of vvv kilometers per hour, so we can write:

vvv = ddd ÷ t1

where t1 is the time it took Alanna to run ddd kilometers.

After running, Alanna walked to cool down for 0.25 hours, so the total time for the trip was ttt = t1 + 0.25. We can substitute this into our equation to get:

vvv = ddd ÷ (ttt - 0.25)

Finally, we can rearrange this equation to solve for ddd:

ddd = vvv × (ttt - 0.25)

So the equation that relates ddd, vvv, and ttt is:

ddd = vvv × (ttt - 0.25)

This equation tells us that the distance Alanna ran (ddd) is equal to her average speed (vvv) multiplied by the time she spent running (ttt - 0.25).

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The grade point averages (GPAs) of a large population of college students are approximately normally distributed with mean 2.3 and standard deviation 0.7. If students possessing a GPA less than 1.85 are dropped from college, what percentage of the students will be dropped

Answers

we need to first calculate the deviation of a GPA less than 1.85 from the mean GPA of 2.3, Deviation = 1.85 - 2.3 = -0.45 Next, we need to calculate the z-score for this deviation using the formula: z = (x - μ) / σ .



where x is the value we want to convert to a z-score, μ is the population mean, and σ is the population standard deviation. z = (-0.45 - 2.3) / 0.7 = -3.07, We can use a z-score table or calculator to find the percentage of the population that falls below this z-score.



According to the table, the percentage of the population with a z-score less than -3.07 is approximately 0.001. Therefore, the percentage of students who will be dropped from college is approximately 0.1% (or 0.001 x 100).
The Z-score formula is: Z = (X - μ) / σ.



Where X is the GPA value (1.85), μ is the mean (2.3), and σ is the standard deviation (0.7). Z = (1.85 - 2.3) / 0.7 = -0.64
Now, we'll use the standard normal distribution table to find the percentage of students corresponding to a Z-score of -0.64. The table gives us a value of 0.2611.Thus, approximately 26.11% of the students with a GPA less than 1.85 will be dropped from college.

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A spinner is divided into 11 equal sections numbered from 0 to 10. You spin the spinner once. What is P(not even)

Answers

6/11
I hope this helps

The probability of not getting an even number when spinning the spinner once is [tex]\frac{5}{11}[/tex].

You want to know the probability of not getting an even number when spinning a spinner divided into 11 equal sections numbered from 0 to 10.

Step 1: Identify the even numbers in the given range (0 to 10). The even numbers are 0, 2, 4, 6, 8, and 10.

Step 2: Count the number of even numbers. There are 6 even numbers in the given range.

Step 3: Calculate the total number of possible outcomes when spinning the spinner. There are 11 possible outcomes (0 to 10).

Step 4: To find the probability of not getting an even number (P(not even)), subtract the number of even numbers from the total number of outcomes. This will give you the number of odd numbers: 11 - 6 = 5.

Step 5: Now, divide the number of odd numbers by the total number of outcomes to find the probability: P(not even) = 5/11.

So, the probability of not getting an even number when spinning the spinner once is [tex]\frac{5}{11}[/tex].

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if x=2,y=3 and z=4
calculate the value of the following
3yz
xy​

Answers

If x = 2, y = 3 and z = 4 then the value of ;

1. 3yz = 36

2. xy = 6

What is substitution of variable?

Substitution means replacing a particular variable with another term, either a constant or another variable. For example, if x = 2 and y = 1

3x²+y² will be calculated by replacing 2 for x and 1 for y in the expression.

Similarly;

if x = 2 , y = 3 and z = 4

then;

3yz = 3 × 3 × 4

= 9× 4

= 36

and xy = 2 × 3

= 6

therefore the value of 3yz and xy are 36 and 6; respectively.

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Suppose that either a member of the CS faculty or a student who is a CS major is chosen as a representative to a university committee. How many different choices are there for this representative if there are 9 members of the CS faculty and 114 CS majors and no one is both a faculty member and a student

Answers

The total number of different choices for the representative is 114

How to find different choices for the representative to the university committee?

The number of choices for the representative to the university committee is the sum of the number of CS faculty members and the number of CS majors who are not faculty members.

Since no one can be both a faculty member and a student.

The number of choices for a faculty member is simply the number of members of the CS faculty, which is 9.

The number of choices for a CS major who is not a faculty member can be calculated by subtracting the number of CS faculty members from the total number of CS majors: 114 - 9 = 105.

Therefore, the total number of different choices for the representative is:

9 + 105 = 114

So there are 114 different choices for the representative to the university committee.

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The component of statistical methodology that includes the collection, organization, and summarization of data is called:

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The component of statistical methodology that encompasses the collection, organization, and summarization of data is referred to as descriptive statistics.

Descriptive statistics is a fundamental aspect of statistical methodology that focuses on the initial stages of data analysis. It involves the collection of data through various methods such as surveys, experiments, or observational studies. This data is then organized and structured in a systematic manner to facilitate a comprehensive understanding of its characteristics.

The first step in descriptive statistics is data collection. This can involve various techniques such as sampling, where a subset of the population is selected to represent the entire group. The collected data can be quantitative (numerical) or qualitative (categorical), depending on the nature of the study.

Once the data is collected, it needs to be organized in a meaningful way. This can involve sorting, categorizing, and arranging the data into different groups or categories. For quantitative data, measures such as frequency distributions, histograms, and scatter plots can be used to organize and display the data. For qualitative data, methods such as tables, charts, or graphs may be employed to summarize the information.

Finally, descriptive statistics involves summarizing the collected and organized data to extract key insights and characteristics. This can include measures such as central tendency (mean, median, mode), variability (range, variance, standard deviation), and correlation. These measures provide a concise summary of the data, enabling researchers to gain a better understanding of its overall patterns, trends, and distribution.

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A normally distributed set of population scores has a mean of 65 and a standard deviation of 10.2. The mean, of the sampling distribution of the mean, for samples of size 48 equals _________.

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The mean, of the sampling distribution of the mean, for samples of size 48 equals 65.

The central limit theorem states that the sampling distribution of the mean of a large number of random samples taken from a population will be approximately normally distributed, regardless of the shape of the population distribution. The mean of the sampling distribution of the mean is equal to the population mean, which in this case is 65.

The standard deviation of the sampling distribution of the mean is equal to the population standard deviation divided by the square root of the sample size. Therefore, the standard deviation of the sampling distribution of the mean for samples of size 48 is 10.2 / √48 ≈ 1.47.

Since the sampling distribution of the mean is approximately normally distributed with a mean of 65 and a standard deviation of 1.47, the mean of the sampling distribution of the mean for samples of size 48 is 65.

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the following show the results of a survey asking women how many pairs of shoes they own : 2, 4, 4, 5, 7, 8, 8, 9,12,15,17, 28. The mean is: [Select] [Select ] 10.48 The samples 7.36 9.92 8.00 The first quartile is: [Select] (Round to two decimal places). The median is: (Select] The third quartile is: [Select]

Answers

Q1 = median(2,4,4,5,7,8) = (4+5)/2 = 4.5

The third quartile (Q3) is the median of the 7th through 12th values:

Q3 = median(8,9,12,15,17,28) = (12+15)/2 = 13.5

Thus, the first quartile is 4.5 and the third quartile is 13.5.

The mean of the given data is:

mean = (2+4+4+5+7+8+8+9+12+15+17+28)/12 = 10.5

Thus, the mean is 10.5.

To find the quartiles and median, we first need to order the data:

2, 4, 4, 5, 7, 8, 8, 9, 12, 15, 17, 28

The median is the middle value of the ordered data. Since we have 12 data points, the median is the average of the 6th and 7th values:

median = (7+8)/2 = 7.5

To find the quartiles, we need to divide the ordered data into four equal parts. Since we have 12 data points, the first quartile (Q1) is the median of the 1st through 6th values:

Q1 = median(2,4,4,5,7,8) = (4+5)/2 = 4.5

The third quartile (Q3) is the median of the 7th through 12th values:

Q3 = median(8,9,12,15,17,28) = (12+15)/2 = 13.5

Thus, the first quartile is 4.5 and the third quartile is 13.5.

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In the following set of data: (1,3,5, 6, 7, 9, 100), what are the first, second, and third quartiles :_________

A) 1, 6, and 100 B) 3, 5, and 9 C) 3, 6, and 9 D) 1, 5, and 10

Answers

Answer:

C

Step-by-step explanation:

given the data in ascending order

1 , 3 , 5 , 6 , 7 , 9 , 100

              ↑ middle value

then the second quartile Q₂ ( the median ) is the middle value of the set

thus Q₂ = 6

the first quartile Q₁ is the middle value of the data to the left of the median

1 , 3 , 5

    ↑

Q₁ = 3

the third quartile Q₃ is the middle value of the data to the right of the median

7 , 9 , 100

     ↑

Q₃ = 9

the first , second and third quartiles are 3 , 6 and 9

The first, second, and third quartiles are 3, 6, and 9. The correct answer is option C) 3, 6, and 9.

The first quartile (Q1) is the value that divides the data set into quarters, with 25% of the data falling below this value. To find Q1, we need to locate the median of the first half of the data set. The first half of the data set consists of (1, 3, 5). The median of this set is 3, so Q1 is 3.

The second quartile (Q2) is the median of the entire data set, which is 6.

The third quartile (Q3) is the value that divides the data set into quarters, with 75% of the data falling below this value. To find Q3, we need to locate the median of the second half of the data set. The second half of the data set consists of (7, 9, 100). The median of this set is 9, so Q3 is 9.

Therefore, the first, second, and third quartiles of the given data set (1, 3, 5, 6, 7, 9, 100) are 3, 6, and 9 respectively. The correct answer is option C) 3, 6, and 9.

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m n t (5x+2)° (4x+6)°

Answers

The value of x if the angles are congruent angles is 4

Calculating the value of x

From the question, we have the following parameters that can be used in our computation:

(5x+2)° (4x+6)°

Assuming the angles are congruent angles

Then we have

(5x+2)° = (4x+6)°

Remove the bracket and the degree sign

So, we have

5x + 2 = 4x + 6

When the like terms are evaluated, we have

x = 4

This means that the value of x is 4

Note that the condition is that the angles (5x+2)° and (4x+6)° are congruent angles

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The "rigging" of a ship is all of the ropes used to hold sails, floats, and weights. The total rigging on the scale model amounts to an astonishing 326 feet of string. Assuming this number is an accurate scaling of the real rigging, what is the total rigging of the Lady Washington?

Answers

The model's rigging length of 326 feet is likely only a fraction of the total rigging on the real Lady Washington. Nonetheless, it is still an astonishing amount of string to work with when creating a model ship!

Assuming that the scale model is an accurate representation of the Lady Washington, we can use the model's rigging length to estimate the total rigging of the actual ship. The model has 326 feet of rigging, and if we know the scale of the model, we can determine the length of the real ship's rigging.
Unfortunately, without knowing the scale of the model or the dimensions of the actual ship, it is impossible to give an exact answer. However, we can make some educated guesses based on typical rigging lengths for ships of a similar size and type.
The Lady Washington is a replica of an 18th-century trading vessel, and based on historical records, we can estimate that a ship of this type and size would have had around 1,000 feet of rigging. This includes the standing rigging (which supports the mast and stays in place all the time), as well as the running rigging (which is used to adjust the sails).

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Your favorite basketball player is a 71% free throw shooter. Find the probability that he doest NOT make his next free throw shot.

Answers

The probability that a basketball player with a 71% free throw shooting accuracy does not make his next free throw shot is 29%.

The probability that a basketball player with a 71% free throw shooting accuracy does not make his next free throw shot.
To calculate the probability of missing a free throw shot, we need to subtract the shooting accuracy percentage from 100%.

In this case, the probability of making a free throw is 71%, which means the probability of missing the free throw is 29%.

Therefore, the probability that the basketball player does not make his next free throw shot is 29%.
It is important to note that free throw shooting accuracy can vary depending on the player's physical and mental condition, as well as external factors such as the audience's noise, the game's pressure, and the distance from the basket.

Thus, it is crucial for basketball players to train and practice regularly to improve their shooting skills and increase their chances of making free throw shots.
To answer this, we need to consider the complement of the success probability.

Since the player has a 71% chance of making the free throw, it means there is a 29% chance that he will not make it (100% - 71% = 29%).

The probability can also be expressed as a decimal, which is 0.29 (29/100 = 0.29).

Therefore, the probability that your favorite basketball player does not make his next free throw shot is 29% or 0.29.
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A 95% confidence interval of a population proportion has the limits of (64.5%,75.3%). What is the margin of error

Answers

Hence, the margin of error for this 95% confidence interval of a population proportion is 5.4%.

The margin of error for a confidence interval is the distance between the sample statistic (in this case, the sample proportion) and the confidence interval limits. To find the margin of error, we can use the formula:

Margin of error = (upper limit - lower limit) / 2

In this case, the lower limit of the 95% confidence interval is 64.5% and the upper limit is 75.3%. So the margin of error is:

Margin of error = (75.3% - 64.5%) / 2

Margin of error = 10.8% / 2

Margin of error = 5.4%

Therefore, the margin of error for this 95% confidence interval of a population proportion is 5.4%.

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2012 Gallup survey interviewed by phone a random sample of 474,195 U.S. adults. Participants were asked to describe their work status and to report their height and weight (to determine obesity based on a body mass index greater than 30). Gallup found 24.9% obese individuals among those interviewed who were employed (full time or part time by choice) compared with 28.6% obese individuals among those interviewed who were unemployed and looking for work. What can you reasonably conclude from this survey

Answers

Based on the 2012 Gallup survey that interviewed a random sample of 474,195 U.S. adults, it can be reasonably concluded that there is a slightly higher prevalence of obesity among unemployed individuals who are actively seeking work (28.6%) compared to those who are employed (24.9%).

However, it is important to note that this survey only provides a snapshot of a specific time period and may not be representative of the entire U.S. population. Additionally, other factors such as age, gender, and socio-economic status may also influence obesity rates and were not accounted for in this survey.

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If a scatterplot showed a non-linear relationship between the response and explanatory variable, what should be done

Answers

If a scatterplot shows a non-linear relationship between the response and explanatory variable, several options can be considered depending on the purpose of the analysis and the nature of the data.

Here are some possible actions:

Transform the data: One common approach is to transform the data to make the relationship linear. For example, if the relationship appears to be exponential, taking the logarithm of the response variable might make it linear. Similarly, taking the square root, cube root, or inverse of one or both variables might also help.

Use a non-linear model: Another option is to fit a non-linear model that can capture the curvature in the relationship. There are many types of non-linear models, such as quadratic, cubic, exponential, logistic, or spline models. The choice of model depends on the shape of the curve and the underlying theory or hypothesis.

Resample or subset the data: If the non-linear relationship is driven by outliers, influential points, or a subset of the data, it might be helpful to resample or subset the data to remove them. For example, trimming the extreme values, bootstrapping the data, or stratifying the data by a third variable might help.

Explore alternative variables or interactions: If the non-linear relationship is due to an unobserved or omitted variable, it might be useful to explore alternative variables or interactions that could explain the pattern. For example, if the response is sales and the explanatory variable is price, adding a competitor's price or a marketing variable might improve the fit.

Use caution in interpretation: Finally, if the non-linear relationship persists after exploring the above options, it might be necessary to acknowledge the non-linearity and use caution in interpreting the results. Non-linear relationships can be more difficult to interpret and extrapolate, and the statistical inference might be more uncertain or sensitive to assumptions.

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An electrician purchases thirty 125-volt, 30-ampere, double-pole, double-branch cutouts listed at $6.40 per box of 5, less 25%, and 8 surface panels listed at $4.75 each, less 35%. Three percent is saved by paying the bill in 15 days. What is the cost of if paid within 15 days

Answers

The final cost if paid within 15 days is $51.91 ($53.52 - $1.61).

The electrician purchased 30 double-pole, double-branch cutouts listed at $6.40 per box of 5, with a 25% discount, and 8 surface panels listed at $4.75 each, with a 35% discount. If the bill is paid within 15 days, an additional 3% discount is applied.

First, we need to calculate the cost of cutouts and surface panels separately. For the cutouts, 30 cutouts are equivalent to 6 boxes (30/5). With the 25% discount, the price per box becomes $4.80 ($6.40 * 0.75). So, the total cost for cutouts is $28.80 (6 * $4.80).

For the surface panels, with the 35% discount, the price per panel becomes $3.09 ($4.75 * 0.65). The total cost for 8 panels is $24.72 (8 * $3.09).

Now, we add the costs together: $28.80 (cutouts) + $24.72 (panels) = $53.52. Lastly, we apply the 3% discount for paying the bill within 15 days, which is $1.61 ($53.52 * 0.03).

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A portfolio has expected return of 13.2 percent and standard deviation of 18.9 percent. Assuming that the returns of the portfolio are normally distributed, what is the probability that, in any given year, the return of the portfolio will be less than -43.5 percent.

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The probability that the return of the portfolio will be less than -43.5% in any given year is 0.0139, or approximately 1.39%.

To solve this problem, we need to standardize the value of -43.5% using the given mean and standard deviation.

z = (x - mu) / sigma

where z is the z-score, x is the value we want to find the probability for (-43.5%), mu is the expected return (13.2%), and sigma is the standard deviation (18.9%).

Substituting the given values:

z = (-0.435 - 0.132) / 0.189

z = -2.22

We can use a standard normal distribution table or calculator to find the probability that a standard normal random variable is less than -2.22.

P(Z < -2.22) = 0.0139

Therefore, the probability that the return of the portfolio will be less than -43.5% in any given year is 0.0139, or approximately 1.39%.

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Let x represent number of years. The function P(x)=6x^2+9x+300 represents the population of Town A. In year 0, Town B had a population of 500 people. Town B's population increased by 7% each year. From year 4 to year 6, which town's population had a greater average rate of change? Responses: Town A or Town B Which town will eventually have a greater population? Responses: Town A or Town B.

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Town B population had a greater average rate of change. Town B will eventually have a greater population.

To determine which town had a greater average rate of change from year 4 to year 6, we need to find the average rate of change of each town over that time period.

For Town A, we can find the population in year 4 by plugging in x = 4 into the function P(x):

P(4) = 6[tex](4)^{2}[/tex] + 9(4) + 300 = 372

Similarly, the population in year 6 is:

P(6) = 6[tex](6)^{2}[/tex] + 9(6) + 300 = 498

So the average rate of change of Town A from year 4 to year 6 is:

(498 - 372) / (6 - 4) = 63

For Town B, we can use the formula for compound interest to find the population in year 4 and year 6:

Population in year 4 = 500[tex](1+0.07)^{4}[/tex] = 669.66

Population in year 6 = 500[tex](1+0.007)^{6}[/tex] = 802.86

So the average rate of change of Town B from year 4 to year 6 is:

(802.86 - 669.66) / (6 - 4) = 66.6

Therefore, Town B had a greater average rate of change from year 4 to year 6.

To determine which town will eventually have a greater population, we can compare the population functions for each town. For Town A, the population function is:

P(x) = 6[tex]x^{2}[/tex] + 9x + 300

For Town B, the population function is given by the formula for compound interest:

P(x) = 500[tex](1+0.07)^{x}[/tex]

To compare the growth of these functions, we can take the limit as x approaches infinity:

lim P(x) = lim (6[tex]x^{2}[/tex]+ 9x + 300) = ∞

x→∞

lim P(x) = lim [500[tex](1+0.07)^{x}[/tex] ] = ∞

x→∞

Both functions approach infinity as x approaches infinity, so neither town will eventually have a greater population. However, the population growth rate of Town B (7% per year) is constant and faster than the population growth rate of Town A (which is quadratic and slows down as x increases). Therefore, over a long enough time period, Town B's population growth rate will eventually surpass Town A's population growth rate, even though neither town will eventually have a greater population.

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One common way to describe a Poisson process is Multiple choice question. the model of departure times. the model of arrivals. the model of dependent events.

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The correct answer is "the model of arrivals." A Poisson process is a statistical model used to describe the arrival times of events that occur randomly over time. These events are assumed to occur independently of each other and with a constant rate or intensity. The process is named after French mathematician Siméon Denis Poisson.

The model of departure times, on the other hand, describes the times at which objects or individuals leave a certain location or system. It is not necessarily a Poisson process and can depend on various factors such as the size of the system or the behavior of the individuals.

Dependent events are those that are influenced by previous events or conditions. They are not typically modeled using a Poisson process, as this assumes independence between events. However, there are other statistical models that can be used to describe dependent events.

Overall, it is important to understand the characteristics and assumptions of different statistical models in order to choose the appropriate one for a given situation.

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A store sells a 1 1/4 pound package of turkey for $9.

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The calculated value of the unit rate of the turkey is $7.2 per pound

Calculating the unit rate of the turkey

From the question, we have the following parameters that can be used in our computation:

A store sells a 1 1/4 pound package of turkey for $9.

Using the above as a guide, we have the following:

Unit rate = Cost/Pounds of turkey

Substitute the known values in the above equation, so, we have the following representation

Unit rate = 9/(1 1/4)

Evaluate

Unit rate = 7.2

Hence, the unit rate is 7.2


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Assume that the second inspector examines only those items that have been passed by the first inspector. If an item has a flaw, what is the probability that the second inspector will find it

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The probability that the second inspector will find a flaw in an item that has been passed by the first inspector is simply the True Positive Rate, which is "b".

To find the probability that the second inspector will find a flaw in an item that has been passed by the first inspector, we need to consider the following terms:

1. Probability of the first inspector passing a flawed item (False Negative Rate)
2. Probability of the second inspector finding a flaw when examining a flawed item (True Positive Rate)

Let's assume the following probabilities:
- Probability of the first inspector passing a flawed item: P(False Negative) = a
- Probability of the second inspector finding a flaw in a flawed item: P(True Positive) = b

Now, let's calculate the probability that the second inspector will find a flaw in an item that has been passed by the first inspector:

P(Second Inspector finds flaw | First Inspector passes item) = P(True Positive | False Negative) = b

In this case, we don't need to account for the probability of the first inspector passing the flawed item, as we're given that the second inspector only examines items passed by the first inspector.

Therefore, the probability that the second inspector will find a flaw in an item that has been passed by the first inspector is simply the True Positive Rate, which is "b".

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valuate the line integral, where c is the given curve. c xy2 ds, c is the right half of the circle x2 y2 = 4 oriented count

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The answer is: ∫c xy^2 ds = 0To evaluate the line integral of c xy2 ds, we need to first parameterize the given curve c, which is the right half of the circle x2 y2 = 4 oriented counterclockwise.

Let's use the parameterization x = 2cos(t) and y = 2sin(t) for t in [0, pi], which traces out the right half of the circle as t varies from 0 to pi.

Next, we need to find ds, which represents an infinitesimal length element along the curve c. We can use the formula ds = sqrt(dx/dt)^2 + (dy/dt)^2 dt, which simplifies to ds = 2dt.

Substituting our parameterization and ds into the line integral, we get:

∫c xy^2 ds = ∫0^π (2cos(t) * 2sin(t)^2)(2dt)

Simplifying, we get:

∫c xy^2 ds = 8 ∫0^π sin^2(t)cos(t) dt

Using the identity sin^2(t) = (1/2)(1-cos(2t)), we can rewrite the integral as:

∫c xy^2 ds = 8 ∫0^π (1/2)(1-cos(2t))cos(t) dt

Expanding and simplifying, we get:

∫c xy^2 ds = 4 ∫0^π cos(t) dt - 4 ∫0^π cos(2t)cos(t) dt

Evaluating the first integral gives us:

4sin(π) - 4sin(0) = 0

For the second integral, we can use the identity cos(2t)cos(t) = (1/2)cos(3t) + (1/2)cos(t) and simplify:

∫0^π cos(2t)cos(t) dt = (1/2) ∫0^π cos(3t) dt + (1/2) ∫0^π cos(t) dt

The first integral evaluates to 0, and the second integral evaluates to 2sin(π) - 2sin(0) = 0.

Therefore, the final answer is:

∫c xy^2 ds = 0

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I have a drawer with 6 forks, 6 spoons, and 6 knives in it. If I reach in and randomly remove three pieces of silverware, what is the probability that I get one fork, one spoon, and one knife

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There is about a 26.5% chance of randomly selecting one fork, one spoon, and one knife from the drawer of 18 pieces of silverware.

To find the probability of selecting one fork, one spoon, and one knife out of the 18 pieces of silverware in the drawer, we can use the formula for probability:

Probability = (number of favorable outcomes) / (total number of possible outcomes)

First, let's find the total number of possible outcomes. Since we are selecting three pieces of silverware without replacement, the total number of possible outcomes is the number of ways to choose three pieces from 18:

Total possible outcomes = 18C3 = (18 x 17 x 16) / (3 x 2 x 1) = 816

Next, let's find the number of favorable outcomes, i.e., the number of ways to choose one fork, one spoon, and one knife. We can break this down into three steps:

Step 1: Choose one fork from the 6 available forks
Step 2: Choose one spoon from the 6 available spoons
Step 3: Choose one knife from the 6 available knives

The number of ways to perform each step is simply the number of available items, so:

Number of favorable outcomes = 6 x 6 x 6 = 216

Therefore, the probability of selecting one fork, one spoon, and one knife is:

Probability = 216 / 816 = 0.265

This means that there is about a 26.5% chance of randomly selecting one fork, one spoon, and one knife from the drawer of 18 pieces of silverware.

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True or false: For a given sample size n, the chances of a Type I error can only be reduced at the expense of a higher chance of Type II error

Answers

Answer:

Yes, it is TRUE


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