if i have one
mom then she dies how many moms do i have

Answers

Answer 1

Answer:

Step-by-step explanation:

1-1=0

Answer 2

Answer:You will have 0 moms.

Step-by-step explanation:

First you take 1 away from 1.

After that you get your answer of 0.


Related Questions

some scientists believe that a new drug would benefit about half of all people with a certain blood disorder. to estimate the proportion of patients who would benefit from taking the drug, the scientists will administer it to a random sample of patients who have the blood disorder. what sample size is needed so that the 95% confidence interval will have a width of 0.06? group of answer choices 2056 2401 1503 748 1068

Answers

Rounding up to the nearest integer, we get a sample size of 1068. Therefore, the answer is 1068.

To find the required sample size, we need to use the formula for the margin of error of a proportion:

Margin of error = z*sqrt(p(1-p)/n)

where z is the z-score for the desired level of confidence, p is the estimated proportion, and n is the sample size.

Since we want the confidence interval to have a width of 0.06, the margin of error should be 0.03. Also, since the scientists believe that about half of all people with the blood disorder will benefit from the drug, we can estimate p as 0.5. Finally, we can use a z-score of 1.96 for a 95% confidence interval.

Substituting these values into the formula, we get:

0.03 = 1.96sqrt(0.5(1-0.5)/n)

Solving for n, we get:

n = (1.96/0.03)^20.5(1-0.5) = 1067.11

Rounding up to the nearest integer, we get a sample size of 1068. Therefore, the answer is 1068.

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6. Maya and Karen were working together on a
rational equation. Their problem was
X + 1
12
= 4-
X-3
X²-2X-3
Maya solved the problem and got the solution
{-3,5} and Karen's solutions were
Which of the friends is correct?
A. Maya is correct. Karen incorrectly
combined like terms.
B.
Karen is correct. Maya incorrectly
combined like terms.
C. Neither girl is correct.
D. Both girls are correct and all those
answers are solutions.

Answers

Therefore, neither Maya nor Karen is correct. The correct solution must satisfy the original equation, and none of the given solutions do so. The correct answer would be C. Neither girl is correct.

To determine which friend is correct, we can begin by checking each solution to see if it makes the original equation true.

Let's start with Maya's solutions, {-3,5}:

When x=-3:

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

[tex]-2/12 = 4 - (-6) / 18[/tex]

[tex]-1/6 = 4 + 1/3[/tex]

This is not true, so -3 is not a solution.

When x=5:

[tex](5+1)/12 = 4 - (5-3) / ((5)^2 - 2(5) - 3)[/tex]

[tex]6/12 = 4 - 2 / 22[/tex]

[tex]1/2 = 4 - 1/11[/tex]

This is also not true, so 5 is not a solution.

Now let's check Karen's solution, x=2:

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

[tex]3/12 = 4 + 1 / 1[/tex]

[tex]1/4 = 4 + 1[/tex]

This is also not true, so 2 is not a solution.

Therefore, neither Maya nor Karen is correct. The correct solution must satisfy the original equation, and none of the given solutions do so. The correct answer would be C. Neither girl is correct.

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Forty percent of babies born in the U.S. in 2004 were still being breastfed at 6 months of age. If 4 children who were born in the U.S. in 2004 are randomly selected, what is the probability that none of them were breastfed for at least 6 months?

Answers

The probability that none of four randomly selected children born in the U.S. in 2004 were breastfed for at least six months is 0.1296 or 12.96%.

First, we can find the probability that a single randomly selected child born in the U.S. in 2004 was not breastfed for at least six months. Since 40% of babies born in the U.S. in 2004 were still being breastfed at 6 months of age, we know that 60% were not.

Therefore, the probability that a single randomly selected child born in the U.S. in 2004 was not breastfed for at least six months is 0.60 or 60%.

Next, we need to use the concept of independent events to calculate the probability that none of four randomly selected children born in the U.S. in 2004 were breastfed for at least six months.

The probability of independent events occurring together is found by multiplying their individual probabilities.

So, the probability that none of four randomly selected children born in the U.S. in 2004 were breastfed for at least six months is:

0.60 x 0.60 x 0.60 x 0.60 = 0.1296 or 12.96%

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Find the point on the surface z=x2-y? at which the tangent plane is parallel to the plane 16x-28y+z=2021. ( )

Answers

To find the point on the surface z=x2-y at which the tangent plane is parallel to the plane 16x-28y+z=2021, we need to use the gradient vector of the surface and the normal vector of the given plane.
First, we find the gradient vector of the surface:
grad(z) = (2x, -1, 1)
Next, we find the normal vector of the given plane:
n = (16, -28, 1)

To find the point on the surface where the tangent plane is parallel to the given plane, we need to find a point on the surface where the gradient vector is parallel to the normal vector of the plane. This can be done by setting the dot product of the two vectors equal to zero:
grad(z) * n = 2x*16 -1*(-28) + 1*1 = 33x + 1 = 0
Solving for x, we get:
x = -1/33
Substituting this value of x into the equation for the surface, we get:
z = (-1/33)2 - y = -1/1089 - y
So the point on the surface where the tangent plane is parallel to the given plane is (-1/33, y, -1/1089 - y), where y is any real number.

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an entrepreneur is considering the purchase of a coin-operated laundry. the current owner claims that over the past 5 years, the average daily revenue was $675 with a standard deviation of $75. a sample of 30 days reveals daily revenue of $625.if you were to test the null hypothesis that the daily average revenue was $675, which test woulduse?

Answers

To test the null hypothesis that the daily average revenue was $675 for the coin-operated laundry, you should use a one-sample t-test.

Consider the following steps:

1. State the null hypothesis (H0) and alternative hypothesis (H1):

H0: The daily average revenue is $675.

H1: The daily average revenue is not $675.

2. Determine the sample size (n), sample mean (x), and sample standard deviation (s):

n = 30 days, x = $625, and s = $75.

3. Calculate the t-score:

t = (x - μ) / (s / √n)

t = (625 - 675) / (75 / √30)

t ≈ -3.58

4. Determine the degrees of freedom (df):

df = n - 1 = 30 - 1 = 29

5. Find the critical t-value for a two-tailed test at a 0.05 significance level:

Using a t-distribution table, the critical t-value is approximately ±2.045.

6. Compare the calculated t-score to the critical t-value:

Since the calculated t-score of -3.58 is more extreme than the critical t-value of -2.045, you would reject the null hypothesis.

In conclusion, based on the one-sample t-test, there is evidence to suggest that the daily average revenue is not $675 as claimed by the current owner.

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Determine whether the series is convergent or divergent. (usingseries comparison test)the series going to infinity with n=1 of (1+sin(n)) / e^n

Answers

The series ∑(n=1 to infinity) of [tex](1+sin(n))/e^n[/tex] is convergent.

To show this, we can use the series comparison test, which involves comparing the given series with a known convergent or divergent series.

First, note that 0 ≤ 1 + sin(n) ≤ 2 for all n, since the sine function oscillates between -1 and 1.

Therefore, we have:

[tex]0 \leq (1 + sin(n))/e^n \leq (2/e^n)[/tex]

Now, the series ∑(n=1 to infinity) of [tex]2/e^n[/tex] is a geometric series with a common ratio of 1/e, and it converges to 2/(1-1/e) by the formula for the sum of an infinite geometric series.

Since [tex]0 \leq (1 + sin(n))/e^n \leq (2/e^n)[/tex] for all n, and ∑(n=1 to infinity) of 2/e^n converges, then by the series comparison test, the given series ∑(n=1 to infinity) of [tex](1 + sin(n))/e^n[/tex] also converges.

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which of the following is an example of a sample statistic? an.) average number of all high school graduates who will attend college b.) standard deviation of tuition costs for all private universities c.) 25 random students are asked how much they spent on books d.) the proportion of the student population who live on campus submit my answer

Answers

An example of a sample statistic is "25 random students are asked how much they spent on books." So, option c) is correct.


A sample statistic (or just statistic) is defined as any number computed from your sample data. Examples include the sample average, median, sample standard deviation, and percentiles. A statistic is a random variable because it is based on data obtained by random sampling, which is a random experiment.


A sample statistic refers to a measure that is calculated using data from a sample, which is a subset of the population. In this case, the sample consists of 25 random students, and the statistic is related to their spending on books.

The example of a sample statistic among the given options is: c.) 25 random students are asked how much they spent on books.

So, option c) is correct.

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A particle moves in a straight line and has acceleration given by a(t) = 12 + 2. Its initial velocity is v(0) = -5 cm/s and its initial displacement is s(0) = 7 cm. Find its position function, s(t). SOLUTION Since v'(t) = a(t) = 12t + 2, antidifferentiation gives v(t) = ____ + 2t + C = _____ + C. Note that v(t) = C. But we are given that v(0) = -5, so C = ____ and v(t) = Since v(t) = s'(t), s is the antiderivative of v: s(t) = 6( ____ ) + 2 ( 2( ___ ) - 5t +D. This gives s(0) = D. We are given that s(0) = 7, so D =_____ and the required position function is s(t) =

Answers

The required position function is s(t) = 2t³+t²-8t+11.

Given that, a particle moves in a straight line and has acceleration given by a(t) = 12t + 2. Its initial velocity is v(0) = -5 cm/s and its initial displacement is s(0) = 7 cm, we need to find the position function of the particle,

We know that the acceleration function a(t) is the derivative of the velocity function v(t). So,

v'(t) = a(t)

v'(t) = 12t +2

v(t) = ∫(12t+ 2) dt

v(t) = 6t²+2t+ A.............(i)

Also, the velocity function v(t) is the derivative of the position function s(t). So,

s'(t) = v(t)

s'(t) = 6t²+2t+ A

s(t) = ∫(6t²+2t+ A) dt

= 2t³+t²+At+B...........(ii)

From equation (i), we get

v(0) = 0+0 A

A = -8

and from equation (ii), we get

B = 11

Substituting the values of A and B in equation (ii), we get

s(t) = 2t³+t²-8t+11

Thus, the required position function is required position function is s(t) = 2t³+t²-8t+11.

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Endogeneity I Consider the simple regression model: y = Bo + Bir + €, and let z be an instrumental variable for r. (a) Derive an IV estimator in this case and comment on its i) unbiasedness and ii) consistency. How can you cxpress an estimator if z is a binary variable? 1 (b) Express the probability limit of the IV estimator in terms of population corre- lations between z and € (Corr (z, )) and z and 2 (Corr (2, 2)). Compare it with the OLS estimator's probability limit. On the asymptotic bias grounds, under what conditions is IV preferred to OLS? (c) Let the regression of x onto z have R2 = 0.05 and n = 100. Is z a strong instrument? (d) Let you now have access to two instrumental variables, namely zı and zz. The value of the J-statistic is J = 18.2. Does this imply that E (€ 21,22) +0?

Answers

A) In simple regression model, the instrumental variable (IV) estimator is unbiased and consistent but less efficient than OLS. B) probability limit of the IV estimator is β = (Corr(z, y) / Corr(z, r)) * (SD(y) / SD(r)). C) z is not strong instrument. D) The J-statistic tests  J = 18.2 with a high value indicating a strong relationship between the instruments and the endogenous variable and E(ε21, ε22) = 0.

The IV estimator is given by [tex]\beta[/tex] IV = (z'r)/(z'z), where z is the instrumental variable for r, R is the OLS estimator of r, and ε is the OLS residual. The estimator is unbiased and consistent under standard IV assumptions.

If z is a binary variable, the estimator can be expressed as [tex]\beta[/tex]IV = (mean_y1 - mean_y₀) / (mean_z₁ - mean_z₀), where y₁ and y₀ are the mean values of y when z = 1 and z = 0, respectively, and mean_z₁ and mean_z0 are the mean values of z when z = 1 and z = 0, respectively.

The probability limit of the IV estimator is β = (Cov(z, y) / Cov(z, r)), which is equivalent to β = (Corr(z, y) / Corr(z, r)) * (SD(y) / SD(r)).

It can be shown that the probability limit of the IV estimator is equal to the true parameter β when the instrument is strong, meaning that Corr(z, r) is close to 1. The OLS estimator's probability limit is β = Cov(x, y) / Var(x), which may be biased if x is correlated with ε. IV is preferred to OLS when x is endogenous and the instrument is strong.

To determine if z is a strong instrument, we can use the rule of thumb that the first-stage F-statistic should be at least 10. In this case, the first-stage F-statistic is F = R² / (1 - R²) * (n - k - 1) / k = 0.05 / 0.95 * 99 / 1 = 4.95, which is less than 10. Therefore, z is not a strong instrument.

The J-statistic tests the joint significance of the instruments and is defined as J = n * (R'ε / (n - k))' (V⁻¹) (R'ε/ (n - k)), where r is the vector of OLS residuals from regressing x on z₁ and z₂, and V is the covariance matrix of R'ε.

If J > chi-squared critical value with 2 degrees of freedom at the desired significance level, then we reject the null hypothesis that the instruments are weak. Since J = 18.2 is greater than the critical value at the 1% level (5.99), we can conclude that the instruments are not weak. However, this does not necessarily imply that E(ε21, ε22) = 0.

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Consider the polynomial 9x2 - 16.
1.What is the value of ac? 2.What is the value of b? 3.What two numbers multiply to get ac and add to get b? 4.The factored form of 9x2 - 16 is

Answers

1. The polynomial 9x² - 16 is in the form of ax² + c. Therefore, the value of ac is (9)(-16) = -144.

2. The coefficient of the x-term in the polynomial 9x² - 16 is 0. Therefore, the value of b is 0.

3. Two numbers that multiply to get ac = -144 and add to get b = 0 are 12 and -12.

4. The factored form of 9x² - 16 is (3x + 4)(3x - 4).

What are the multipliers?

3. We need to find two numbers that multiply to get ac = -144 and add to get b = 0. Let's find the prime factorization of ac = -144:

-144 = -1 × [tex]2^{4}[/tex] × 3²

We need to choose two factors whose product is -144 and whose sum is 0. Since the product is negative, one factor must be positive and the other negative. Also, since the sum is 0, the absolute values of the two factors must be equal. The only pair of factors that satisfies these conditions is 12 and -12. Indeed, 12 × (-12) = -144 and 12 + (-12) = 0.

What is factored form?

4. The factored form is a way of representing a polynomial expression as the product of its factors. The factored form of a polynomial is important in algebraic calculations and is often used to solve equations. For example, the factored form of the quadratic expression ax² + bx + c is (mx + n)(px + q), where m, n, p, and q are constants.

the factored form of 9x² - 16 can be found using the difference of squares formula, which states that a² - b² = (a + b)(a - b). In this case, a = 3x and b = 4. Therefore:

9x² - 16 = (3x)² - 4²

= (3x + 4)(3x - 4)

Thus, the factored form of 9x² - 16 is (3x + 4)(3x - 4).

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If polynomial 9x2 - 16 then the factored form of 9x² - 16 is (3x-4)(3x+4).

What is polynomial?

A polynomial is a mathematical expression that consists of variables and coefficients, which are combined using arithmetic operations such as addition, subtraction, multiplication, and non-negative integer exponents.

In the polynomial 9x² - 16, a = 9 and c = -16. Therefore, the product of a and c is ac = 9*(-16) = -144.

In the polynomial 9x² - 16, b is the coefficient of the x term, which is 0. Therefore, b = 0.

To find two numbers that multiply to get ac and add to get b, we need to find two factors of -144 that add up to 0. The factors of 144 are 1, 2, 3, 4, 6, 8, 9, 12, 16, 18, 24, 36, 48, 72, and 144. The factors that add up to 0 are -9 and 16. Therefore, ac = -144, b = 0, and the two numbers that multiply to get ac and add to get b are -9 and 16.

The factored form of 9x² - 16 is (3x-4)(3x+4). We can check this by expanding the expression using the distributive property:

(3x-4)(3x+4) = 9x² + 12x - 12x - 16

= 9x² - 16

Therefore, the factored form of 9x² - 16 is (3x-4)(3x+4).

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4.i. A machine is set to fill a small bottle of 9.0 grams of medicine. A sample of eight bottles revealed the following amounts (grams) in each bottle. 9.2 8.7 8.9 8.6 8.8 8.5 8.7 9.0 At the 5% level of significance, can we conclude that the mean weight is less than 9.0 grams? ii. According to the local union president, the mean gross income of truck drivers in the Chattogram port area follows the normal probability distribution with mean of Tk14,000 and a standard deviation Tk 760. A recent investigative reporter for Independent Television found, for a sample of 120 plumbers, the mean gross income was Tk 15,600. Is it reasonable to conclude that the mean income is not equal to Tk 14,000?

Answers

By  reject the null hypothesis. And hence we conclude that the mean weight is less than 9.0 grams.

Let μ be the mean population weight of medicine in the bottle. We have to test the null hypothesis H₀ : μ =9 against the alternative hypothesis Hₐ : μ< 9 .

The sample mean and standard deviation of the given sample data can be calculated by using Excel.

And we get (Mean) x = 8.8 and s ≈ 0.2268

Since the same size n=830 and population standard deviation is not given, we use t -test.

The test statistic is given by

t = [tex]\frac{x - μ }{s/\sqrt{n} }[/tex]

= (8.8 - 9.0) / 0.2268 / [tex]\sqrt{8\\[/tex]

≈ -2.4942

Now the critical value of t with degrees of freedom df=n-1=7 at significance level α = 0.05 is given by

t* =  -1.8946  (-ve value for left-tailed test)

Thus, the critical region is (-α, -1.8946]  and the calculated t =-2.4942 lies within the critical region.

So, we reject the null hypothesis. And hence we conclude that the mean weight is less than 9.0 grams.

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help asap!!!!!!!!!!!!!

Answers

The possible outcome of events when an ace, a king, a queen and a jack is chosen at random would be = 1/13

How to determine the possible outcome of the events stated?

The total number of suits = 4

The total number of cards in each suit = 13

The total number of cards= 4×13= 52.

The total number of possible outcomes = 4( an ace, a king, a queen and a jack )

The sample space = 52

Probability = 4/52 = 1/13.

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Suppose the temperature in degrees Celsius over a 9 hour period is given by T(t)=- t^2 + t + 34

​a) Find the average temperature. (Type an integer or a decimal. Round to one decimal place as​ needed.)

​b) Find the minimum temperature. (​Type an exact answer in simplified​ form.)

​c) Find the maximum temperature.(Type an exact answer in simplified​ form.)

Answers

a) The average temperature is given by, 2.0 degree Celcius

b) The minimum temperature is 34.25 degrees Celsius.

c) The maximum temperature is 34 degrees Celsius.

a) For find the average temperature, we need to take the integral of the temperature function over the interval [0, 9] and then divide by the length of the interval.

And, The integral of T(t) is,

- (1/3)t³ + (1/2)t² + 34t,

so the average temperature is given by:

(1/9) {[T(9) - T(0)] / (9 - 0)}

= (1/9) {[-9² + 9 + 34 - 34] / 9}

= 2.0 degrees Celsius

b) For find the minimum temperature, we need to find the vertex of the parabola -t² + t + 34.

The x-coordinate of the vertex is given by -b/2a, where a = -1 and b = 1,

So, We get;

x = -b/2a

   = -1/(2 × -1)

   = 1/2.

Plugging x = 1/2 into the temperature function gives:

T(1/2) = -(1/2)² + (1/2) + 34

        = 34.25 degrees Celsius

So, the minimum temperature is 34.25 degrees Celsius.

c) For find the maximum temperature, we just need to evaluate the temperature function at the endpoints of the interval [0, 9] and take the larger value.

T(0) = 34 and

T(9) = -81 + 9 + 34

      = -38 degrees Celsius.

Since, 34 is larger than -38, the maximum temperature is 34 degrees Celsius.

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A normal distribution has a mean ofLaTeX: \muμ = 100 with a standard deviation ofLaTeX: \sigmaσ = 20. If one score is randomly selected from this distribution, what is the probability that the score will have a value between X = 100 and X= 130?

answer choices:

p= 0.8664

p= 0.4332

p= 0.0668

p= 0.9332

Answers

The probability that a score will have a value between X = 100 and X = 130 is 0.4332. (option b)

To find the probability of a score being between 100 and 130, we need to calculate the area under the normal curve between those two values. Since we know the mean and standard deviation of the distribution, we can standardize the values of 100 and 130 using the z-score formula:

z = (X - μ) / σ

Where X is the score we are interested in, μ is the mean of the distribution, and σ is the standard deviation.

For X = 100, the z-score is:

z = (100 - 100) / 20 = 0

For X = 130, the z-score is:

z = (130 - 100) / 20 = 1.5

Now, we need to find the probability of a z-score being between 0 and 1.5. We can use a standard normal distribution table or calculator to look up this probability. The table or calculator will give us the probability of a z-score being less than 1.5, which we can then subtract from the probability of a z-score being less than 0 to get the probability of a z-score being between 0 and 1.5.

Using a standard normal distribution table or calculator, we find that the probability of a z-score being less than 0 is 0.5. The probability of a z-score being less than 1.5 is 0.9332. Therefore, the probability of a z-score being between 0 and 1.5 is:

P(0 ≤ z ≤ 1.5) = P(z ≤ 1.5) - P(z < 0) = 0.9332 - 0.5 = 0.4332

Therefore, the answer choice that best matches this probability is p = 0.4332.

Hence the correct option is (b).

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what is the measure of

Answers

Answer: The measure of L is 25⁰

Two similar rectangles. One has the shorter side labeled x and the long side labeled y. The second rectangle has a shorter side of 8 and the long side of 20. If the area of the smaller rectangle (the x and y one) is 22.5 ft^2, what are the measurements of x and y? Can you tell me how to do it?

Answers

The measurements of the smaller rectangle's sides are x = 3 ft and y = 7.5 ft.

To find the measurements of x and y for the smaller rectangle, follow these steps:

1. Write down the given information: The first rectangle has shorter side x and longer side y, while the second rectangle has shorter side 8 and longer side 20. The area of the smaller rectangle is 22.5 ft².

2. Since the rectangles are similar, the ratio of corresponding sides must be equal. Set up a proportion for the shorter sides and the longer sides:

x/8 = y/20

3. Given that the area of the smaller rectangle is 22.5 ft², we can write an equation for the area:

  x * y = 22.5

4. Now, we can use the proportion to find either x or y in terms of the other variable. Let's solve for y:

y = 20x/8 = 2.5x

5. Substitute the expression for y back into the area equation:

  x * (2.5x) = 22.5

6. Solve the equation for x:

  2.5x^2 = 22.5

  x^2 = 9

  x = 3

7. Now, find the value of y using the expression we found in step 4:

  y = 2.5x = 2.5 * 3 = 7.5

Therefore, the measurements of the smaller rectangle's sides are x = 3 ft and y = 7.5 ft.

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EXAMPLE 3.3 What is the chance of getting either 1, 2, 3, 4, 5, or 6 on the next roll? 100%. The outcome must be one of these numbers.

Answers

The chance of getting either 1, 2, 3, 4, 5, or 6 on the next roll of a standard six-sided die is 100%. The outcome must be one of these numbers, as these are the only possible outcomes on a standard six-sided die.

A standard six-sided die has six faces, numbered from 1 to 6. Each face has an equal chance of landing face-up when the die is rolled, assuming the die is fair and not biased. Therefore, the probability of getting any one of the six numbers (1, 2, 3, 4, 5, or 6) on the next roll is 1 out of 6, or 1/6, which is equivalent to approximately 0.1667 or 16.67%. Since there are no other possible outcomes on a standard six-sided die other than these six numbers, the chance of getting either 1, 2, 3, 4, 5, or 6 on the next roll is 100%.

Therefore, the answer is: The chance of getting either 1, 2, 3, 4, 5, or 6 on the next roll is 100% as these are the only possible outcomes on a standard six-sided die.

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hurry i need help with this i don’t know what to write

Answers

The triangle congruence theorem that proves triangle KLM and XYZ are congruent is the AAS Congruence Theorem.

What is the AAS Congruence Theorem

The AAS (Angle-Angle-Side) Congruence Theorem states that if two triangles have two corresponding angles and a corresponding side that are congruent, then the triangles are congruent.

By observation, the angle L corresponds to the angle Y, and the angle M corresponds to the angle Z, Also the side KM corresponds to the side XM.

In conclusion, the congruence theorem that proves triangle KLM and XYZ are congruent is the AAS Congruence Theorem.

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(1 point) Find the total mass of the region bounded by the
curves y=2/x, x=1, x=4, and the x-axis. All lengths are in
centimeters, and the density of the region is δ(x)=x^1/3
grams/cm^2.

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To find the total mass of the region bounded by the curves y=2/x, x=1, x=4, and the x-axis, we need to integrate the density function δ(x) over the region.

First, we need to find the limits of integration for x. The curves y=2/x and x=1 intersect at y=2, so the lower limit is x=1. The curves y=2/x and x=4 intersect at y=1/2, so the upper limit is x=4.

Next, we can set up the integral:

M = ∫1^4 δ(x) dA

where dA is the area element. Since we are integrating with respect to x, dA = y dx.

Substituting in the density function δ(x) = x^1/3 grams/cm^2 and the curve y=2/x, we have:

M = ∫1^4 (x^1/3)(2/x) dx
M = 2∫1^4 x^-2/3 dx
M = 2(3x^1/3)|1^4
M = 6(4^(1/3) - 1)

Therefore, the total mass of the region bounded by the curves y=2/x, x=1, x=4, and the x-axis is approximately 6(4^(1/3) - 1) grams.

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a staff member at uf's wellness center is interested in seeing if a new stress reduction program will lower employees high systolic blood pressure levels. twenty people are selected and have their blood pressure measured. each person then participates in the stress reduction program. one month after the stress reduction program, the systolic blood pressure levels of the employees were measured again. did the program reduce the average systolic blood pressure level? (mud

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Without specific information about the blood pressure levels of the twenty selected members before and after the program, it is impossible to say whether or not the program was successful in reducing the average systolic blood pressure level.

Based on the information given, the staff member at UF's wellness center selected twenty people to participate in a new stress reduction program in order to see if it would lower their high systolic blood pressure levels. The blood pressure levels of each member were measured before the program began, and again one month after it ended.
To determine whether the program reduced the average systolic blood pressure level, the staff member would need to compare the average systolic blood pressure level before the program to the average level after the program. If the average systolic blood pressure level decreased after the program, it could be inferred that the program was successful in reducing blood pressure levels.

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The probability that a person has immunity to a particular disease is 0.6. Find the mean for the random variable X, the number who have immunity in samples of size 26.

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The mean for the random variable X, the number who have immunity in samples of size 26 is 15.6.

The mean for the random variable X, the number who have immunity in samples of size 26 can be found using the formula:

Mean (μ) = n x p

where n is the sample size and p is the probability of having immunity to the disease.

So, in this case, the mean would be:

Mean (μ) = 26 x 0.6

Mean (μ) = 15.6

Therefore, the mean for the random variable X, the number who have immunity in samples of size 26, is 15.6. This means that, on average, we can expect 15.6 people out of a sample of 26 to have immunity to the disease.

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A rectangular sheet of metal measures 8 inches by 10 inches. The metal is worth $4.00 per square inch. How much is the sheet of metal worth?

$

Answers

Answer:

$4.00/square inch × 8 inches × 10 inches = $320

a 19. Suppose a normal distribution has a mean of 6 and a standard deviation of 3. What is the range of scores within which at least 95% of scores are contained? Show your calculations or describe how

Answers

The range of scores within which at least 95% of scores are contained is from 0 to 12.

To find the range of scores within which at least 95% of scores are contained, we need to use the empirical rule, also known as the 68-95-99.7 rule. According to this rule, approximately 68% of the scores will fall within one standard deviation of the mean, approximately 95% will fall within two standard deviations of the mean, and approximately 99.7% will fall within three standard deviations of the mean.

In this case, we want to find the range of scores that includes at least 95% of the scores, which means we need to look at the range that is within two standard deviations of the mean. So, we can calculate the range as follows:

Upper limit = mean + 2 * standard deviation = 6 + 2 * 3 = 12
Lower limit = mean - 2 * standard deviation = 6 - 2 * 3 = 0

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Find the third term of (3x-2y)6

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The third term of the expansion of [tex](3x - 2y)^6[/tex] is [tex]4,905x^4y^2.[/tex]

What is term?

In mathematics, a term refers to a single item in a sequence, a series, or an expression. It is a part of an equation or expression that is separated from other parts by a plus or minus sign.

To expand the binomial [tex](3x - 2y)^6[/tex] using the binomial theorem, we need to find the coefficients of each term in the expansion. The coefficient of each term is given by the binomial coefficient formula:

C(n, k) = n! / (k! * (n-k)!)

where n is the power of the binomial (in this case, 6), and k is the index of the term we want to find.

To find the third term, we need to use k = 2, since the index starts at 0. Therefore, the third term is:

[tex]C(6, 2) * (3x)^4 * (-2y)^2 = (6! / (2! * 4!)) * (3x)^4 * (-2y)^2\\\\= (15 * 81x^4 * 4y^2)\\\\= 4,905x^4y^2[/tex]

Therefore, the third term of the expansion of [tex](3x - 2y)^6[/tex] is [tex]4,905x^4y^2.[/tex]

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Determine the equation of the tangent line to the path r(t) = (sin(36), cos(30), 80%*) at: = 1. (Write your solution using the form (*.*.). Use symbolic notation and fractions where needed. Use the equation of the tangent line such that the point of tangency occurs when t = 1) tangent line: 1(t) = (sin (3) +36 cos(3), cos(3) - 37 sin(3),8 +51) Incorrect

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the equation of the tangent line to the path r(t) at t = 1 is (0.5878 + 1.2576t, 0.8660 - 0.6t, 0.8 + t)

To determine the equation of the tangent line to the path r(t) = (sin(36t), cos(30t), 0.8t), we need to first find the derivative of the path with respect to t, which will give us the direction vector of the tangent line at any given point:

r'(t) = (36cos(36t), -30sin(30t), 0.8)

At t = 1, the direction vector of the tangent line is:

r'(1) = (36cos(36), -30sin(30), 0.8) ≈ (11.3137, -15, 0.8)

Next, we need to find a point on the path r(t) at t = 1, which will be the point of tangency:

r(1) = (sin(36), cos(30), 0.8) ≈ (0.5878, 0.8660, 0.8)

Now we can use the point-normal form of the equation of a plane to find the equation of the tangent line:

(x - 0.5878)/11.3137 = (y - 0.8660)/(-15) = (z - 0.8)/0.8

To simplify, we can rewrite this as:

x ≈ 0.5878 + 1.2576t
y ≈ 0.8660 - 0.6t
z ≈ 0.8 + t

Therefore, the equation of the tangent line to the path r(t) at t = 1 is (0.5878 + 1.2576t, 0.8660 - 0.6t, 0.8 + t).

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Question 33 2pts Given: y = 32x - 4x3. Find the value of C if the equation of the tangent line at x = -3 is Ax+By+=0. Hint: In general form, we don't use fractions in the coefficients. Next >

Answers

The value of C in the equation of tangent is 2368.

To find the value of C, we need to first find the slope of the digression line at x = -3.

The outgrowth/derivative of y with respect to x is

y' = 96[tex]x^{2}[/tex] - 32

At x = -3, the pitch of the tangent line is

y'(-3) = 96(-3)*-3 - 32 = 800

y - y(-3) = 800(x - (-3))

Simplifying the equation of tangent, we get

y + 32 = 800(x + 3)

Now if we rearrange the equation can be written as:

800x - y + 2368 = 0

Comparing with the given equation layoff By  Ax + By + C = 0, we get

A = 800, B = -1, C = 2368

thus, the value of C is 2368.

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The amount of gasoline purchased per car at a large service station is normally distributed with the mean of $47 and a standard deviation of $5. A random sample of 47 is selected, describe the sampling distribution for the sample mean.

Answers

The sampling distribution for the sample mean will be normally distributed with a mean of $47 and a standard deviation of approximately $0.73.

The sampling distribution for the sample mean in this scenario would also be normally distributed, with a mean of $47 (the same as the population means) and a standard deviation of $5/sqrt(47) (the standard error of the mean).

This means that if we were to take multiple random samples of size 47 from this population, the means of each sample would be normally distributed around $47, and the spread of the means would be smaller than the spread of the individual amounts purchased due to the central limit theorem.

Given that the amount of gasoline purchased per car at a large service station is normally distributed with a mean of $47 and a standard deviation of $5, and you have a random sample of 47 cars, we can describe the sampling distribution for the sample mean using the following information:

1. The shape of the sampling distribution: Since the original population is normally distributed, the sampling distribution of the sample mean will also be normally distributed according to the Central Limit Theorem.

2. The mean of the sampling distribution (μ_X): The mean of the sampling distribution will be equal to the mean of the population, which is $47.

3. The standard deviation of the sampling distribution (σ_X): To find the standard deviation of the sampling distribution, we need to divide the population standard deviation (σ) by the square root of the sample size (n). In this case, σ = $5 and n = 47.

σ_X = σ / √n = 5 / √47 ≈ 0.73

So, the sampling distribution for the sample mean will be normally distributed with a mean of $47 and a standard deviation of approximately $0.73.

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a hair stylist makes $44 each day that she works and makes approximately $16 in tips for each hair cut that she gives. if she wants to make at least $108 in one day, at least how many hair cuts does she need to give?

Answers

The hairstylist needs to give at least 4 haircuts to make at least $108 in one day.

We know that the hairstylist wants to make at least $108 in one day. Therefore, we can set up an equation:

Total income >= $108

$44 + $16x >= $108

Subtracting $44 from both sides, we get:

$16x >= $64

Dividing both sides by $16, we get:

x >= 4

So the hair stylist needs to give at least 4 haircuts to make at least $108 in one day.

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Four waves are described by the expressions:
a. y = 0.12 cos(3x - 21t)
b. y = 0.15 sin(6x + 42t)
c. y = 0.13 cos(6x + 21t)
d. y = -0.23 sin(3x - 42t)
Which two waves have the same speed?

Answers

The two waves that have the same speed are waves a and d

The speed of a wave is given by the formula:

v = λf

where v is the speed of the wave, λ is the wavelength, and f is the frequency.

The wavelength and frequency of a wave can be determined from its equation as follows:

λ = 2π/k

f = ω/2π

where k is the wave number and ω is the angular frequency.

For the waves given, we can rewrite the equations as:

a. y = 0.12 cos(3x - 21t) = 0.12 cos(3(x - 7t))

b. y = 0.15 sin(6x + 42t) = 0.15 sin(6(x + 7t))

c. y = 0.13 cos(6x + 21t) = 0.13 cos(6(x + 3t))

d. y = -0.23 sin(3x - 42t) = 0.23 sin(3(7t - x))

Comparing the expressions for the wave numbers and angular frequencies, we get:

a. k = 3, ω = 21

b. k = 6, ω = 42

c. k = 6, ω = 21

d. k = 3, ω = 42

Using the formulas for wavelength and frequency, we get:

a. λ = 2π/k = 2π/3, f = ω/2π = 21/2π

b. λ = 2π/k = π/3, f = ω/2π = 7

c. λ = 2π/k = π/3, f = ω/2π = 21/2π

d. λ = 2π/k = 2π/3, f = ω/2π = 42/2π

We can see that waves a and d have the same speed since they have the same wavelength, λ = 2π/3, and therefore the same speed, v = λf = (2π/3) * (42/2π) = 14.

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DETAILS PREVIOUS ANSWERS SCALCET8 4.1.511.XP.MI.SA. MY NOTES ASK YOUR TEACHER PRACTICE ANOTHER This question has several parts that must be completed sequentially. If you skip a part of the question, you will not receive any points for the skipped part, and you will not be able to come back to the skipped part. Tutorial Exercise Find the absolute maximum and absolute minimum values of f on the given interval. f(x) = In(x2 + 2x + 4), [-2, 2] Step 1 The absolute maximum and absolute minimum values of the function f occur either at a critical number or at an endpoint of the interval. Recall that a critical number is a value of x where f'(x) = 0 or where f'(x) doesn't exist. We begin by finding the critical numbers. f'(x) =

Answers

The absolute minimum value of f(x) is ln(2) at x = -1, and the absolute maximum value of f(x) is ln(12) at x = 2.

To find the absolute maximum and absolute minimum values of f(x) = ln(x² + 2x + 4) on the interval [-2, 2], we first need to find the critical points.

Step 1: Differentiate f(x) with respect to x:
f'(x) = d(ln(x² + 2x + 4))/dx

Using the chain rule, we have:
f'(x) = (1/(x² + 2x + 4)) * (2x + 2)

Step 2: Set f'(x) = 0 to find critical points:
(1/(x² + 2x + 4)) * (2x + 2) = 0

Since the fraction equals 0 when the numerator equals 0:
2x + 2 = 0
x = -1

So, we have one critical number x = -1. Now, we must evaluate f(x) at the critical number and the interval endpoints:

f(-2) = ln((-2)² + 2*(-2) + 4)
f(-1) = ln((-1)² + 2*(-1) + 4)
f(2) = ln((2)² + 2*2 + 4)

After evaluating these, we find that:
f(-2) = ln(4), f(-1) = ln(2), and f(2) = ln(12)

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