A window comprises a square with sides of length z and a semicircle with diameter x as shown in the figure. If the total area of the window is 463 square inches, estimate the value of x to the nearest hundredth of an inch.

Answers

Answer 1

The value of x nearest hundredth of an inch is 18.19 inches.

Area is the quantity that expresses the extent of a region on the plane or on a curved surface. The area of a plane region or plane area refers to the area of a shape or planar lamina, while surface area refers to the area of an open surface or the boundary of a three-dimensional object.

Given that total area of the window is 463 square inches

We will need to write an equation using area of a square an area of a semi circle to find the approximate value of x and we know the total area of the window.

Area of square = [tex]x^{2}[/tex]

The area of the semicircle = [tex]\frac{1}{2}[/tex]πr²

So the radius squared would be 1/4 X squared

And the total area is 463.

We've got to clean this up two times pi times 1/4 that would be 1/8 times pi .

Combine like terms which would be 1.4 x squared.

Divide both sides by 1.4 and take the positive square root.

182x=18

Round to the nearest 100th which would be 18.19.

So value of x which is diameter of semicircle nearest 100th is = 18.19

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Related Questions

For the graph y=4 find the slope of a line that is perpendicular to it
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Answers

The slope of a line that is perpendicular to it Undefined.

What is slope?

A line's steepness can be determined by looking at its slope. Slope is calculated mathematically as "rise over run" (change in y divided by change in x).

That is the only slope which cannot be defined by a number.

A horizontal line with a slope of 0 has a change in y that is always 0 for any change in x.
As long as x is not 0, m=03, 08, 0x.

The line that runs perpendicular to this is vertical and has a "undefined" slope. We cannot divide by zero since the change in x for every change in y is always 0.
m=60,−50,y0 etc.
The slope remains undefined.

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Find the orthogonal projection of v onto the subspace W spanned by the vectors UI. (You may assume that the vectors UI are orthogonal.) v = 1 2 3 , u1 = 1 −1 1 , u2 = −1 1 2

Answers

the orthogonal projection of v onto the subspace W spanned by the vectors UI. v = 1 2 3 , u1 = 1 −1 1 , u2 = −1 1 2 then The orthogonal projection of v onto W is (1/6) (4, 4, 9).

To find the orthogonal projection of v onto W, we need to first find the orthogonal basis vectors for W. Since the vectors u1 and u2 are given to be orthogonal, we can use them as the basis vectors for W. We can then calculate the projection of v onto each of these vectors using the dot product. This gives us the components of the projection vector. Finally, we can multiply each component by the appropriate weighting factor to obtain the orthogonal projection vector.

Let v = (2, 3, 4)

Let u1 = (1, 0, 0) and u2 = (0, 1, 0)

The projection of v onto u1 is given by:

(2, 3, 4) • (1, 0, 0) = 2

The projection of v onto u2 is given by:

(2, 3, 4) • (0, 1, 0) = 3

The orthogonal projection vector of v onto W is then given by:

2u1 + 3u2 = (2, 3, 0)

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60−40y distributive property

Answers

Answer:

20(3-2y)

Step-by-step explanation:

60−40y =

10(6-4y) =   ==> both 60 and 40 are multiples of 10

2(10(3-2y)) =  ==> both 6 and 4 are factors of 2

2*10(3-2y) = ==> simplify

20(3-2y)

According to a recent study, the mean number of hours college students spent studying per month was 75 hours with a population standard deviation of 25 hours. Two weeks before final exams were scheduled to begin, 100 college students were randomly selected. Use a calculator to find the probability that the mean number of hours spent studying is less than 70 hours. Round your answer to three decimal places if necessary. Provide you answer below:

Answers

The probability that the mean number of hours spent studying is less than 70 hours is; 0.023

How to find the p-value from z-score?

We are given that:

Population mean; μ = 75

Population Standard deviation; σ = 25

Sample size; n = 100

The formula for the z-score is;

z = (x' - μ)/(σ/√n)

We want to find P(x < 70). Thus;

z = (70 - 75)/(25/√100)

z = -5/2.5

z = -2

From online p-value from z-score calculator, we have;

P(Z < -2) = 0.023

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according to the u.s. census bureau, the percentage of u.s. residents living in poverty in a certain year was 12.4% for men and 14.9% for women. these percentages were estimates based on data from large representative samples of men and women. suppose that the sample sizes were 1,250 for the sample of men and 1,000 for the sample of women. N USE SALT Use the survey data to calculate and interpret a 90% confidence interval for the difference in the proportion living in poverty for men and women. (Use P men - Pwomen. Round your answers to three decimal places.) Interpret the interval. There is a 90% chance that the true mean proportion living in poverty for men is directly in the middle of these two values. O We are 90% confident that the true mean proportion living in poverty for men is between these two values. There is a 90% chance that the true difference in the proportions living in poverty for men and women is directly in the middle of these two values. We are 90% confident that the true difference in the proportions living in poverty for men and women is between these two values. O We are 90% confident that the true mean proportion living in poverty for women is between these two values. You may need to use the appropriate table in the appendix to answer this question.

Answers

The 90% confidence interval for the true mean proportion is given by

[-0.049 , -0.001]

Given values of the problem are:

P₁ = 12.9%

P₂ = 14.9%

n₁ = 1250

n₂ = 1000

hence the 90 % confidence interval can be calculated by using the formula for p-value and test statistic .

[tex]z = (P_1 - P_2 ) \pm z\times \sqrt{\frac{P_1\times(1-p_1)}{n_1}+\frac{P_2\times(1-{P_2})}{n_2}}[/tex]

Now we will put the above values in the equation to calculate the values of z .

Using the normal distribution table we can get the z-values.

Upper limit = - 0.049

Lower limit = - 0.001

Hence the 90% confidence interval can be calculated by [-0.049 , -0.001]

When employing common statistical procedures, confidence intervals are usually created using standardized techniques. The methods will have been created to fulfil a number of desired characteristics if the underlying presumptions are accurate. These desired properties include things like validity, optimality, and invariance.

Validity is the most important of the three, followed closely by "optimality." "Invariance" may be viewed as a characteristic of the procedure used to produce the confidence interval rather than a characteristic of the rule for generating the interval. In non-standard applications, the same desired attributes would be sought.

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you want to establish control limits on your chart with a certain confidence level. you are using a z-value of 2.58. what percentage confidence interval is implied by this z-value? enter your answer as a number between 0 and 100. for example, if you want to enter 56.78%, enter 56.78. take care not to enter 0.5678.

Answers

The Z-value of 2.58 implies a 97.72% confidence interval. This is because the Z-value of 2.58 corresponds to a probability of 0.9974 (which is 1 - 0.0026). This 0.9974 probability is equivalent to a 97.72% confidence interval.

The Z-value of 2.58 corresponds to a probability of 0.9974 (or 1 - 0.0026). To calculate this probability, we use the standard normal cumulative distribution function (CDF).

Using the standard normal CDF, we can calculate the cumulative probability of a Z-value of 2.58 by plugging in the Z-value into the equation and solving for the cumulative probability. The standard normal CDF is given by the following equation:

P(Z <= z) = 1 - 1/2*(1 + erf(z/sqrt(2)))

Plugging in the Z-value of 2.58 into the equation, we get:

P(Z <= 2.58) = 1 - 1/2*(1 + erf(2.58/sqrt(2)))

Solving for the cumulative probability, we get:

P(Z <= 2.58) = 0.9974

This 0.9974 probability is equivalent to a 97.72% confidence interval.

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1)
On the basis of extensive tests, the yield point of a particular type of mild steel-reinforcing bar is known to be normally distributed with ? = 100. The composition of the bar has been slightly modified, but the modification is not believed to have affected either the normality or the value of ?.
(a) Assuming this to be the case, if a sample of 49 modified bars resulted in a sample average yield point of 8459 lb, compute a 90% CI for the true average yield point of the modified bar. (Round your answers to one decimal place.)
( ? , ? )
(b) How would you modify the interval in part (a) to obtain a confidence level of 98%? (Round your answer to two decimal places.)
2)
An article reported that for a sample of 48 kitchens with gas cooking appliances monitored during a one-week period, the sample mean CO2 level (ppm) was 654.16, and the sample standard deviation was 162.85.
(a) Calculate and interpret a 95% (two-sided) confidence interval for true average CO2 level in the population of all homes from which the sample was selected. (Round your answers to two decimal places.)
( ? , ? )
(b) Suppose the investigators had made a rough guess of 170 for the value of s before collecting data. What sample size would be necessary to obtain an interval width of 47 ppm for a confidence level of 95%? (Round your answer up to the nearest whole number.)

Answers

1) On the basis of extensive tests, the yield point of a particular type of mild steel-reinforcing bar,

a) 90% CI for the true average yield point of the modified bar is 8459 +/- 23.5

b) 98% CI for the true average yield point of the modified bar is 8459 +/- 23.49

2) An article reported that for a sample of kitchens with gas cooking appliances monitored during a one-week period,

a) 95% (two-sided) confidence interval for true average CO2 level in the population is 654.16 +/- 185.0632

b) Sample size is 12.

What is Confidence Interval ?

The confidence interval for the population mean is constructed about the sample mean i.e. sample mean lies at the center of the interval.

1) The yield point of a particular type of mild steel-reinforcing bar is normally distributed with

Sample size,n = 49

Sample mean , X-bar = 8459 lb,

Standard deviations, σ = 100

We have to compute 90% CI for the true average yield point of the modified bar.

α = 1 - 90% = 1- 0.90 = 0.10

a)From Standard Normal Table, the critical value at the Zα/2 = Z₀.₀₅ level of significance is 1.645.

Confidence interval formula ,

X-bar +/- Zα/2(σ /√n)

90% CI for the true average yield point of the modified bar, is

8459 +/- 1.645(100/√49)

=> 8459 +/- 1.645(100/7)

=> 8459 +/- 1.645(14.2857) = 8459 +/- 23.5

b)

Now, we have to compute 98% CI for the true average yield point of the modified bar.

α = 1 - 98% = 1 - 0.98 = 0.02

From Standard Normal Table, the critical value at the Zα/2 = Z₀.₀₁ level of significance is 2.326.

Then, Confidence interval is,

CL = 8459 +/-2.326(100/√49)

= 8459 +/- 1.645( 14.285) = 8459 +/- 23.49

2) An article reported that for a sample of kitchens with gas cooking appliances monitored during a one-week period,

Sample size, n = 48

Sample mean , X-bar= 654.16

standard deviations, σ = 162.85

a) We have to calculate and interpret a 95% (two-sided) confidence interval for true average CO2 level. α = 1 - 0.95 = 0.05 ; α/2 = 0.025

From Standard Normal Table, the critical value at the Zα/2 = Z0.025 level of significance is 1.96

95% (two-sided) confidence interval for true average CO2 level is 654.16 +/- 1.96(654.16 /√48)

= 654.16 +/- 1.96(94.42)

= 654.16 +/- 185.0632

b) The distance between the two ends limits of the interval is known as the width of the interval and it is twice the margin of error.

We have width of the interval = 47 ppm

so, Margin of error , MOE = 94

Significance level, 95%

we have to determine sample size

Margin of error formula is

MOE = Zα/2(σ/√n)

where n is sample size.

94 = 1.96 (162.85/√n)

=> √n = 162.85 × 1.96/94 = 3.39559574468

=> n = 11.53 ~ 12

Hence, sample size is 12..

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the population of a culture of bacteria, p(t), where t is time in days, is growing at a rate that is proportional to the population itself and the growth rate is 0.2. the initial population is 30. What is the population after 30 days? (Do not round your answer.) How long does it take for the population to double? () days

Answers

12090 people are there after 30 days when the growth rate of the population of a culture of bacteria, p(t).

Given that,

The growth rate of the population of a culture of bacteria, p(t), where t is the number of days, is 0.2 and is proportionate to the population's growth. Initially, there are 30 people.

We have to find how many people are there after 30 days. (Stop rounding your response.) and when will there be a population doubling.

We know that,

dp//dt directly proportional p

dp/dt=kp

Here,

k=0.2

dp/p=0.2dt

Integrating on both sides.

[tex]\int {1/p} \, dp =\int {0.2} \, dt[/tex]

logp=0.2t+c

p=c[tex]e^{0.2t}[/tex]

Here,

t=30

c=30

So,

p=30[tex]e^{0.2(30)}[/tex]

p=30×403

p=12090

Therefore, 12090 people are there after 30 days when the growth rate of the population of a culture of bacteria, p(t).

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The growth of bacteria in food products makes it necessary to time-date some products (such as milk) so that they will be sold and consumed before the bacteria count is too high. Suppose for a certain product that the number of bacteria present is given by f(t) = 500c^0.1tt, under certain storage conditions, where t is time in days after packing of the product and the value of f(t) is in millions.If the product cannot be safely eaten after the bacteria count reaches 3000 million, how long will this take?

Answers

It takes almost 18 days to reach the population of bacteria in 3000 million.

What is the growth of bacteria?

With the passage of time, the number of bacterial populations increases as bacteria grow.

Why does growth of bacteria count is necessary?

The development of bacterial populace happens dramatically with time. In the food business it is compulsory to count the bacterial populace so food varieties are sold and devoured with flawless timing.

According to the given question:

Given, population of bacteria in millions after t days of packing= 3000

The number of bacteria is given by the equation, f(t) = 500 e∧0.1t

where t is the time in day.

we need to calculate the time taken to grow 3000 million bacteria

f(t) =3000

from the above equation, 3000 = 500e∧0.1t

                                     3000/500 = e∧ 0.1t

                                    6 = e∧0.1t

                                    ㏑6 = ㏑(e∧0.1t)     [take ln on both side]

                                     1.7918 = 0.1t

                                  time, t= 17.92 days or 18 days

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After 3 Months on a diet, Lias had lost 27% of hwe original weight. She lost 46.71 pounds. What was Lisa's original weight?

Answers

Answer:

Lisa's original weight was 172.9 pounds.

Step-by-step explanation:

Let w be Lisa's original weight and l be the weight she lost. Since Lisa lost 27% of her original weight, we have:

0.27w = l

Substituting the known value of l, we get:

0.27w = 46.71

w = 46.71 / 0.27

w = 172.9

Thus, Lisa's original weight was 172.9 pounds.

Matt has memorized 80% of
his times tables. If he's
memorized 100 times tables, how
many times tables does he need
to memorize in all?

Answers

Answer:

He need to memorize 20 times tables.

Step-by-step explanation:

.2 x 100 = 20

Determine whether the data come from a normally distributed population. Choose the correct answer below. A. The distribution is not normal. The points are not reasonably close to a straight line. B. The distribution is normal. The points show a systematic pattern that is not a straight-line pattern. C. The distribution is not normal. The points show a systematic pattern that is not a straight-line pattern. D. The distribution is normal.

Answers

The distribution is not normal. The points show a systematic pattern that is not a straight-line pattern curved over mean.

A normal distribution is a type of data distribution in which the data points form a symmetric, bell-shaped curve around the mean.

The data points in the example provided show a systematic pattern that is not a straight-line pattern, indicating that the data does not come from a normally distributed population.

This is because the points are not reasonably close to a straight line, which is a characteristic of a normal distribution.

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A plane travelled 750 miles with a tailwind in 2 hours. The return trip into the headwind took
45 more minutes than the first trip.. How fast was the plane flying?

Answers

Answer:

  about 323.9 mph

Step-by-step explanation:

You want the speed of a plane that travels 750 miles in 2 hours with the wind and in 2.75 hours against the wind.

Speed

The relation between time, distance, and speed is ...

  speed = distance/time

If p represents the speed of the plane, and w represents the speed of the wind, then we have ...

  p +w = 750/2 . . . . . . miles/hour with the wind

  p -w = 750/2.75 . . . . speed against the wind

Solution

Adding these two equations gives ...

  2p = 750(1/2 +1/2.75) = 750(4.75/5.50)

Dividing by 2, we have ...

  p = 375(19/22) ≈ 323.9 . . . . . miles per hour

The plane was flying about 323.9 miles per hour.

__

Additional comment

The wind speed was about 51.1 miles per hour.

ASAP!!!
A bag contains 15 plastic eggs, each with a different prize. Trevor picks out 3 of the eggs.


How many different sets of prizes could Trevor pick out?


Enter your answer as an integer, like this: 42

Answers

By finding the combinations C(15, 3), we wills see that there are 455 different sets of prizes.

How many different sets of prizes could Trevor pick out?

Basically, we want to see how many different sets of 3 eggs can Trevor pick out of the set of 15 eggs.

So we want to find the combinations, remember that for a set of N elements, the number of different subsets of K elements is given by:

C(N. K) = N!/(K!*(N - K)!)

Here we have:

N = 15

K = 3

Then:

C(15, 3) = 15!/(3!*12!) = 15*14*13/3*2 = 455

There are 455 different sets of prizes that Trevor could pick.

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There are 455 different sets of prizes.

Find the dimensions of a rectangular box of maximum volume such that the sum of the lengths of its 12 edges is a constant c. (Let x, y, and z be the dimensions of the rectangular box.)

Answers

The dimensions say (x,y,z) of a rectangular box of maximum volume is ( c/12, c/12, c/12).

What is Dimensions by Derivatives ?

The volume of a rectangular box is defined by the product of length, width, and height. For the maximum value of the rectangular box volume, simplify the expression by setting the first derivative of the rectangular box volume to zero in each dimension.

Let x, y, and z be the dimensions of the rectangular box. Since, the sum of the lengths of its 12 edges is a constant c. This implies

4x + 4y + 4z = c

=> x + y + z = c/4 --(1)

The volume of rectangular box = xyz

Consider xyz + lamda(x + y + z - c/4) where λ is Lagrange multiplier.

let f( x,y,z) = xyz + λ(x + y + z - c/4) --(*)

compute the partial derivatives of f( x,y,z) as

fx = yz + λ(1) = yz + λ

fy = xz + λ(1) = xz + λ

fz = xy + λ(1) = xy + λ

For critical points, set the partial derivatives equals to zero.

fx = yz + λ = 0

fy = xz + λ = 0

fz = xy + λ =0

=> xz = yz = xy = - λ

So, x = y = z

then, from equation (1) we get,

x + x + x = c/4

=> 3x = c/4 => x = c/12

thus, x = c/12, y = c/12, z = c/12

Thus, the dimensions of the rectangular box are x = y = z = c/12 or ( c/12, c/12, c/12) and

Maximum volume of rectangular box = xyz

= c³/1728

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a tree is a connected and acyclic graph. how many edges must be included in any tree with 100 vertices?

Answers

99 many edges must be included in any tree with 100 vertices.

This is because, in a tree, there must be one fewer edge than vertices. This is because each edge connects two vertices, so the total number of edges must be lower than the total number of vertices. Additionally, a tree is a connected graph, meaning there must be at least one edge between any two vertices. The number of edges must also be acyclic, meaning there can be no loops or cycles in the graph. Therefore, any tree with 100 vertices must have 99 edges in order to satisfy these conditions.

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Professor Janeja is studying which brain regions are involved in learning to correctly navigate a maze task. She randomly assigns half of a group of mice to get a lesion in one area of the brain. The other half does not get a lesion. Based on the following graph, where in the brain is the most likely site of the lesion?
A. The amygdala
B. The hippocampus
C. Wernicke's area
D. the thalamus
E. The pons​

Answers

Based on the following graph, The hippocampus in the brain is the most likely site of the lesion.

The brain is exactly what?

The brain is a sophisticated organ that manages every bodily function as well as thought, memories, emotions, touch, motor function, vision, respiration, temperature, and hunger. Its central nervous system or CNS, is made up of the spinal cord that emerges from the brain.

What functions does the brain perform?

The brain regulates many bodily functions, including the function of numerous organs as well as thinking, memory, language, arm and leg motions. By controlling heart and breathing rates, it also affects how people react to stressful situations (such as completing an exam, losing a job, having a baby, being ill, etc.).

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The manager of The Cheesecake Factory in Memphis reports that on six randomly selected weekdays, the number of customers served was 185, 165, 85, 135, 80, and 225. She believes that the number of customers served on weekdays follows a normal distribution. (You may find it useful to reference the t table.) Click here for the Excel Data File a. Calculate the margin of error with 90% confidence. (Round final answer to 2 decimal places.) Margin of error b. Construct the 90% confidence interval for the average number of customers served on weekdays. (Round final answers to 2 decimal places.) Lower limit Upper limit c. How can the margin of error reported in part a be reduced? O Increase the sample size O Decrease the sample size O Increase the standard deviation O Increase the confidence level

Answers

Using the properties of the normal distribution we get the 90% confidence interval as (121.576 , 273.424)

The information given is : 185, 165, 85, 135, 80, and 225.

The mean and standard deviation can be determined.

Mean = x/n = 1185/6 = 197.5

46.125 is the standard deviation

The range of confidence

Error margin for the mean

T at 99%, df = n - 1; 6 - 1 = 5;

Margin of Error = Ts / √n

T = 4.032

And the margin of error is equal to 4.032 × 46.125 ÷ 6.

Error margin is 75.924

Range of confidence: 197.5 to 75.924

Lower border = 121.576 - 197.5 - 74.924

Upper limit: 197.5 + 74.924 = 273.424

is a collection of estimations for an unnamed parameter known as a confidence interval (CI). The most common confidence level is 95%, but when calculating confidence intervals, other levels, such 90% or 99%, are also occasionally employed.

The confidence level is a measure of how many related CIs over the long run include the actual value of the parameter. For instance, the parameter's true value should be included in 95% of all intervals produced at the 95% confidence level.

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Find the volume of the composite solid (STEP BY STEP PLEASE) 25 POINTS

Answers

The volume of the composite solid is equal to 72π cubic centimeters.

How to calculate the volume of the composite solid

The volume of the composite solid shown in the figure is the result of the sum of the volumes of two solids: a cylinder and a cone. The volume formula of each element is shown below:

Volume of a cylinder

V = π · r² · h

Volume of a cone

V = (π / 3) · r² · h'

Where:

r - Radius of the base of the cone and the cylinder, in centimeters. h - Height of the cylinderh' - Height of the cone

Volume of the composite solid

V = π · r² · h + (π / 3) · r² · h'

If we know that r = 3 cm, h = 7 cm and h' = 3 cm, then the volume of the composite solid is:

V = π · (3 cm)² · (7 cm) + (π / 3) · (3 cm)² · (3 cm)

V = 72π cm³

The composite solid has a volume of 72π cubic centimeters.

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Somebody help me please

Answers

To determine if being subjected to an additional search is independent of carrying a laptop computer, we can calculate the conditional probability of being searched given that a passenger carries a laptop and compare it to the probability of being searched overall.

The probability of being searched overall is the number of passengers searched divided by the total number of passengers, which is 175/420 = 41.7%.

The probability of being searched given that a passenger carries a laptop is the number of passengers searched who carry a laptop divided by the total number of passengers who carry a laptop, which is 30/72 = 41.7%.

Since the probability of being searched is the same regardless of whether or not a passenger carries a laptop, it appears that being subjected to an additional search is independent of carrying a laptop.

For part B, the probability of selecting a passenger who carries a laptop and is not searched is 42/420 = 10%.

For part C, the probability of selecting a passenger who is not searched or carries a laptop is (203 + 145)/420 = 53.8%.

For part D, the probability of a passenger carrying a laptop given that they are searched is 30/175 = 17.1%.

Evaluate f(x) = 3x - 6:
a) x = -4
b) f(x) = 36.

Answers

Answer:

A) -18

B) 14

Step-by-step explanation:

A:

f(x) = 3x -6

f(-4) = 3(-4) - 6

f(-4) = -12 - 6

f(-4) = -18

B:

36 = 3x - 6  Add 6 to both sides

36 + 6 = 3x - 6 + 6

42 = 3x  Divide both side by 3

[tex]\frac{42}{3}[/tex] = [tex]\frac{3x}{3}[/tex]

14 = x

The averages wait time to see an E.R. doctor is said to be 150 minutes. You think the wait time
is actually less. You take a random sample of 30 people and find their average wait is 148
minutes with a standard deviation of 5 minutes. Assume the distribution is normal.
Using a significance level of 0.05 and p test, what would you recommend to the winery? Write
down the hypothesis and show all steps for testing the hypothesis.

Answers

The average wait time to see an E.R. doctor is significantly less than 150 minutes, and we can recommend to the winery that the wait time is actually less than what is reported.

To test the hypothesis that the average wait time to see an E.R. doctor is less than 150 minutes, we can follow these steps:

State the null hypothesis: The null hypothesis is the assumption that there is no difference between the observed result and what we expect to see. In this case, the null hypothesis is that the average wait time to see an E.R. doctor is 150 minutes.

State the alternative hypothesis: The alternative hypothesis is the opposite of the null hypothesis. In this case, the alternative hypothesis is that the average wait time to see an E.R. doctor is less than 150 minutes.

Calculate the test statistic: The test statistic is a measure of the difference between the observed result and the expected result. In this case, the test statistic is the difference between the observed average wait time of 148 minutes and the expected average wait time of 150 minutes, divided by the standard deviation of 5 minutes.

Determine the critical value: The critical value is the value that determines whether the test statistic is significant or not. To determine the critical value, we need to determine the p-value of the test statistic using a significance level of 0.05.

Compare the test statistic to the critical value: If the test statistic is greater than the critical value, then the null hypothesis can be rejected. If the test statistic is less than the critical value, then the null hypothesis cannot be rejected.

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There is a significant linear correlation between the number of homicides in a town and the number of movie theaters in a town.
Conclusion (True or False): Building more movie theaters will cause the homicide rate to rise.

Answers

True, Building more movie theaters will cause the homicide rate to rise.There is a significant linear correlation.

What does a statistical correlation mean?

A statistical metric known as correlation, which is given as a number, describes the strength and direction of a relationship between two or more variables.

                Although there may be a correlation between two variables, this does not necessarily imply that the change in one variable is what led to the change in the values of the other variable.

Correlation does not always indicate cause. Many factors, such as multi colinearity between movie theaters and the number of killings, which both tend to rise with population, can contribute to a strong connection. In general, there are numerous factors that could account for the parallels between the two.

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For the 15 variables in the plant operation, derive an appropriate Resolution IV fractional factorial design. Provide a rationale for this design (e.g., why does this design have a reasonable number of trials, etc). (a) Construct a design matrix that shows run labels, all main effect columns (compris- ing factors that are included in the base design, and those derived from assigning aliases) (b) Identify all generators. (c) Determine aliases for main and 2nd order effects (up to 2nd order).

Answers

The response variable was the weight of the package's standard deviation

a)the generator for this design is E=-ABCD

b)the resolution of this design is I=-ABCDE Therefor the resolution of the design is V.

c)estimate the factor effects there is 3 larger effcts namely E=-0.4700,BE=-0.4050,DE=-0.3150

d)Construct a linear regrassion model.The constant is estimated by the grand average and the regression coefficent are estimated by one-half the corresponding effect estimates.

If the underlying assumptions have any issues, the residual analysis will show them.

Y=1.22625+0.04375x₂-0.01875x₄+0.2350x₅-0.08125x₂x₄-0.1575x₄x₅

e)The standard deveation of package weight is affected the most by the dealy between mixing and packing,factor E.Also, its intreaction with the temperature factor B,BE and with the batch weight factor D,DE are important.

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it is important to detect a mean difference in score of one point with a probability of at least 0.90 g

Answers

If it is important to detect a mean difference in score of one point with the probability of at least 0.90 , then the number of pairs that should be used is  10 .

It is given that ,

the probability is at least 0.90 ,

So , in the paired t test ,

testing mean paired difference is = 0

alpha = 0.05 , the assumed standard deviation of paired difference = 0.441

So the output is

Difference = 1 , Size = 5 power(probability) = 0.90 ,

So , the actual probability is = 0.95190

From the output above , the required sample size is n = 5 .

We observe that , under the given conditions the sample size is = 5 .

but the researcher  considered 10 pairs ,

So , the sample size 10 is used for this study .

Therefore , 10 pairs should be used .

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The given question is incomplete ,the complete question is

It is important to detect a mean difference in score of one point with a probability of at least 0.90. how many pairs should have been used ?

5.NF.2. Word Problems
Keith picked 2 {5}/{6} buckets of apples and Sandy picked 4{1}/{3} buckets. How many money buckets of apples did sandy pick?
Jayson has 2{1}/{2} months' worth of pay saved in his account. He has 1{1}/{4} months' worth of pay saved in cash. Altogether, how much money has Jayson saved?

Answers

(a) Sandy picked  [tex]1\frac{1}{2}[/tex] more buckets than Keith  .

(b) Jason have saved money for total of [tex]3\frac{3}{4}[/tex] months .

In the question ,,

Part(a)  ,

it is given that

number of buckets of apples Keith picked is =  [tex]2\frac{5}{6}[/tex] buckets ,

number of buckets of apples Sandy picked is = [tex]4\frac{1}{3}[/tex] buckets

number of more buckets picked by Sandy is = (buckets picked by Sandy) - (buckets picked by Keith) .

= [tex]4\frac{1}{3}[/tex]  -  [tex]2\frac{5}{6}[/tex]  

= 13/3 - 17/6  = 3/2 = [tex]1\frac{1}{2}[/tex] buckets .

Part(b)

number of months that Jason saved money in account = [tex]2\frac{1}{2}[/tex] months

number of months that Jason saved money in cash =  [tex]1\frac{1}{4}[/tex] months

total number of months for which money is saved is =  [tex]2\frac{1}{2}[/tex] +  [tex]1\frac{1}{4}[/tex]

Simplifying further ,

we get,

= 5/2 + 5/4

= 15/4

=  [tex]3\frac{3}{4}[/tex] months .

Therefore , (a) Sandy picked  [tex]1\frac{1}{2}[/tex] more buckets  and (b) Jason saved money for [tex]3\frac{3}{4}[/tex] months .

The given question is incomplete , the complete question is

(a) Keith picked [tex]2\frac{5}{6}[/tex] buckets of apples and Sandy picked [tex]4\frac{1}{3}[/tex] buckets. How many more buckets of apples did sandy pick ?

(b) Jayson has [tex]2\frac{1}{2}[/tex] months worth of pay saved in his account. He has [tex]1\frac{1}{4}[/tex] months worth of pay saved in cash. Altogether, how many months of  money has Jayson saved ?

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URGENT

Use Polya's four-step problem-solving strategy and the problem-solving procedures presented in this lesson to solve the following exercise. On three examinations Dana received scores of  85, 92, and 73.  What score does Dana need on the fourth examination to raise his average to 87?​

Answers

The score does Dana need on the fourth examination to raise his average to 87 is 98.

What is the average of numbers?

Average by adding a group of numbers, dividing by their count, and then summing the results, the arithmetic mean is determined. For instance, the sum of 2, 3, 3, 5, 7, and 10 is equal to 30 divided by 6, which equals 5. Median the central number in a set of numbers.

Given: Dana received scores of  85, 92, and 73.

We have to find the score does Dana need on the fourth examination to raise his average to 87.

Suppose the score on the fourth examination is x.

The average of scores is 87.

[tex]87 = \frac{85 + 92 + 73 + x}{4} \\348 = 250 + x\\x = 348 - 250\\x = 98[/tex]

Hence, the score does Dana need on the fourth examination to raise his average to 87 is 98.

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if f(x,y,z) is a vector field and f(x,y,z) is a scalar function, which of the following are not defined?

Answers

If f(x,y,z) is a vector field rather than a scalar function. A vector-valued function is one that has a vector value and a calculable curl. Therefore, if we calculate this value, it will once more be a vector-valued function. The right response in this case is option B.

The following considerations must be made in order to answer this question: It is specified that the divergence of a vector field is a scalar-valued function.

A vector field's specified and actual curl is a vector field. A scalar field's divergence/Curl is not specified. A scalar field's gradient is a vector field that has a definite definition. A vector field's gradient is not known.

Since F is a vector-valued function, we may discover its divergence, which will be a scalar-valued function, and since the gradient of the scalar-valued function will be a vector-valued function, this calculation is attempting to compute the gradient of the divergence of the vector field F.

Complete question:

Let f(x,y,z) be a scalar-valued function, and F(x,y,z) be a vector field. Is the following defined? If it is defined, is it a scalar-valued function or a vector field? (You are only allowed one attempt for each part of this problem.)

(a) V (Vn Defined- it is a scalar-valued function O Defined - it is a vector field O Not defined

(b) VV F) O Defined - it is a scalar-valued function Defined - it is a vector field O Not defined

(c) V (V F) Defined it is a scalar-valued function Defined - it is a vector field Not defined

(d) V (V x F) Defined it is a scalar-valued function Defined it is a vector field Not defined

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A recent debate about where in the United States skiers believe the skiing is best prompted the following survey. Using ???? = 0.10, test to see if the best ski area is independent of the level of the skier.U.S Ski AreaBeginnerIntermediateAdvancedTahoe203040Utah103060Colorado104050Write the hypotheses, calculate the expected counts, check the condition, calculate the test statistic, and use either the critical value approach or the p-value approach to make a conclusion.

Answers

The p-value (0.0324) < α (0.10), & There is sufficient proof that the best ski area is dependent on the level of the skier.

What is the p-value?

The p-value is the probability that we would see a test statistic this extreme or more if the null hypothesis were true.

(a) Hypotheses:          

H1 : Best ski area is independent of the level of the skier      

H2 : Best ski area is dependent on the level of the skier      

(b) Expected counts:          

                                              Beginner     Intermediate    Advanced     Total  

Tahoe     Observed                 20          30               40          90

             Expected               12.41            31.03            46.55   90.00

Utah     Observed                 10             30             60    100

             Expected              13.79           34.48           51.72  100.00

Colorado    Observed                 10             40             50    100

             Expected                13.79            34.48           51.72  100.00

Total     Observed                  40             100             150  290

             Expected               40.00          100.00       150.00     290.00

(c)

All the expected counts are > 5, so we can apply the test      

(d) Test statistic:

Square Contingency Table Test for Independence  

                                              Beginner     Intermediate    Advanced     Total

Tahoe     Observed                 20          30               40          90

             Expected               12.41            31.03            46.55   90.00

              O - E                       7.59            -1.03          -6.55   0.00

             (O - E)² / E               4.64              0.03           0.92   5.59

Utah     Observed                 10             30             60    100

             Expected              13.79           34.48           51.72  100.00

                      O - E               -3.79            -4.48          8.28   0.00

             (O - E)² / E               1.04              0.58           1.32    2.95

Colorado    Observed                 10             40             50    100

             Expected                13.79            34.48           51.72  100.00

                      O - E               -3.79            5.52          -1.72   0.00

             (O - E)² / E               1.04              0.88           0.06        1.98

Total     Observed                  40             100             150  290

             Expected               40.00          100.00       150.00     290.00

                      O - E               0.00            0.00          0.00    0.00

             (O - E)² / E               6.72               1.50            2.30        10.53

         

                                         10.53         chi-square    

                                                 4           df    

                                      0.0324           p-value  

x² = 10.53 and p-value = 0.0324        

(e) Since the p-value (0.0324) < α (0.10), we reject H1. There is sufficient evidence that the best ski area is dependent on the level of the skier.

Hence, the p-value (0.0324) < α (0.10), & There is sufficient proof that the best ski area is dependent on the level of the skier.

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in a random sample of 12 residents of the state of montana, the mean waste recycled per person per day was 2.2 pounds with a standard deviation of 0.84 pounds. determine the 90% confidence interval for the mean waste recycled per person per day for the population of montana. assume the population is approximately normal.step 1 of 2 : find the critical value that should be used in constructing the confidence interval. round your answer to three decimal places.

Answers

The confidence interval for the random sample of 12 residents of the state of Montana is found as: 1.764 ≤ μ ≤ 2.636.

Explain the term Confidence Interval?

The width of the gap and the likelihood that the population parameter will fall beyond the projected range of values increase with increasing confidence level.

The stated data;

Sample size, n = 12.Sample mean, x = 2.2 poundsStandard deviation, s = 0.84 poundsConfidence level = 0.90Significance level, α = 0.10

Degree of freedom

Df = n - 1

Df = 12 - 1

Df = 11

The critical value of t.

t critical = t(α/2,Df)

             = t(0.05, 11)

Using the t distribution.

t critical = ± 1.796

The confidence interval:

μ = x ± t.s / √n

 = 2.2 ± (1.796).(0.84)/√12

= 2.2 + 0.4355

1.764 ≤ μ ≤ 2.636

Thus, the confidence interval for the random sample of 12 residents of the state of Montana is found as: 1.764 ≤ μ ≤ 2.636.

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