Answer:
Mr. Rosenbloom 1 bottle of gel will last for 20 days.
Step-by-step explanation:
Given:
Amount of gel used every morning = 500 mL
Amount of gel in 1 bottle = 10 liters.
We need to find the number of days 1 bottle of gel will last for.
Solution:
Now we know that;
1 liter =1000 mL
10 liter = 10000 mL
Now we now that;
500 mL of gel is used = 1 day
10000 mL of gel will be used = Number of days 10000 mL of gel will last.
By Using Unitary method we get;
Number of days 10000 mL of gel will last = [tex]\frac{10000}{500}=20\ days[/tex]
Hence Mr. Rosenbloom 1 bottle of gel will last for 20 days.
2.65 Consider the situation of Exercise 2.64. Let A be the event that the component fails a particular test and B be the event that the component displays strain but does not actually fail. Event A occurs with probability 0.20, and event B occurs with probability 0.35. (a) What is the probability that the component does not fail the test? (b) What is the probability that the component works perfectly well (i.e., neither displays strain nor fails the test)? (c) What is the probability that the component either fails or shows strain in the test?
Answer:
a) 0.80
b) 0.45
c) 0.55
Step-by-step explanation:
Given P(A) = 0.20 and P(B) = 0.35
Applying probability of success and failure; P(success) + P( failure) = 1
a) probability that the component does not fail the test = The component does not fail a particular test [P(success)] = 1 - P(A)
= 1 - 0.20 = 0.80
b) probability that the component works perfectly well
= P( the component works perfectly well) - P(component shows strain but does not fail test)
= 0.80 - 0.35 = 0.45
c) probability that the component either fails or shows strain in the test = 1 - P(the component works perfectly well)
= 1 - 0.45 = 0.55
This question is based on the concept of probability. Therefore, the answers are, (a) 0.80, (b) 0.45 and (c) 0.55.
Given:
Event A occurs with probability P(A) = 0.20, and event B occurs with probability P(B) = 0.35.
According to the question,
Given P(A) = 0.20 and P(B) = 0.35,
As we know that, probability of success and failure,
⇒ P(success) + P( failure) = 1
a) Probability that the component does not fail the test = The component does not fail a particular test
= P(success) = 1 - P(A)
= 1 - 0.20 = 0.80
b) Probability that the component works perfectly well
= P( the component works perfectly well) - P(component shows strain but does not fail test)
= 0.80 - 0.35 = 0.45
c) Probability that the component either fails or shows strain in the test = 1 - P(the component works perfectly well)
= 1 - 0.45 = 0.55
Therefore, the answers are, (a) 0.80, (b) 0.45 and (c) 0.55.
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The perimeter of a rhombus is 64 and one of its angles has measure 120. Find the lengths of the diagonals.
Answer:
8[tex]\sqrt{2}[/tex]
Step-by-step explanation:
64/4=16
so that is 16 on each side.
The diagonal of the rhombus create a right triangle.
We then use the Pythagorean theorem.
[tex]a^{2} +b^{2} =c^{2}[/tex]
[tex]16^{2} +16^{2} =c^{2}[/tex]
[tex]256+256=c^{2}[/tex]
[tex]512 =c^{2}[/tex]
[tex]\sqrt{512} =c[/tex]
8[tex]\sqrt{2}[/tex]
The length of the diagonals of a rhombus with perimeter of 64 and one of its angles as 120 degrees are 16 units and 27.71 units
Properties of a rhombusThe diagonals are angle bisectorsThe 4 sides are congruent.The diagonal are perpendicular bisectors
Therefore,
perimeter = 4l
where
l = length
64 = 4l
l = 64 / 4
length = 16
One of its angle is 120°. Therefore, let's use the angle to find the length of the diagonal.
Using trigonometric ratio,
cos 60° = adjacent / hypotenuse
cos 60° = x / 16
x = 16 × cos 60
x = 8
2(x) = diagonal
diagonal = 16 units
The second diagonal length
sin 60° = opposite / hypotenuse
sin 60 = y / 16
y = 16 × sin 60
y = 13.8564064606
y = 13.85
Therefore,
diagonal = 2(13.85) = 27.71 units
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Solve, graph, and give interval notation for the compound inequality:
−2x − 4 > −6 AND 3(x + 2) ≤ 18
Answer:
1. (-∞,1) 2. (-∞,4]
Step-by-step explanation:
-2x-4 > -6
-2x > -2
x < 1
3(x+2) ≤ 18
3x+6 ≤ 18
3x ≤ 12
x ≤ 4
The newly elected president needs to decide the remaining 7 spots available in the cabinet he/she is appointing. If there are 13 eligible candidates for these positions (where rank matters), how many different ways can the members of the cabinet be appointed?
Answer: 8648640 ways
Step-by-step explanation:
Number of positions = 7
Number of eligible candidates = 13
This can be done by solving the question using the combination Formula for selection in which we use the combination formula to choose 7 candidates amomg the possible 13.
The combination Formula is denoted as:
nCr = n! / (n-r)! * r!
Where n = total number of possible options.
r = number of options to be selected.
Hence, selecting 7 candidates from 13 becomes:
13C7 = 13! / (13-7)! * 7!
13C7 = 1716.
Considering the order they can come in, they can come in 7! Orders. We multiply this order by the earlier answer we calculated. This give: 1716 * 7! = 8648640
Let p be the statement "There is no pollution in New Jersey." The statement "The whole world is polluted" is the negation of the statement "There is no pollution in New Jersey." Is the above statement true?
Answer:
No. It is not true.
Step-by-step explanation:
p = There is no pollution in New Jersey
¬p = There is pollution in New Jersey.
Removing the 'no' in the statement yield the negation.
The given statement "The whole world is polluted" is not correct because it has gone beyond it context/domain. Statement p is about New Jersey, so the negation should be about New Jersey.
The negation can also be written as: "New Jersey is polluted".
In logic, the negation of a statement is its direct contradiction. In this case, 'The whole world is polluted' is not the negation of 'There is no pollution in New Jersey'.
Explanation:In the field of logic and reasoning, the negation of a statement is a statement which contradicts or denies the original one. If the statement 'p' is 'There is no pollution in New Jersey', its negation would be 'There is pollution in New Jersey' because it is the exact opposite of the original statement. However, the statement 'The whole world is polluted' is not the direct negation of 'There is no pollution in New Jersey'. While it implies that there is pollution in New Jersey, it goes beyond that by including every other part of the world.
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In a multicriteria decision problem: a. It is impossible to select a single decision alternative. b. The decision maker must evaluate each alternative with respect to each criterion. c. Successive decisions must be made over time. d. Each of these choices are true.
Answer:
in a multicriteria decision problem the decision maker must evaluate each alternative with respect to each criterion.
Step-by-step explanation:
Multiple-criteria decision-making (MCDM) is a sub-discipline of operations research that explicitly evaluates multiple conflicting criteria in decision making (both in daily life and in settings such as business, government and medicine e.t.c)
In multicriteria decision problems, each alternative must be evaluated separately based on each criterion. It's not impossible to choose a single decision path, but it can be complex and might require multiple stages of decision-making over time. All statements in the question are relatively true.
Explanation:In multicriteria decision problems, various factors or criteria come into play. It's important to note that all the provided statements have some truth in them. From a decision-maker's perspective, one must evaluate each alternative against each criterion. This ensures that the pros and cons of each option are meticulously considered. Contrary to option a, it's not impossible to select a single decision alternative. However, the decision-making process could become complicated due to differing priorities and preferences, ultimately delaying the selection of a single alternative. On the other hand, statement c is partially true; depending on the complexity and scale of the decision, it might require several rounds of decision-making over time. Hence, all of these statements are indeed relatively accurate.
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Find the balance of $6,000 deposited at 6% compounded semi-annually for 3 years
Answer:
The balance will be $7,164.31.
Step-by-step explanation:
The compound interest formula is given by:
[tex]A = P(1 + \frac{r}{n})^{nt}[/tex]
Where A is the amount of money, P is the principal(the initial sum of money), r is the interest rate(as a decimal value), n is the number of times that interest is compounded per unit t and t is the time the money is invested or borrowed for.
In this problem, we have that:
[tex]P = 6000, r = 0.06[/tex]
Semi-annually is twice a year, so [tex]n = 2[/tex]
We want to find A when [tex]t = 3[/tex]
[tex]A = P(1 + \frac{r}{n})^{nt}[/tex]
[tex]A = 6000(1 + \frac{0.06}{2})^{2*3}[/tex]
[tex]A = 7164.31[/tex]
The balance will be $7,164.31.
A 200-liter tank initially full of water develops a leak at the bottom. Given that 30% of the water leaks out in the first 5 minutes, find the amount of water left in the tank 10 minutes after the leak develops if the water drains off at a rate that is proportional to the amount of water present.
Answer:
the amount of water that is left in the tank after 10 min is 98 L
Step-by-step explanation:
since the water drains off at rate that is proportional to the water present
(-dV/dt) = k*V , where k= constant
(-dV/V) = k*dt
-∫dV/V) = k*∫dt
-ln V/V₀=k*t
or
V= V₀*e^(-k*t) , where V₀= initial volume
then since V₁=0.7*V₀ at t₁= 3 min
-ln V₁/V₀=k*t₁
then for t₂= 10 min we have
-ln V₂/V₀=k*t₂
dividing both equations
ln (V₂/V₀) / ln (V₁/V₀) =(t₂/t₁)
V₂/V₀ = (V₁/V₀)^(t₂/t₁)
V₂=V₀ * (V₁/V₀)^(t₂/t₁)
replacing values
V₂=V₀ * (V₁/V₀)^(t₂/t₁) = 200 L * (0.7)^(10min/5min) = 98 L
then the amount of water that is left in the tank after 10 min is 98 L
The problem represents a case of exponential decay. Initially, 30% of water, or 60 liters, leaks out in 5 minutes, leaving 140 liters in the tank. Assuming the same rate of leakage, another 30% of water or 42 liters will leak out in the next 5 minutes, leaving 98 liters in the tank after 10 minutes.
Explanation:In this problem, we are dealing with a situation involving exponential decay due to the water leakage which happens at a rate proportional to the amount of water present in the tank.
First, let's consider the 30% of water that leaks out in the first 5 minutes from a 200-liter tank. This amounts to 60 liters (200 * 0.30), which leaves 140 liters (200 - 60) of water in the tank after 5 minutes.
Now, since the decrease of water is proportional to the amount of water present, this implies an exponential decay over time. Given that the amount of water decreased by 30% in the first 5 minutes, it's reasonable to assume that it will decrease by the same percentage in the next 5 minutes as well.
So, the amount of water left in the tank after 10 minutes would be 98 liters (140 * 0.70).
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You have two fair, six-sides dice. However, the dice have been modified so that instead or 1,2,3,4,5,6 the sides are numbered 1,2,2,2,3,4. (Write all answers as fractions, not decimals) When the two dice are thrown, what is the probability their total is 4
Answer:
30.56%
Step-by-step explanation:
Let the sides on each dice be labeled as 1, 2a, 2b, 2c, 3, 4.
The sample space for the sum of the values being 4 is:
S={1,3; 3,1; 2a,2a; 2a,2b; 2a,2c; 2b,2a; 2b,2b; 2b,2c; 2c,2a; 2c,2b; 2c,2c}
There are 11 possible sums out of the 36 possible outcomes that result in a sum of 4. Therefore, the probability their total is 4 is:
[tex]P(S) =\frac{11}{36}=0.3056 =30.56\%[/tex]
There is a 30.56% probability that their sum is 4.
Final answer:
The probability of getting a sum of 4 with two modified dice numbered 1,2,2,2,3,4 is 5/36. This is found by adding all possible combinations that total 4, considering the multiplicity of the number 2 on the dice.
Explanation:
To calculate the probability that the sum of two modified dice is 4, we must consider all possible combinations of rolls that could result in a total of 4. Each die is numbered with 1,2,2,2,3,4, so the outcomes that give us a sum of 4 are (1,3), (2,2), (3,1), and there are three different 2s on each die that can contribute to the sum.
Therefore, the probability of getting a sum of 4 with one die already showing 2 is the probability of rolling either a 1 or another 2 on the second die.
The total number of outcomes for one die is 6. To find the sum of 4:
(1,3) - There is 1 way to roll a 1 and 1 way to roll a 3.(2,2) - There are 3 ways to roll a 2 on the first die and 3 ways to roll a 2 on the second die, but since the outcome is indistinguishable (2,2) is considered once, making it 3 ways in total.(3,1) - There is 1 way to roll a 3 and 1 way to roll a 1.This results in 1 + 3 + 1 = 5 favorable outcomes. Since there are a total of 36 possible outcomes when rolling two dice, the probability is 5/36.
When Alice spends the day with the babysitter, there is a 0.6 probability that she turns on the TV and watches a show. Her little sister Betty cannot turn the TV on by herself. But once the TV is on, Betty watches with probability 0.8. Tomorrow the girls spend the day with the babysitter.a) What is the probability that both Alice and Betty watch TV tomorrow?b) What is the probability that Betty watches TV tomorrow?c) What is the probability that only Alice watches TV tomorrow?
Answer:
a) There is a 48% probability that both Alice and Betty watch TV tomorrow.
b) There is a 48% probability that Betty watches TV tomorrow.
c) There is a 12% probability that only Alice watches TV tomorrow.
Step-by-step explanation:
We have these following probabilities:
A 60% probability that Alice watches TV.
If Alice watches TV, an 80% probability Betty watches TV.
If Alice does not watch TV, a 0% probability that Betty watches TV, since she cannot turn the TV on by herself.
a) What is the probability that both Alice and Betty watch TV tomorrow?
Alice watches 60% of the time. Betty watches in 80% of the time Alice watches. So:
[tex]P = 0.6*0.8 = 0.48[/tex]
There is a 48% probability that both Alice and Betty watch TV tomorrow.
b) What is the probability that Betty watches TV tomorrow?
Since Betty only watches when Alice watches(80% of the time), this probability is the same as the probability of both of them watching. So
[tex]P = 0.6*0.8 = 0.48[/tex]
There is a 48% probability that Betty watches TV tomorrow.
c) What is the probability that only Alice watches TV tomorrow?
There is a 60% probability that Alice watches TV tomorrow. If she watches, there is an 80% probability that Betty watches and a 20% probability she does not watch.
So
[tex]P = 0.6*0.2 = 0.12[/tex]
There is a 12% probability that only Alice watches TV tomorrow.
A civil engineer is analyzing the compressive strength of concrete. Compressive strength is approximately normally distributed with variance of 1000 (psi)2. A random sample of 12 specimens has a mean compressive strength of 3250 psi. (a) Construct a 95% confidence interval on mean compressive strength. (b) Suppose that the manufacturer of the concrete claims the average compressive strength is 3270 psi. Based on your answer in part (a), what would you say about this claim
Answer:
a) [tex]3250-1.96\frac{31.623}{\sqrt{18}}=3232.108[/tex]
[tex]3250+1.96\frac{31.623}{\sqrt{18}}=3267.892[/tex]
So on this case the 95% confidence interval would be given by (3232.108;3267.892)
b) For this case since the value of 3270 is higher than the upper limit for the confidence interval so we can conclude that the true mean is not higher than 3270 at 5% of signficance. We can reject the claim at the significance level of 5%.
Step-by-step explanation:
Previous concepts
A confidence interval is "a range of values that’s likely to include a population value with a certain degree of confidence. It is often expressed a % whereby a population means lies between an upper and lower interval".
The margin of error is the range of values below and above the sample statistic in a confidence interval.
Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".
[tex]\bar X= 3250[/tex] represent the sample mean for the sample
[tex]\mu[/tex] population mean (variable of interest)
[tex]\sigma^2 =1000[/tex]represent the sample standard variance
[tex] s = \sqrt{1000}[/tex] represent the sample deviation
n=12 represent the sample size
Part a
The confidence interval for the mean is given by the following formula:
[tex]\bar X \pm z_{\alpha/2}\frac{\sigma}{\sqrt{n}}[/tex] (1)
Since the Confidence is 0.95 or 95%, the value of [tex]\alpha=0.05[/tex] and [tex]\alpha/2 =0.025[/tex], and we can use excel, a calculator or a table to find the critical value. The excel command would be: "=-NORM.INV(0.025,0,1)".And we see that [tex]z_{\alpha/2}=1.96[/tex]
Now we have everything in order to replace into formula (1):
[tex]3250-1.96\frac{31.623}{\sqrt{18}}=3232.108[/tex]
[tex]3250+1.96\frac{31.623}{\sqrt{18}}=3267.892[/tex]
So on this case the 95% confidence interval would be given by (3232.108;3267.892)
Part b
For this case since the value of 3270 is higher than the upper limit for the confidence interval so we can conclude that the true mean is not higher than 3270 at 5% of signficance. We can reject the claim at the significance level of 5%.
A house worth $180,000 has a coinsurance clause of 75 percent. The owners insure the property for $101,250. They then have a loss that results in a $50,000 claim. They will receive $ ____.00 from insurance.
Answer:
$37,500
Step-by-step explanation:
We have been given that a house worth $180,000 has a coinsurance clause of 75 percent. The owners insure the property for $101,250. They then have a loss that results in a $50,000 claim.
We will use loss settlement formula to solve our given problem.
[tex]\text{Loss settlement}=\frac{\text{Loss}\times\text{Limit of insurance}}{\text{Actual cash value}\times \text{Coinsurance}\%}[/tex]
Upon substituting our given values, we will get:
[tex]\text{Loss settlement}=\frac{\$50,000\times\$101,250}{\$180,000\times 75\%}[/tex]
[tex]\text{Loss settlement}=\frac{\$50,000\times\$101,250}{\$180,000\times 0.75}[/tex]
[tex]\text{Loss settlement}=\frac{\$5,062,500,000}{\$135,000}[/tex]
[tex]\text{Loss settlement}=\$37,500[/tex]
Therefore, they will receive $37,500 from insurance.
The correct answer is $37,500. A house worth $180,000 has a coinsurance clause of 75 percent. The owners insure the property for $101,250. They then have a loss that results in a $50,000 claim. They will receive $37,500.00 from insurance.
A house worth $180,000 has a coinsurance clause of 75 percent. This means the owners must insure the house for at least 75% of its value to receive full coverage on claims. The required coverage amount is calculated as follows:
Required Insurance Coverage = 75% of $180,000 = 0.75 * $180,000 = $135,000
The owners insured the property for only $101,250. When a loss occurs, the amount received will be proportionate to the actual coverage relative to the required coverage:
[tex]Payout Ratio = \frac{Actual\ Insurance}{Required\ Insurance}[/tex]
[tex]Payout\ Ratio = \frac{\$ 101,250}{\$135,000} \approx 0.75[/tex]
Since the claim amount is $50,000, the actual payout from the insurance will be:
Insurance Payout = Payout Ratio * Claim Amount
Insurance Payout [tex]\approx[/tex] 0.75 * $50,000 = $37,500
Therefore, the owners will receive $37,500.00 from the insurance.
There are three workstations available having steady-state probabilities of 0.99, 0.95, 0.85 of being available on demand. What is the probability that at least two of the three will be available at any given time?
Answer:
99.065% probability that at least two of the three will be available at any given time.
Step-by-step explanation:
We have these following probabilities:
99% probability of the first workstation being available
95% probability of the second workstation being available
85% probability of the third workstation being avaiable
Two being available:
We can have three outcomes
First and second available, third not. So
0.99*0.95*0.15 = 0.141075
First and third available, second not. So
0.99*0.05*0.85 = 0.042075
Second and third available, first not. So
0.01*0.95*0.85 = 0.008075
Adding them all
P(2) = 0.141075 + 0.042075 + 0.008075 = 0.191225
Three being available:
P(3) = 0.99*0.95*0.85 = 0.799425
What is the probability that at least two of the three will be available at any given time?
P = P(2) + P(3) = 0.191225 + 0.799425 = 0.99065
99.065% probability that at least two of the three will be available at any given time.
The probability that at least two out of the three workstations are available is 0.967.
Explanation:We can find the probability that at least two out of the three workstations are available using the concept of complementary events. The probability of at least two workstations being available is equal to 1 minus the probability of none or only one workstation being available.
Let's calculate the probability of none or only one workstation being available:
Probability of none being available: 0.01 * 0.05 * 0.15 = 0.00075
Probability of only one being available: (0.99 * 0.05 * 0.15) + (0.01 * 0.95 * 0.15) + (0.01 * 0.05 * 0.85) = 0.03225
Now, subtracting this from 1:
1 - (0.00075 + 0.03225) = 0.967
Therefore, the probability that at least two out of the three workstations are available at any given time is 0.967.
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Suppose we know that the functions r and s are are everywhere differentiable and that u(3)=0. Suppose we also know that for 1 ≤ x ≤ 3, the area between the x-axis and the non negative functions h(x)=u(x)dv/dx is 15, and that on the same interval, the area between the x-axis and the non negative function k(x) = v(x)du/dx is 20. Determine u(1)v(1).
Integrating by parts, we have
[tex]\displaystyle\int_1^3\underbrace{u(x)\dfrac{\mathrm dv}{\mathrm dx}}_{h(x)}\,\mathrm dx=u(3)v(3)-u(1)v(1)-\int_1^3\underbrace{v(x)\dfrac{\mathrm du}{\mathrm dx}}_{k(x)}\,\mathrm dx[/tex]
We're given [tex]u(3)=0[/tex] and [tex]\int_1^3h(x)\,\mathrm dx=15[/tex] and [tex]\int_1^3k(x)\,\mathrm dx=20[/tex]. So we have
[tex]15=-u(1)v(1)-20\implies\boxed{u(1)v(1)=-35}[/tex]
If the New England Patriots get home-field advantage, you believe there is a 60% probability they will make it to the Super Bowl. If not, this probability is only 30%. Assuming a 70% probability that the Patriots get home-field advantage, what is the probability they will make it to the Super Bowl?
Answer:
There is a 51% probability they will make it to the super bowl.
Step-by-step explanation:
We have these following probabilities:
A 70% probability that the Patriots get homefield advantage.
A 30% probability that the Patriots does not get homefield advantage.
If they get homefield advantage, a 60% probability of making the Super Bowl.
If they do not get homefield advantage, a 30% probability of making the Super Bowl.
What is the probability they will make it to the Super Bowl?
This is 60% of 70%(when they get homefield advantage and make the super bowl), and 30% of 30%(no homefield, no super bowl). So
[tex]P = 0.6*0.7 + 0.3*0.3[/tex]
[tex]P = 0.51[/tex]
There is a 51% probability they will make it to the super bowl.
Find the probability for the experiment of tossing a coin three times. Use the sample space S = {HHH, HHT, HTH, HTT, THH, THT, TTH, TTT}.
1. The probability of getting exactly one tail
2. The probability of getting exactly two tails
3. The probability of getting a head on the first toss
4. The probability of getting a tail on the last toss
5. The probability of getting at least one head
6. The probability of getting at least two heads
Answer:
1) 0.375
2) 0.375
3) 0.5
4) 0.5
5) 0.875
6) 0.5
Step-by-step explanation:
We are given the following in the question:
Sample space, S = {HHH, HHT, HTH, HTT, THH, THT, TTH, TTT}.
[tex]\text{Probability} = \displaystyle\frac{\text{Number of favourable outcomes}}{\text{Total number of outcomes}}[/tex]
1. The probability of getting exactly one tail
P(Exactly one tail)
Favorable outcomes ={HHT, HTH, THH}
[tex]\text{P(Exactly one tail)} = \dfrac{3}{8} = 0.375[/tex]
2. The probability of getting exactly two tails
P(Exactly two tail)
Favorable outcomes ={ HTT,THT, TTH}
[tex]\text{P(Exactly two tail)} = \dfrac{3}{8} = 0.375[/tex]
3. The probability of getting a head on the first toss
P(head on the first toss)
Favorable outcomes ={HHH, HHT, HTH, HTT}
[tex]\text{P(head on the first toss)} = \dfrac{4}{8} = \dfrac{1}{2} = 0.5[/tex]
4. The probability of getting a tail on the last toss
P(tail on the last toss)
Favorable outcomes ={HHT,HTT,THT,TTT}
[tex]\text{P(tail on the last toss)} = \dfrac{4}{8} = \dfrac{1}{2} = 0.5[/tex]
5. The probability of getting at least one head
P(at least one head)
Favorable outcomes ={HHH, HHT, HTH, HTT, THH, THT, TTH}
[tex]\text{P(at least one head)} = \dfrac{7}{8} = 0.875[/tex]
6. The probability of getting at least two heads
P(Exactly one tail)
Favorable outcomes ={HHH, HHT, HTH,THH}
[tex]\text{P(Exactly one tail)} = \dfrac{4}{8} = \dfrac{1}{2} = 0.5[/tex]
You draw five cards at random from a standard deck of 52 playing cards. What is the probability that the hand drawn is a full house? (A full house is a hand that consists of two of one kind and three of another kind.)
Answer:
The probability that the hand drawn is a full house is 0.00144.
Step-by-step explanation:
In a full house we have a hand that consists of two of one kind and three of another kind, i.e 5 cards are selected.
The number of ways of selecting 5 cards from 52 cards is:
[tex]{52\choose 5} = \frac{52!}{5!(52-5)!} \\=\frac{52!}{5!\times47!} \\=2598960[/tex]
In a deck of 52 cards there are 13 kind of cards, namely{K, Q, J, A, 2, 3, 4, 5, 6, 7, 8, 9, 10}.
Two kinds can be selected in, [tex]{13\choose 2}=\frac{13!}{2!\times(13-2)!} =\frac{13!}{2!\times11!} =78[/tex] ways
One of the two kinds can be selected for 3 cards combination in [tex]{2\choose 1} = 2[/tex] ways.
There are 4 cards of each kind.
So 3 cards combination can be selected from any of the two kinds in [tex]{4\choose 3} =\frac{4!}{3!(4-3)!} =4[/tex] ways.
And 2 cards combination can be selected from any of the two kinds in [tex]{4\choose 2} =\frac{4!}{2!(4-2)!} =6[/tex] ways.
Thus, total number of ways to select a full house is:
[tex]{13\choose 2}\times{2\choose 1}\times{4\choose 3}\times{4\choose 2}\\=78\times2\times4\times6\\=3744[/tex]
The probability that the hand drawn is a full house is:
[tex]\frac{Number\ of\ ways\ of\ Drawing\ a\ Full\ house)}{Number\ of\ ways\ of\ Selecting\ 5\ cards } =\frac{3744}{2598960} =0.00144[/tex]
Thus, the probability of playing a full house is 0.00144.
Production managers on an assembly line must monitor the output to be sure that the level of defective products remains small. They periodically inspect a random sample of the items produced. If they find a significant increase in the proportion of items that must be rejected, they will halt the assembly process until the problem can be identified and repaired.
a. In this context, what is a Type I error?
b. In this context, what is a Type II error?
c. Which type of error would the factory owner consider more serious?
d. Which type of error might customers consider more serious?
Answer:
(a) Type I error in our context is that our test indicates that the proportion of defective products has increased after inspecting but in actual the proportion of defective products was small.
(b) Type II error in our context is that our test indicates that the proportion of defective products has remained small after inspecting but in actual the proportion of defective products was increased.
(c) Factory owner would consider Type 1 error more serious.
(d) Customers will consider Type II error more serious.
Step-by-step explanation:
Let [tex]H_0[/tex] = Proportion of defective products remains small
[tex]H_1[/tex] = Proportion of defective products increases
(a) Type I error represents that we have rejected our null hypothesis given the fact that null hypothesis is True.
Interpretation of this Type I error in our context is that our test indicates that the proportion of defective products has increased after inspecting but in actual the proportion of defective products was small.
(b) Type II error represents that we have accepted our null hypothesis given the fact that null hypothesis is False.
Interpretation of this Type II error in our context is that our test indicates that the proportion of defective products has remained small after inspecting but in actual the proportion of defective products was increased.
(c) Factory owner would consider Type 1 error more serious because after inspecting and testing he assumed that the proportion of defective products has increased due to which he will halt the assembly process till the time the problem is identified and is repaired but in actual he should continue his assembly process as in actual the proportion of defective products was small.
(d) Customers will consider Type II error more serious because after inspecting and testing factory owner assumed that the proportion of defective products is small and he will keeps on producing products and assembly process will keeps on going but in actual the proportion of defective products was increased and due to which customers will not get good quality products and they will not be able to purchase the products further.
a. Type I Error: Incorrectly concluding there's a significant increase in defective items when there isn't, leading to unnecessary halting of the assembly line.
b. Type II Error: Failing to detect a real increase in defective items, allowing the assembly to continue with actual defects.
c. The factory owner would consider a Type II error more serious.
d. Customers might find a Type I error more serious due to potential delays and disruptions in product availability.
In the context of the assembly line production process:
a. Type I error: Rejecting a null hypothesis (assuming there is no significant increase in defective products) when it is actually true.
This means that the production line is falsely halted due to the mistaken belief that there is a problem when there actually isn't. This can lead to unnecessary downtime, lost productivity, and increased costs.
b. Type II error: Failing to reject a null hypothesis (assuming there is no significant increase in defective products) when it is actually false.
This means that the production line continues to operate despite the presence of a problem that is causing an increase in defective products. This can lead to subpar products being shipped to customers, damaging the company's reputation and potentially leading to recalls or lawsuits.
c. The factory owner would consider a Type II error to be more serious.
A Type II error allows defective products to reach customers, which can damage the company's reputation, lead to recalls or lawsuits, and erode customer trust. While a Type I error can cause some inconvenience and expense, it is ultimately better to err on the side of caution and halt production if there is any suspicion of a problem.
d. Customers might consider a Type I error to be more serious.
Customers would prefer to receive products that are free of defects, even if it means that production is occasionally halted unnecessarily. A Type I error ensures that defective products are not shipped to customers, while a Type II error allows defective products to reach customers, which can cause inconvenience, frustration, and even safety hazards.
Assume that adults have IQ scores that are normally distributed with a mean of 100 and a standard deviation of 15 (as on the Wechsler test). Find the probability that a randomly selected adult has an IQ greater than 131.5. Group of answer choices
Answer:
0.018 is the probability that a randomly selected adult has an IQ greater than 131.5
Step-by-step explanation:
We are given the following information in the question:
Mean, μ = 100
Standard Deviation, σ = 15
We are given that the distribution of IQ score is a bell shaped distribution that is a normal distribution.
Formula:
[tex]z_{score} = \displaystyle\frac{x-\mu}{\sigma}[/tex]
a) P(IQ greater than 131.5)
P(x > 131.5)
[tex]P( x > 131.5) = P( z > \displaystyle\frac{131.5 - 100}{15}) = P(z > 2.1)[/tex]
[tex]= 1 - P(z \leq 2.1)[/tex]
Calculation the value from standard normal z table, we have,
[tex]P(x > 131.5) = 1 - 0.982 = 0.018 = 1.8\%[/tex]
0.018 is the probability that a randomly selected adult has an IQ greater than 131.5
A group of five applicants for a pair of identical jobs consists of three men and two women. The employer is to select two of the five applicants for the jobs. Let S denote the set of all possible outcomes for the employer’s selection. Let A denote the subset of outcomes corresponding to the selection of two men and B the subset corresponding to the selection of at least one woman. List the outcomes in A, B, A ∪ B, A ∩ B, and A ∩ B. (Denote the different men and women by M1, M2, M3 and W1, W2, respectively.)
Answer:
A= {M1,M2},{M2,M3}, {M2,M3}
A U B = S
A n B = 0
A n B'= A
Step-by-step explanation:
A= ( Two males) = { (M1,M2), (M2,M3), (M2,M3)
B= (Atleast one female) = {M1,W1}, {M,W1}, {M3,W1}, {M1,W2} , {M2,W2}, {M3,W2}
Following are the solution to the required function:
Set function:Given that there are five applicants with three men and two women.
Let S be the subset of the set of all possible outcomes,
[tex]\{M_1, M_2\}, \{M_2, M_3\},\{M_3,M_1\},\{W_1,M_1\},\{W_2,M_1\},\{W_1, M_2\},\\\{W_2,M_2\},\{W_1, M_3\},\{W_2, M_2\}, \{W_1,W_2\}[/tex]
Let A denote the subset of outcomes corresponding to the selection of two men.
The possible outcomes of A are,
[tex]\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}[/tex]
Let B be the subset corresponding to the selection of at least one woman.
[tex]\{W_1,M_1\},\{W_2,M_1\},\{W_1, M_2\},\\\{W_2,M_2\},\{W_1, M_3\},\{W_2, M_2\}, \{W_1,W_2\}[/tex]
Then [tex]\bar{B} =[/tex]
[tex]\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}[/tex]
Find [tex]A\cup B\\\\[/tex]
[tex]=\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}\} \cup \{ \{W_1,M_1\},\{W_2,M_1\},\{W_1, M_2\},\\\{W_2,M_2\},\{W_1, M_3\},\{W_2, M_2\}, \{W_1,W_2\}\}\\\\=\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}, \{W_1,M_1\},\{W_2,M_1\},\{W_1, M_2\},\\\{W_2,M_2\},\{W_1, M_3\},\{W_2, M_2\}, \{W_1,W_2\}\}\\\\[/tex]
Find [tex]A\cap B\\\\[/tex]
[tex]=\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}\} \cap \{ \{W_1,M_1\},\{W_2,M_1\}, \{W_1, M_2\}, \\ \{W_2,M_2\},\{W_1, M_3\},\{W_2, M_2\}, \{W_1,W_2\}\}\\\\ =\{\phi\}[/tex]
Find [tex]A\cap \bar{B}\\\\[/tex]
[tex]=\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}\cap\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}\\\\=\{\{M_1,M_2\}, \{M_2,M_3\},\{M_3,M_1\}\\\\[/tex]
Learn more about the set function here:
brainly.com/question/25009504
Determine the truth values of these statements:
(a) The product of x2 and x3 is x6 for any real number x.
(b) x2 > 0 for any real number x.
(c) The number 315 − 8 is even.
(d) The sum of two odd integers is even.
Final answer:
The product of x^2 and x^3 equals x^6 for any real number x is true. The statement that x^2 > 0 for any real number x is false, as it should state x^2 >= 0. 315 - 8 being even is false since it results in an odd number. The sum of two odd integers being even is true.
Explanation:
Determine the truth values of these statements:
The product of x2 and x3 is x6 for any real number x. This statement is true because according to the laws of exponents, when multiplying powers with the same base, you add the exponents. Therefore, x2 * x3 = x2+3 = x6.
x2 > 0 for any real number x. This statement is false because when x = 0, x2 = 0, not greater than 0. The correct statement should be x2 >= 0 for any real number x.
The number 315 − 8 is even. This statement is true because 315 − 8 = 307, and any number ending in 7 is odd. Therefore, the statement is false.
The sum of two odd integers is even. This statement is true because when you add two odd numbers, the sum is always even. For example, 3 + 5 = 8.
Using disks or washers, find the volume of the solid obtained by rotating the region bounded by the curves y=1/x, y=0, x=1, and x=4 about the line y=−1.
The volume of the solid obtained by rotating the region about the line y=-1 is approximately 24.27π cubic units.
To find the volume of the solid formed by rotating the region about the line y=-1, we can use the washer method. Here's how:
1. Identify the washers:
Imagine rotating the shaded region between the curves y=1/x, y=0, x=1, and x=4 about the line y=-1. This will create a series of washers stacked on top of each other. Each washer will have a hole in the middle due to the rotation about the line y=-1.
2. Define the parameters for each washer:
The inner radius (r₁) of each washer is the distance from the line y=-1 to the curve y=1/x. This can be expressed as 1 + 1/x.
The outer radius (r₂) of each washer is the distance from the line y=-1 to the x-axis (y=0). This is simply 1.
The thickness (dx) of each washer is the infinitesimal change in x.
3. Set up the integral:
Since we are rotating about a horizontal axis, the volume of each washer can be calculated using the formula for the volume of a washer:
dV = π[(r₂)² - (r₁)²] dx
The total volume of the solid is then the sum of the volumes of all the washers, which can be represented by a definite integral:
V = ∫⁴ π[(1)² - (1 + 1/x)²] dx
4. Evaluate the integral:
This integral can be solved using the power rule and the sum rule for integration. Simplifying the result, you will get:
V = π[8x - 3ln(x + 1)] |⁴
Finally, evaluate the integral at the limits of integration (x = 1 and x = 4) and subtract the results to find the total volume of the solid:
V = π[(32 - 3ln(5)) - (8 - 3ln(2))] ≈ 24.27 π cubic units
Therefore, the volume of the solid obtained by rotating the region about the line y=-1 is approximately 24.27π cubic units.
A ball is kicked upward with an initial velocity of 32 feet per second. The ball's height, h (in feet), from the ground is modeled by where t is measured in seconds. How much time does the ball take to reach its highest point? What is its height at this point?
Answer:
1. t = 0.995 s
2. h = 15.92 ft
Step-by-step explanation:
First we have to look at the following formula
Vf = Vo + gt
then we work it to clear what we want
Vo + gt = Vf
gt = Vf - Vo
t = (Vf-Vo)/g
Now we have to complete the formula with the real data
Vo = 32 ft/s as the statement says
Vf = 0 because when it reaches its maximum point it will stop before starting to lower
g = -32,16 ft/s² it is a known constant, that we use it with the negative sign because it is in the opposite direction to ours
t = (0 ft/s - 32 ft/s) / -32,16 ft/s²
we solve and ...
t = 0.995 s
Now we will implement this result in the following formula to get the height at that time
h = (Vo - Vf) *t /2
h = (32 ft/s - 0 ft/s) * 0.995 s / 2
h = 32 ft/s * 0.995 s/2
h = 31.84 ft / 2
h = 15.92 ft
The ball takes 2 seconds to reach its highest point and the height at this point is 32 feet.
Explanation:To find the time it takes for the ball to reach its highest point, we can use the equation h = -16t^2 + 32t, where h is the height and t is the time. The maximum height is reached when the ball is at its highest point, which occurs when the ball is not moving vertically.
At this point, the velocity of the ball is 0, so the equation v = -16t + 32 can be used to find the time. Setting v = 0 and solving for t, we get t = 2 seconds.
Substituting this time value into the equation for height, we can find the height at this point. h = -16(2)^2 + 32(2) = 32 feet.
Therefore, the ball takes 2 seconds to reach its highest point and the height at this point is 32 feet.
Binomial Distribution. Surveys repeatedly show that about 40% of adults in the U.S. indicate that if they only had one child, they would prefer it to be a boy. Suppose we took a random sample of 15 adults and the number who indicated they preferred a boy was 8. This would be considered a rare event because the probability of 8 or more is so low.
True/False
Answer:
False
Step-by-step explanation:
We are given the following information:
We treat adult who prefer one child to be a boy as a success.
P(prefer one child to be a boy) = 40% = 0.4
Then the number of adults follows a binomial distribution, where
[tex]P(X=x) = \binom{n}{x}.p^x.(1-p)^{n-x}[/tex]
where n is the total number of observations, x is the number of success, p is the probability of success.
Now, we are given n = 15 and x = 8
We have to evaluate:
[tex]P(x \geq 8)\\= P(x = 8) + P(x = 9)+...+ P(x = 14) + P(x =15)\\\\= \binom{15}{8}(0.4)^{8}(1-0.4)^{7} +\binom{15}{9}(0.4)^{9}(1-0.4)^{6}+...\\\\...+\binom{15}{14}(0.4)^{14}(1-0.4)^{1} +\binom{15}{8}(0.4)^{15}(1-0.4)^{0}\\\\= 0.2131[/tex]
Since the probability of 8 or more is 0.2131 is not very small, thus, it is not a rare event.
Thus, the given statement is false.
A beam of light from a monochromatic laser shines into a piece of glass. The glass has thickness L and index of refraction n=1.5. The wavelength of the laser light in vacuum is L/10 and its frequency is f. In this problem, neither the constant c nor its numerical value should appear in any of your answers.
Additional information to complete the question:
How long does it take for a short pulse of light to travel from one end of the glass to the other?
Express your answer in terms of some or all of the variables f and L. Use the numeric value given for n in the introduction.
T = ___________ s
Answer:
[tex]T = \frac{15}{f}[/tex]
Step-by-step explanation:
Given:
Thickness og glass = L
Index of refraction n=1.5
Frequency = f
[tex]Wavelength = \frac{L}{10}[/tex]
λ(air) [tex]= \frac{L}{10}[/tex]
λ(glass) = λ(air) / n
= [tex]\frac{\frac{L}{10}}{1.5}[/tex]
= [tex]\frac{L}{10} * \frac{1}{1.5}[/tex]
= [tex]\frac{L}{15}[/tex]
V(glass) = fλ(glass)
[tex]= f * \frac{L}{15}[/tex]
[tex]T = \frac{L}{V_{glass}} = \frac{15}{f}[/tex]
Dale and Betty go through a traffic light at the same time but Dale goes straight and Betty turns right. After two minutes Dale is 2000 yd from the intersection and Bettyis 750 yd from the intersection. Assuming the roads met at a right angle and both were perfectly straight, how far are Dale and Betty away from each other after two minutes?
Answer:
2,136 yards
Step-by-step explanation:
Since the roads met at a right angle, the distance between Dale and Betty can be interpreted as the hypotenuse of a right triangle with sides measuring 2000 yd and 750 yd. The distance between them is:
[tex]d^2=2000^2+750^2\\d=\sqrt{2000^2+750^2}\\d=2,136\ yards[/tex]
Dale and Betty are 2,136 yards away from each other after two minutes.
The manager of the local grocery store has determined that, on average, 4 customers use the service desk every half-hour. Assume that the number of customers using the service desk has a Poisson distribution. What is the probability that during a randomly selected half-hour period, exactly 2 customers use the service desk
Answer:
There is a 14.65% probability that during a randomly selected half-hour period, exactly 2 customers use the service desk.
Step-by-step explanation:
In a Poisson distribution, the probability that X represents the number of successes of a random variable is given by the following formula:
[tex]P(X = x) = \frac{e^{-\mu}*\mu^{x}}{(x)!}[/tex]
In which
x is the number of sucesses
[tex]e = 2.71828[/tex] is the Euler number
[tex]\mu[/tex] is the mean in the given time interval.
The manager of the local grocery store has determined that, on average, 4 customers use the service desk every half-hour.
This means that [tex]\mu = 4[/tex]
What is the probability that during a randomly selected half-hour period, exactly 2 customers use the service desk?
This is P(X = 2). So
[tex]P(X = x) = \frac{e^{-\mu}*\mu^{x}}{(x)!}[/tex]
[tex]P(X = 2) = \frac{e^{-4}*(4)^{2}}{(2)!} = 0.1465[/tex]
There is a 14.65% probability that during a randomly selected half-hour period, exactly 2 customers use the service desk.
The length of a Texas Pee Wee football field is 218 feet greater than its width. The area of the field is 20,160 square feet
Please show work !!
Answer: [tex]9.616 ft[/tex]
Step-by-step explanation:
The last part of the question is: Find the value of the width
If the Texas Pee Wee football field has a rectangular shape (as shown in the figure), where the width is [tex]w[/tex] and the length is [tex]218 ft w[/tex]; its area [tex]A[/tex] is:
[tex]A=20,160 ft^{2}=(length)(width)[/tex]
[tex]20,160 ft^{2}=(218 w)(w)[/tex]
Isolating [tex]w[/tex]:
[tex]w=\sqrt{\frac{20,160 ft^{2}}{218}}[/tex]
Finally:
[tex]w=9.616 ft[/tex] This is the widht of the Texas Pee Wee football field
The Texas Pee Wee football field has a width of approximately 70 feet and a length of 288 feet, calculated by solving a quadratic equation derived from the given area and the relationship between length and width.
Step-by-Step Explanation:
Let the width of the field be denoted as w.
Therefore, the length of the field is w + 218 feet.
The area of the rectangle (football field) is given by the formula:
Area = length x width.
Substituting the given values into the formula, we have:
20,160 = w × (w + 218).
This results in a quadratic equation:
w² + 218w - 20,160 = 0.
We will solve this quadratic equation using the quadratic formula:
w = (-b ± √(b² - 4ac)) / 2a, where a = 1, b = 218, and c = -20,160.
Calculate the discriminant:
b² - 4ac = 218² - 4 × 1 × (-20,160) = 47524 + 80640 = 128164.
Find the square root of the discriminant:
√128164 ≈ 357.94.
Substitute back into the quadratic formula:
w = (-218 ± 357.94) / 2.
This results in two potential solutions:
w = (357.94 - 218) / 2 ≈ 69.97 (approximately 70 feet) and w = (-218 - 357.94) / 2 (a negative value, which is not possible for width).
Thus, the width w is approximately 70 feet.
Substitute the width back into the length formula:
length = 70 + 218 = 288 feet.
Therefore, the dimensions of the Texas Pee Wee football field are approximately 70 feet in width and 288 feet in length.
The XO Group Inc. conducted a survey of 13,000 brides and grooms married in the United States and found that the average cost of a wedding is $29,858 (XO Group website, January 5, 2015). Assume that the cost of a wedding is normally distributed with a mean of $29,858 and a standard deviation of $5600.a. What is the probability that a wedding costs less than $20,000 (to 4 decimals)?b. What is the probability that a wedding costs between $20,000 and $30,000 (to 4 decimals)?c. For a wedding to be among the 5% most expensive, how much would it have to cost (to the nearest whole number)?
Answer:
a) 0.0392
b) 0.4688
c) At least $39,070 to be among the 5% most expensive.
Step-by-step explanation:
Problems of normally distributed samples can be solved using the z-score formula.
In a set with mean [tex]\mu[/tex] and standard deviation [tex]\sigma[/tex], the zscore of a measure X is given by:
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
The Z-score measures how many standard deviations the measure is from the mean. After finding the Z-score, we look at the z-score table and find the p-value associated with this z-score. This p-value is the probability that the value of the measure is smaller than X, that is, the percentile of X. Subtracting 1 by the pvalue, we get the probability that the value of the measure is greater than X.
In this problem, we have that:
[tex]\mu = 29858, \sigma = 5600[/tex]
a. What is the probability that a wedding costs less than $20,000 (to 4 decimals)?
This is the pvalue of Z when X = 20000. So
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
[tex]Z = \frac{20000 - 29858}{5600}[/tex]
[tex]Z = -1.76[/tex]
[tex]Z = -1.76[/tex] has a pvalue of 0.0392.
So this probability is 0.0392.
b. What is the probability that a wedding costs between $20,000 and $30,000 (to 4 decimals)?
This is the pvalue of Z when X = 30000 subtracted by the pvalue of Z when X = 20000.
X = 30000
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
[tex]Z = \frac{30000 - 29858}{5600}[/tex]
[tex]Z = 0.02[/tex]
[tex]Z = 0.02[/tex] has a pvalue of 0.5080.
X = 20000
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
[tex]Z = \frac{20000 - 29858}{5600}[/tex]
[tex]Z = -1.76[/tex]
[tex]Z = -1.76[/tex] has a pvalue of 0.0392.
So this probability is 0.5080 - 0.0392 = 0.4688
c. For a wedding to be among the 5% most expensive, how much would it have to cost (to the nearest whole number)?
This is the value of X when Z has a pvalue of 0.95. So this is X when Z = 1.645.
[tex]Z = \frac{X - \mu}{\sigma}[/tex]
[tex]1.645 = \frac{X - 29858}{5600}[/tex]
[tex]X - 29858 = 5600*1.645[/tex]
[tex]X = 39070[/tex]
The wedding would have to cost at least $39,070 to be among the 5% most expensive.
Find the volume of a cube with side length of 7 in.
147
343
49
215
Answer:
48
Step-by-step explanation:
to find erea you just multiply one number by the other
Answer:48
Step-by-step explanation: