a) The domain of the function f ○ g is the set of elements in A for which g(x) is defined. The codomain of f ○ g is the set of elements in C, the codomain of f.
b) If both f and g are one-to-one functions, then the composition f ○ g is also one-to-one.
c) If both f and g are onto functions, then the composition f ○ g is also onto.
a) The domain of the function f ○ g is the set of elements in A for which g(x) is defined. In other words, it is the set of all x in A such that g(x) belongs to the domain of f. The codomain of f ○ g is the set of elements in C, which is the codomain of f. It is the set to which the values of f ○ g belong.
b) To prove that the composition f ○ g is one-to-one, we need to show that if f ○ g(x₁) = f ○ g(x₂), then x₁ = x₂. Since f and g are one-to-one, if f(g(x₁)) = f(g(x₂)), it implies that g(x₁) = g(x₂). Now, since g is one-to-one, it follows that x₁ = x₂. Therefore, the composition f ○ g is also one-to-one.
c) To prove that the composition f ○ g is onto, we need to show that for every element y in the codomain of f ○ g, there exists an element x in the domain of f ○ g such that f ○ g(x) = y.
Since f is onto, for every element z in the codomain of f, there exists an element b in the domain of f such that f(b) = z.
Similarly, since g is onto, for every element b in the codomain of g, there exists an element a in the domain of g such that g(a) = b.
Combining these statements, for every element y in the codomain of f ○ g, there exists an element a in the domain of g such that f(g(a)) = y. Therefore, the composition f ○ g is onto.
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A biologist is studying the growth of a particular species of algae. She writes the following equation to show the radius of the algae, f(d), in mm, after d days:
f(d) = 7(1.06)d
Part A: When the biologist concluded her study, the radius of the algae was approximately 13,29 mm. What is a reasonable domain to plot the growth function? (4 points)
Part B: What does the y-intercept of the graph of the function f(d) represent? (2 points)
The y-intercept of the graph of the function f(d) would represent 7 and a reasonable domain to plot the growth function is 0 ≤ d ≤ 18 because the number of days is a whole number.
Part A: When the biologist concluded her study, the radius of the algae was approximately 13,29 mm.
What is a reasonable domain to plot the growth function?The given equation is,f(d) = 7(1.06)d
The radius of the algae was approximately 13.29 mm, which is the value of f(d).Thus, f(d) = 13.29
Substitute this value in the equation to find the value of d.13.29 = 7(1.06)dlog(13.29/7)/log(1.06) = dd = 17.19
Hence, a reasonable domain to plot the growth function is 0 ≤ d ≤ 18 because the number of days is a whole number.
Part B: What does the y-intercept of the graph of the function f(d) represent?The y-intercept of the graph of the function f(d) represents the initial value of the function when x = 0. The given function is,f(d) = 7(1.06)d
Substitute 0 in the above function and solve for f(0).f(0) = 7(1.06)0f(0) = 7
Hence, the y-intercept of the graph of the function f(d) represents 7.
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Use complete sentences to describe the domain of the consine function.
Answer:
The domain of a function is the set of the possible input values of the function. For example: consider the function f(x) = cos x, the domain of the function is the set of possible values of x.
The cosine function takes x values from all real numbers.
Therefore, the domain of the cosine function is a real numbers.
Step-by-step explanation:
The original price of a camera was $60. It was
on sale at a 20% discount. Later, the price of the
camera was reduced by an additional 25% of the
sale price. What was the final price of the camera?
Answer:
$36
Step-by-step explanation:
60-12 is 48 (20%)
And 75% Of 48 Is 36
You believe the population is normally distributed and you know the standard deviation is σ = 5.2. You obtain a sample mean of M = 78.5 for a sample of size n = 64.
What is the test statistic for this sample? (Report answer accurate to three decimal places.) test statistic= p-value=
What is the p-value for this sample? (Report answer accurate to four decimal places.)
The z-score table shows that for a z-score of 15.1, the p-value is approximately zero (p < 0.0001). Hence, the p-value for this sample is p < 0.0001.
Given that the population is normally distributed and the standard deviation is σ = 5.2.
A sample of size n = 64 is obtained with the sample mean of M = 78.5.
Test statistic = (Sample mean - population mean) / (Standard error of the mean) = (78.5 - µ) / (σ /√n)
Where µ = population mean = 0σ = 5.2n = 64.
The formula for the standard error of the mean is; σM = σ/√n = 5.2/√64 = 0.65.
Substituting in the test statistic equation,
Test statistic = (78.5 - 0) / 0.65 = 121.54.
P-value is the probability of obtaining the observed sample mean or a more extreme value from the null hypothesis.
Assuming a significance level of α = 0.05 and the null hypothesis H0: µ = 0 (Population mean), we can obtain the p-value from the z-score table.z-score = (sample mean - population mean) / standard deviation = (78.5 - 0) / 5.2 = 15.1
The z-score table shows that for a z-score of 15.1, the p-value is approximately zero (p < 0.0001).Hence, the p-value for this sample is p < 0.0001.
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guys please help me with this question
Answer:
= 15/20 + 1 10/20 + 4 4/20
= 5 29/20
= 6 9/20
Exact Form:
[tex]\frac{3}{4}[/tex]
Decimal Form:
6.45
Mixed Number Form:
6[tex]\frac{9}{12}[/tex]
Find the eigenvalues and the corresponding eigenspaces for the matrix -2 0 1 1 0 -1 0 1 - 1 Here the characteristic polynomial should be cubic. You may use a calculator or Wolfram Alpha to factor the characteristic polynomial if you wish.
The eigenvalues of the matrix -2 0 1 1 0 -1 0 1 -1 are λ₁ = -1, λ₂ = 1, and λ₃ = -1. The corresponding eigenspaces are E₁ = span{[-1, 1, 0]}, E₂ = span{[1, 1, 1]}, and E₃ = span{[-1, 1, 2]}.
Eigenvalues and eigenvectors play a fundamental role in linear algebra, particularly in the study of matrices.
The eigenvalues of a matrix are the values λ for which the equation A = λ has nontrivial solutions, where A is the given matrix and is a non-zero vector. The eigenspace associated with an eigenvalue is the set of all eigenvectors corresponding to that eigenvalue.
To find the eigenvalues of the matrix -2 0 1 1 0 -1 0 1 -1, we need to solve the characteristic equation det(A - λI) = 0, where A is the given matrix, λ is an eigenvalue, and I is the identity matrix.
The characteristic equation in this case is (-2 - λ)(λ² + 1) + (1 - λ)(-1) = 0. Simplifying this equation yields λ³ - 2λ² - 2 = 0. This is a cubic equation, and we can use a calculator or Wolfram Alpha to find its roots, which are λ₁ = -1, λ₂ = 1, and λ₃ = -1.
Once we have the eigenvalues, we can find the corresponding eigenvectors by solving the equation (A - λ) = 0 for each eigenvalue.
For λ₁ = -1, solving (A + ) = 0 gives us the eigenvector [-1, 1, 0]. For λ₂ = 1, solving (A - ) = 0 gives us the eigenvector [1, 1, 1].
Finally, for λ₃ = -1, solving (A + ) = 0 gives us the eigenvector [-1, 1, 2]. These eigenvectors span the eigenspaces E₁, E₂, and E₃, respectively.
In summary, the eigenvalues of the matrix -2 0 1 1 0 -1 0 1 -1 are λ₁ = -1, λ₂ = 1, and λ₃ = -1. The corresponding eigenspaces are E₁ = span{[-1, 1, 0]}, E₂ = span{[1, 1, 1]}, and E₃ = span{[-1, 1, 2]}.
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What is the value of y when
IN
The value of y varies directly with x. When y = 75, x =
x is 2
A 84
B 337
С
- 162
D 168
4
В.
Answer:
I think that the answer is B , 337/5 i mean .
Good luck ^^
Identify the two types of incorrect decisions in a hypothesis test. For each incorrect decision, what symbol is used to represent the probability of making that type of error?
Choose the correct answer below.
A. A Type 1 error is rejecting a true null hypothesis, whose probability is denoted α
A Type Il error is not rejecting a false null hypothesis, whose probability is denoted β
B. A Type 1 error is not accepting a true null hypothesis, whose probability is devoted α
A Type Il error is accepting a false null hypothesis, whose probability is denoted β
C. A Type I error is not rejecting a false null hypothesis, whose probability is denoted α.
A Type Il error is rejecting a true null hypothesis, whose probability is denoted β
D. A Type 1 error is accepting a false null hypothesis, whose probability is denoted α
A Type Il error is not accepting a true null hypothesis, whose probability is denoted β
The two types of incorrect decisions in a hypothesis test and the symbol used to represent the probability of making that type of error are as follows:
A. A Type 1 error is rejecting a true null hypothesis, whose probability is denoted α.
A Type II error is not rejecting a false null hypothesis, whose probability is denoted β.
What are Type I and Type II errors?A Type I error occurs when the null hypothesis is rejected, even though it is actually true.
The probability of committing a Type I error is denoted by α (alpha), which is the significance level of the test.
A Type II error occurs when the null hypothesis is not rejected, even though it is actually false.
The probability of committing a Type II error is denoted by β (beta).
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Find the area of a trapazoid
Answer:
The formula would be
((a+b) / 2)h = area
In this case a is one side of the base (top parralel or bottom line)
And b is the second one (top or bottom)
You can only choose one for each
You add those two up and divide that by 2
Now you multiply it by “h” or height.
Now you have the area
Solve d/4+7/8=6
What is d?
Answer:
the answer is d=20.5 hope this helped
Answer:
d= 20.5
Step-by-step explanation:
d/4+7/8=6
(we know that to add fractions, we have to have both denomiators the same number. We aslo know that that means 8. Using that information, we know that to top number must be 48. 48/8 = 6. We can substract)
48-7= 41
(we then need to divide by 2 as we would have had to already multiplyed 4 by 2.)
41/2 = 20.5
6. The distribution of the weight of a prepackaged "1-kilo pack" of cheddar cheese is assumed to be N(1.18, 0.072), and the distribution of the weight of a prepackaged *3-kilo pack" of cheese (special for cheese lovers) is N(3.22, 0.09²).
Select at random three 1-kilo packs of cheese, independently, with weights being X1, X2 and X3 respectively. Also randomly select one 3-kilo pack of cheese with weight being W. Let Y = X1 + X2 + X3.
(a) Find the mgf of Y
(b) Find the distribution of Y, the total weight of the three 1-kilo packs of cheese selected.
(c) Find the probability P(Y
(a) The mgf of Y is M_Y(t) = exp (3.54t + 0.01632t²).
(b) The distribution of Y, the total weight of the three 1-kilo packs of cheese selected is Y ~ N(3.54, 0.216).
(c) The probability P(Y < W) = 0.2808.
(a) The moment generating function (mgf) of Y, the total weight of the three 1-kilo packs of cheese selected is given by:
M_Y(t) = M_X1(t) × M_X2(t) × M_X3(t)
= exp (µ_X1 t + ½ σ²_X1 t²) × exp (µ_X2 t + ½ σ²_X2 t²) × exp (µ_X3 t + ½ σ²_X3 t²)
= exp [(µ_X1 + µ_X2 + µ_X3) t + ½ (σ²_X1 + σ²_X2 + σ²_X3) t²]
Therefore, the mgf of Y is given by:
M_Y(t) = exp [(1.18 + 1.18 + 1.18) t + ½ (0.072 + 0.072 + 0.072) t²]
M_Y(t) = exp (3.54t + 0.01632t²)
(b) The total weight Y of the three 1-kilo packs of cheese is the sum of three independent and identically distributed random variables.
So, the distribution of Y is given by the following normal distribution: Y ~ N (µ_Y, σ²_Y), where µ_Y = µ_X1 + µ_X2 + µ_X3 and σ²_Y = σ²_X1 + σ²_X2 + σ²_X3.
Thus, µ_Y = 3 × 1.18
µ_Y = 3.54 and,
σ²_Y = 3 × 0.072
σ²_Y = 0.216
⇒ σ_Y = √0.216
⇒ σ_Y = 0.4649
Therefore, Y ~ N(3.54, 0.216).
(c) We need to find P(Y < W), where W is the weight of the 3-kilo pack of cheese.
Now, Y and W are independent normal random variables.
Therefore, Y - W is also a normal random variable with the following distribution: Y - W ~ N(µ_Y - µ_W, σ²_Y + σ²_W), where µ_W = 3.22 and σ²_W = 0.09².
We know that µ_Y - µ_W = 3.54 - 3.22
µ_Y - µ_W = 0.32 and,
σ²_Y + σ²_W = 0.216 + 0.09² = 0.301.
Therefore, σ_Y - W = √0.301
σ²_Y + σ²_W = 0.5486.
Now, we need to find P(Y - W < 0), which is equivalent to finding P(Z < -0.5799), where Z = (Y - W - (µ_Y - µ_W))/σ_Y - W.
Substituting the values, we get:
Z = (Y - W - 0.32)/0.5486
⇒ Y - W = -0.5799
Z = (Y - W - 0.32)/0.5486
⇒ Y - W < 0 is equivalent to Z < -0.5799.
Using a standard normal table or calculator, we get: P(Z < -0.5799) = 0.2808.
Hence P(Y < W) = P(Y - W < 0)
P(Y < W) = 0.2808.
Therefore, P(Y < W) = 0.2808, correct to four decimal places.
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Which distribution do you use when you are testing a population mean and the standard deviation is known? Assume sample size is large.
O normal distribution
O uniform distribution
O Student's t-distribution
O binomial distribution
O Poisson distribution
The option A is correct answer which is Normal distribution.
What is Normal distribution?
A sort of continuous probability distribution for a random variable with a real value is called a normal distribution or a Gaussian distribution in statistics.
When testing a population mean and the standard deviation with large sample size so we used Normal distribution.
Hence, the option A is correct answer which is Normal distribution.
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What number could replace t below?
\dfrac{1}{3} = \dfrac{2}{t}
3
1
=
t
2
Answer:
If you go to this link it'll give you a whole explanation and walk how to get your answer:
https://www.khanacademy.org/math/arithmetic/fraction-arithmetic/arith-review-visualizing-equiv-frac/a/equivalent-fractions-common-denominator-review
Step-by-step explanation:
Hope that this helps! :)
Have a great rest of your day/night!
what is the worst thing you can do to a girl but they will like it
Answer:
KISS THEY BESTFRIEND AND THEY BOTH WANNA CUDDLE
Step-by-step explanation:
Answer:
expressing how you feel even if it comes off wrong because sometimes we understand this based off of a boys actions for example say he gets an attitude because your talking to everyone except him at a party and he came there with you well you have to understand that it could come off as awkward because he standing around looking lonely because your not admiring his presence when he's there with you and 9 times out of 10 your his girl friend
Step-by-step explanation:
What is the radius of a circle with a diameter of 240 mm?
A) 76.43 mm
B) 480.00 mm
C)12.00 mm
D) 120.00 mm
The radius of a circle is half of its diameter so the radius of a circle with a diameter of 240 mm is 120.00 mm. Option D is the correct answer.
To find the radius of a circle with a given diameter, you can follow these steps:
Given that the diameter is 240 mm, divide it by 2 to obtain the radius. Recall that the radius is half the length of the diameter.
Radius = Diameter / 2
In this case, Radius = 240 mm / 2 = 120 mm.
Therefore, the radius of the circle with a diameter of 240 mm is 120.00 mm.
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What is the area of the shaded triangle?
Given the ellipse (x-8)² (y + 1)² 1. 16 4 what are the vertices and co-vertices of the ellipse? Select the correct answer below: The vertices are (12, -1) and (4, -1). The co-vertices are (8, 1) and (8, -3). The vertices are (8, 1) and (8, -3). The co-vertices are (12, -1) and (4, -1). The vertices are (8, 3) and (8,-5). The co-vertices are (10, -1) and (6, -1). O The vertices are (10, -1) and (6, -1). The co-vertices are (8, 3) and (8,-5). +
The vertices of the ellipse are (12, -1) and (4, -1), and the co-vertices are (8, 1) and (8, -3).
To find the vertices and co-vertices of the given ellipse, we can use the equation of an ellipse in standard form:
((x-h)²/a²) + ((y-k)²/b²) = 1
Comparing this with the given equation ((x-8)²/(16)) + ((y+1)²/(4)) = 1, we can identify the values of h, k, a, and b.
From the equation, we can see that the center of the ellipse is at (h, k) = (8, -1). The value of a is the square root of the denominator of the x-term, which is 4, so a = 4. Similarly, the value of b is the square root of the denominator of the y-term, which is 2, so b = 2.
The vertices of the ellipse are located at a distance of a units from the center along the major axis, which is the x-axis. Therefore, the vertices are (8+a, -1) and (8-a, -1), which simplifies to (12, -1) and (4, -1).
The co-vertices of the ellipse are located at a distance of b units from the center along the minor axis, which is the y-axis. Therefore, the co-vertices are (8, -1+b) and (8, -1-b), which simplifies to (8, 1) and (8, -3).
Hence, the correct answer is: The vertices are (12, -1) and (4, -1). The co-vertices are (8, 1) and (8, -3).
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2
John, 25, just started contributing to his employer's 401(k) plan and started an IRA account. He is choosing to invest only in bonds and secure
Investments instead of high-risk stocks. Is John pursuing a wise investment strategy?
Select the best answer from the choices provided.
O A Yes; retirement Income should be protected from turmoil in the stock market.
OB. Yes; as john gets closer to retirement, he can switch to higher yielding stocks.
OC. No; young investors can afford more risk since they have time to recover from any sudden loses.
OD
No; bonds and safe investments are not part of good retirement plans.
Answer:
I think its C
Step-by-step explanation:
please help me it would help a lot please <33
Answer:
11
Step-by-step explanation:
first u 90 minus 67 equals 23
and if u times 11 by 4 equal 44
minus 21 equals 23 which would make the equation true
hope this helped
This equation shows how the size of Terrence's sticker collection is related to the number of sticker packs he buys.
s = 20p
The variable p represents the number of sticker packs he buys, and the variable s represents the total number of stickers he has. How many sticker packs does Terrence have to buy to have a total of 20 stickers?
Answer:
400
Step-by-step explanation:
use the midpoint rule with the given value of n to approximate the integral. round the answer to four decimal places.
Using the midpoint rule with the given value of n, we can approximate the integral. The answer, rounded to four decimal places, will be explained in the following paragraphs.
The midpoint rule is a numerical method used to approximate definite integrals. It involves dividing the interval of integration into n subintervals of equal width and evaluating the function at the midpoint of each subinterval. The approximated value of the integral is obtained by summing the products of the function values at the midpoints and the width of each subinterval.
To calculate the integral using the midpoint rule, we need to know the value of n, which determines the number of subintervals. The larger the value of n, the more accurate the approximation becomes. However, increasing n also requires more computational effort.
Once we have determined the value of n, we divide the interval of integration into n subintervals of equal width. Then, we evaluate the function at the midpoint of each subinterval and multiply it by the width of the subinterval. Finally, we sum up all these products to obtain the approximate value of the integral.
Rounding the answer to four decimal places ensures that the approximation is presented with a reasonable level of precision. It is important to note that while the midpoint rule provides a reasonable estimate, it may not always yield an exact result due to the inherent limitations of numerical methods for integration.
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Label each statement as true or false regarding the zeros/roots of a quadratic function. The roots zeros of a quadratic function are the same as the factors of the quadratic function. The roots zeros are the spots where the quadratic function intersects with the y-axis. The roots zeros are the spots where the quadratic function intersects with the x-axis. There are not always two roots/zeros of a quadratic function,
Answer:
True, false, true, true.
Step-by-step explanation:
The roots zeros of a quadratic function are the same as the factors of the quadratic function. This is true because your roots are your factors—>(x-3) is a factor, x=3 is the root.
The roots zeros are the spots where the quadratic function intersects with the y-axis. No! Those are called y-intercepts!
The roots zeros are the spots where the quadratic function intersects with the x-axis. True. X-intercepts are your solutions. (x-3) graphed would the (3,0). That’s a solution.
There are not always two roots/zeros of a quadratic function, True. No solution would be when your quadratic doesn’t intersect the x-axis. One solution would be when your vertex would be on the x-axis. Two solutions is when your quadratic intersects the x-axis twice. Can there be infinite solutions? No. It’s either 0, 1, or 2 solutions.
4.
Find the area of the shaded region.
A. 5x2 + 16x – 21
B. 7x2 + 28x + 27
C. 5x2 + 28x + 27
D. 5x2 + 28x + 21
Answer:
yay
Step-by-step explanation:
yayyayyayyayyayyyayyayayayyayaya
Answer:
D. 5x2 + 28x + 21
Step-by-step explanation:
First you want to find the area of the white rectangle
Then find the area of the beings rectangle
Then subtract beings minus white.
Sorry it’s +21. The first answer in your list
then thats correct
...............................................................................................................................................
5x^2+28x+21 confirmed from Cortez himself
The mean is _____ than the median, which in turn is _____ the mode, in a unimodal skewed right distribution.
a. less, greater than or equal to
b. less, less than
c. greater, less than
d. greater, greater than or equal to
The mean is greater than the median, which in turn is less than the mode, in a unimodal skewed right distribution. Therefore, option c) is the correct answer.
The terms mean, median, and mode are commonly used in statistics to measure the central tendency of a set of
values or a dataset. The mean is calculated by dividing the sum of all the numbers in a dataset by the total number of
items in the dataset. The mean is the average of the dataset. The median is the middle number in a dataset when the
data is arranged in ascending or descending order. Half of the values are higher than the median, and half are lower.
The mode is the value that appears most frequently in a dataset. If there are two values that occur with the same
frequency, the dataset is referred to as bimodal, and if there are more than two values that occur with the same
frequency, the dataset is referred to as multimodal. In a unimodal skewed right distribution, the mean is greater than
the median, which in turn is less than the mode. Therefore, the correct answer is option c) greater, less than.
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What is the probability that the sample mean life span of 64 calculators from Caseo will exceed the sample mean life span of 81 calculators from Sharpy by greater than 6 months?
Answer:
it would be 64-81 than answer devide by 6.
Which shows the Commutative Property of Addition?
A 2 (5+6)=2 (5) + 2(6)
B 3+ (7+ -2) = 3 +(-2+ 7)
C 13+ (-13) = 0
D-9+(3+4)= (-9 + 3) + 4
Answer:
B 3+ (7+ -2) = 3 +(-2+ 7)
Step-by-step explanation:
It shows that the answer is the same even if you switch the problem in the parentheses around
evaluate the double integral where is the region in the first quadrant enclosed by the circle and the lines and by changing to polar coordinates.
To evaluate the double integral over the region in the first quadrant enclosed by a circle and lines by changing to polar coordinates, we need to express the integral limits and the integrand in terms of polar coordinates.
The region in the first quadrant enclosed by a circle and lines can be defined as follows: The circle has a radius 'r' centered at the origin, and the lines are given by the equations θ = 0 and θ = π/4, where θ represents the angle in polar coordinates.
In polar coordinates, the limits of integration for 'r' would be from 0 to the radius of the circle, and the limits of integration for θ would be from 0 to π/4.
The integrand, which represents the function being integrated, would be expressed in terms of 'r' and θ.
To evaluate the double integral, we would integrate the function over the defined region using the limits of integration and the appropriate differential element in polar coordinates, which is r dr dθ.
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Together donkey and Shrek can make 7 cupcakes in 12 mins. Shrek can make 2 cupcakes in 8 mins. How long will it take Donkey to make 3 cupcakes
Meg used this table to track the average attendance from month to month at her theater for five months. A 5-column table with 1 row is titled Percent Increase and Decrease. Column 1 is labeled October with entry negative 1. Column 2 is labeled November with entry 0.5. Column 3 is labeled December with entry negative 0.9. Column 4 is labeled January with entries three-fourths. Column 5 is labeled February with entry one-half. A number line going from negative 1 to positive 1 in increments of 0.25. Graph the numbers on the number line. Choose the inequality symbol that makes each comparison true. Nov. Feb. Oct. Dec. Jan. Nov.
Answer:
B - Her monthly average would have increased by $19.57. ... Katie works as a waitress and records her monthly tips in the table shown below. If Katie decided not to work the month of November, how would her five month average compare to her six month ... Lisa is currently taking physics as one of her electives in school.
Step-by-step explanation:
Answer:
Nov. ✔ = Feb.
Oct. ✔ < Dec.
Jan. ✔ > Nov.
Step-by-step explanation:
Edge 2022
Round to the nearest tenth, if necessary.
Answer:
what are we rounding? like what is your question?
Step-by-step explanation:
**if you answer you have my promise and i'll go back and provide an actual answer**