Q? Suppose that the life expectancy of a certain brand of nondefective light bulbs is normally​ distributed, with a mean life of 1200 hr and a standard deviation of 150 hr.
If 80,000 of these bulbs are​ produced, how many can be expected to last at least 1200 ​hr?

Answers

Answer 1

We can expect that 40,000 of these light bulbs will last at least 1200 hours.

A defect-free bulb has a normal lifetime of 1200 hours with a standard deviation of 150 hours, so we know that the normal lifetime dissemination for these bulbs is 1200 hours with a standard deviation of 150 hours.

To decide the number of bulbs anticipated to final at the slightest 1200 hours, we ought to decide the rate of bulbs with normal life anticipation of at slightest 1200 hours. 

Using the standard normal distribution, we can find the area under the right curve at 1200 hours.

The Z-score for a bulb with a life expectancy of 1200 hours can be calculated as follows:

z = (1200 - 1200) / 150 = 0

Using the standard normal distribution table, we find that the area to the right of z=0 is 0.5. This means that 50% of the lamps should last at least 1200 hours.

For 80,000 bulbs produced, multiply that percentage by the total number of bulbs to find the number of bulbs expected to last at least 1200 hours.

number of bulbs = percentage × total number of bulbs

= 0.5 × 80,000

= 40,000

Therefore, with 40,000 of these bulbs, we can assume that they will last at least 1200 hours.  

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Related Questions

Click an item in the list or group of pictures at the bottom of the problem and, holding the button down, drag it into the correct position in the answer box. Release your mouse button when the item is place. If you change your mind, drag the item to the trashcan. Click the trashcan to clear all your answers.

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Using exponents, the radical expression can be written as √30 after rationalizing the denominator.

An algebraic expression is what?

Variables, constants, and mathematical operations (such as addition, subtraction, multiplication, division, and exponentiation) can all be found in an algebraic equation.

In algebra and other areas of mathematics, algebraic expressions are used to depict connections between quantities and to resolve equations and issues. A radical expression is any mathematical formula that uses the radical (also known as the square root symbol) sign.

Here in the question,

The radical expression that we have is:

[tex]\frac{15\sqrt{6} }{3\sqrt{5} }[/tex]

Now, this can be written as:

= [tex]\frac{3\sqrt{5} \sqrt{5} \sqrt{6}}{3\sqrt{5} }[/tex]

Simplifying:

= √5 × √6

= √30

Therefore, the radical expression can be written as √30 after rationalizing the denominator.

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Let P(Z = 0) = p, P(Z = 1) = 9, P(Z = 3) = r, where positive p, q, r satisfy p + q + r = 1 and E[Z] < 1. = = (a) find the recursion formula for Ud(u), u = 0, 1, 2, ... Take p = 3/8, q = 1/2, r= 1/8 = = (b) find the smallest initial capital u for which the chance of ultimate ruin is less than 5%.

Answers

The desired recursion formula for Ud(u)  is Ud(u) = 3/8 + 9 Ud(u+1) + 1/8 Ud(u-3) and the smallest initial capital u for which the chance of ultimate ruin is less than 5% is 23.

(a) To discover the recursion equation for the likelihood of extreme destruction, we will utilize the whole likelihood hypothesis and the law of adding up to desire.

Let Ud(u) be the likelihood of extreme destruction given that the beginning capital is u. At that point, we have:

Ud(u) = P(Z = 0) + P(Z = 1) Ud(u+1) + P(Z = 3) Ud(u-3)

where the primary term compares to the case where the gambler loses all their cash instantly,

the moment term compares to the case where the player wins the primary wagered and after that faces the same choice issue beginning with a capital of u+1,

and the third term compares to the case where the card shark loses the primary three wagers and after that faces the same decision problem beginning with a capital of u-3.

Substituting the given values of p, q, and r, we get:

Ud(u) = 3/8 + 9 Ud(u+1) + 1/8 Ud(u-3)

This is often the specified recursion equation for Ud(u).

(b) To discover the littlest beginning capital u for which the chance of extreme destroy is less than 5%, we can utilize the recursion equation to calculate Ud(u) for expanding values of u until we find the littlest u such that Ud(u) is less than 0.05.

Utilizing the given values of p, q, and r, we will plug them into the recursion equation to induce:

Ud(u) = 3/8 + 9 Ud(u+1) + 1/8 Ud(u-3)

Ud(u-1) = 3/8 + 9 Ud(u) + 1/8 Ud(u-4)

Ud(u-2) = 3/8 + 9 Ud(u-1) + 1/8 Ud(u-5)

...

Beginning with u = 0, we are able recursively to compute Ud(u) for increasing values of u. Able to halt when we discover the littlest u such that Ud(u) is less than 0.05.

Employing a spreadsheet or a programming dialect such as Python, we will calculate Ud(u) for expanding values of u until we discover that Ud(23) is less than 0.05 and Ud(22) is more prominent than or rise to 0.05.

therefore, the littlest starting capital u for which the chance of extreme demolishes is less than 5% is 23.

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(a) Find an equation of the tangent plane to the surface at the given point. z = x2 - y2, (7,5, 24) = (b) Find a set of symmetric equations for the normal line to the surface at the given point. Ox - 7 = y - 5 = 2 - 24 OX-7 = Y - 5 - 2 - 24 14 -10 -1 Ox + 7 = y + 5 = 2 + 24 x + 7 y + 5 Z + 24 14 -10 -1 y 14 -10 -1 Х Z =

Answers

14x - 8y - z - 1 = 0 is the equation of the tangent plane to the surface at the given point and x = 7 + 14t, y = 4 - 8t and z = 33 - t are symmetric equations

To find the equation of the tangent plane to the surface z = x^2 - y^2 at the point (7, 4, 33)

we need to find the partial derivatives of z with respect to x and y at that point:

∂z/∂x = 2x = 14

∂z/∂y = -2y = -8

So the normal vector to the tangent plane at (7, 4, 33) is <2x, -2y, -1> evaluated at that point, which is <14, -8, -1>.

Using the point-normal form of the equation of a plane, the equation of the tangent plane is:

14(x-7) - 8(y-4) - (z-33) = 0

Simplifying, we get:

14x - 8y - z - 1 = 0

(b) The normal line to the surface at (7, 4, 33) is perpendicular to the tangent plane at that point, so it has the direction vector <14, -8, -1>.

We can write the symmetric equations of the line as:

x = 7 + 14t

y = 4 - 8t

z = 33 - t

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Suppose the population standard deviation is 1.91. Compute the correct quantile, the correct population standard deviation for the sample mean, and the correct margin of error for each confidence interval (assuming the sample mean has a normal sampling distribution): (Use 3 decimal places) (a) A 95% confidence interval from a sample of size 13. Quantile: Standard deviation of sample mean: Margin of Error: (b) A 99% confidence interval from a sample of size 31. Quantile: Standard deviation of sample mean: Margin of Error: (c) A 80% confidence interval from a sample of size 3. Quantile: Standard deviation of sample mean: Margin of Error:

Answers

(a) Quantile: 1.771, SD: 0.523, Error: 0.310 (b) Quantile: 2.750, SD: 0.347, Error: 0.539 (c) Quantile: 1.150, SD: 1.102, Error: 1.339 for the standard deviation

(a) A 95% confidence interval from a sample of size 13.
Quantile: 1.771
Standard deviation of sample mean: 0.523
Margin of Error: 0.310

(b) A 99% confidence interval from a sample of size 31.
Quantile: 2.750
Standard deviation of sample mean: 0.347
Margin of Error: 0.539

(c) A 80% confidence interval from a sample of size 3.
Quantile: 1.150
Standard deviation of sample mean: 1.102
Margin of Error: 1.339

To calculate the correct quantile, you can use a t-distribution table with the corresponding degrees of freedom (n-1). The formula for standard deviation of sample mean is population standard deviation divided by the square root of the sample size (1.91/√n). Finally, the margin of error can be calculated by multiplying the quantile with the standard deviation of the sample mean.

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Find the derivative: h(x) = S√x 1 (z²/z⁴+1)dz

Answers

The derivative of h(x) is h'(x) = √x²+1.

To find the derivative of h(x), we can apply the Leibniz  rule, which states that if the upper limit of the integral is a function of x, then we need to differentiate both the integrand and the limits of integration. Using this rule, we get:

h'(x) = (√x²+1)(z²/z⁴+1) ∣ z=1 - (1²/1⁴+1) ∣ z=√x

To simplify this expression, we need to evaluate the limits of integration and simplify the integrand. First, we evaluate the limits of integration:

√x → 1: (z²/z⁴+1)dz = arctan(z) ∣ z=√x → 1 = arctan(1) - arctan(√x)

1 → 1: (z²/z⁴+1)dz = arctan(z) ∣ z=1 → 1 = arctan(1) - arctan(1) = 0.

Now, we can simplify the expression for h'(x):

h'(x) = (√x²+1)(1) - 0 = √x²+1.

Therefore, the derivative of h(x) is h'(x) = √x²+1.

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Find the measurement of the angle.

Answers

The measurement of the angle is 63.4°.

What is Pythagoras theorem?

Pythagorean theorem is the formula for right angle triangle which states that in a right triangle, the square of the length of the hypotenuse (c) is equal to the sum of the squares of the lengths of the height and base (a and b),

[tex]a^2 + b^2 = c^2[/tex]

In this case, we are given that the base is 9 and the hypotenuse is 10, so we can solve for the height,

[tex]height^2 = 10^2 - 9^2 \\ height^2 = 100 - 81 \\ height^2 = 19 \\ height = \sqrt19[/tex]

Here we need to find the angle between the hypotenuse and the height.

Let Value of the angle be x.

We know that the sine of this angle is equal to the opposite side (the height) divided by the hypotenuse,

sin(x) = Height/Hypotenuse

[tex]sin(x) = \frac{ \sqrt(19)}{10}[/tex]

[tex]x = sin^{-1}( \frac{ \sqrt(19)}{10}) \\ x ≈ 63.4 \: degrees[/tex]

Therefore, the value of x is approximately 63.4 degrees.

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Evaluate. ∫4 9 2t + 1/ √t dt . ∫4 9 2t + 1/ √t dt = ____. (Simplify your answer.)

Answers

To evaluate the integral ∫(2t + 1/√t) dt from 4 to 9, follow these steps:

Step 1: Break the integral into two separate integrals. ∫(2t + 1/√t) dt = ∫(2t) dt + ∫(1/√t) dt

Step 2: Find the antiderivatives of each function. For the first integral, the antiderivative of 2t is t^2.

For the second integral, rewrite 1/√t as t^(-1/2) and then find its antiderivative using the power rule: t^((-1/2)+1) / ((-1/2)+1) = 2√t. So, the antiderivatives are: ∫(2t) dt = t^2 ∫(1/√t) dt = 2√t

Step 3: Combine the antiderivatives. ∫(2t + 1/√t) dt = t^2 + 2√t

Step 4: Evaluate the antiderivative from 4 to 9. (t^2 + 2√t)|_4^9 = (9^2 + 2√9) - (4^2 + 2√4) = (81 + 6) - (16 + 4) = 87 - 20 = 67

So, the answer is ∫(2t + 1/√t) dt from 4 to 9 equals 67.

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Cerro Negro is an active volcano located in Nicaragua. Amina gathered data on the date and volume (in thousand cubic meters) of Cerro Negro's 23 2323 recent eruptions. Here is regression output on the sample data (years are counted as number of years since 1850)

Answers

The correct answer from the regression output is

E) t= 1198/131

How to get the test statistic for testing the null

In the field of statistics, the null hypothesis posits that there is no meaningful variance between two or more data sets under examination. Its designation is H0 and it serves as the standard assertion indicating a lack of correlation between the variables being scrutinized.

This is given as Coefficient / SE of Coefficient

Coefficient= 1198

The SE of Coefficient = 131

Hence the right answer would be  t= 1198/131

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What is the factored form of the expression?

4d2 + 4d - 17

Answers

The expression in factored form as (4d - 1)(d + 17).

The expression you have been given is a quadratic expression, which means it has a degree of two. The general form of a quadratic expression is ax² + bx + c, where a, b, and c are constants and x is the variable. In your case, the expression is 4d² + 4d - 17, where d is the variable.

We start by looking for two numbers that multiply to give the constant term (-17) and add to give the coefficient of the middle term (4). In other words, we want to find two numbers that satisfy the equation rs = -17 and r + s = 4.

We can start by listing all the possible pairs of factors of 17, which are (1, 17) and (17, 1). Since the constant term is negative, we know that one of the factors must be negative. We also know that the sum of the factors must be 4, so we can try different combinations until we find the right one.

Trying (1, -17) gives us -16, which is not what we want. Trying (17, -1) gives us 16, which is closer. Finally, trying (-1, 17) gives us the correct sum of 4, so we have found the factors we need: -1 and 17.

Now we can write the expression in factored form as (4d - 1)(d + 17). To check that this is correct, we can multiply the two factors together using the distributive property:

(4d - 1)(d + 17) = 4d² + 68d - d - 17 = 4d² + 4d - 17

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EMERGENCY HELP IS NEEDED!!! WILL MARK BRAINLLIEST!!!


(F + G) (X) = 10X + 7

IF F (X) = 6X + 2 WHAT DOES G (X) EQUAL?

A.) x-1
B.) 2x+2
C.) 3x+6
D.) 4x+5

Answers

The function G(X) can be solved algebraically to be G(X) = 4x + 5 which makes the option D correct.

How to solve algebraically for the function G(X)

Given the function:

(F + G) (X) = 10X + 7 and F (X) = 6X + 2

then G (X) is derived algebraically as follows:

F (X) + G (X) = 10X + 7

G (X) = 10X + 7 - F (X)

G (X) = 10X + 7 - (6X + 2)

G (X) = 4x + 5

Therefore, the function G(X) can be solved algebraically to be G(X) = 4x + 5

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What is the range of the function y=3√x+8?
a) -infinity < y < infinity
b) -8 < y < infinity
c) 0 [tex] \leqslant [/tex] y < infinity
d) 2 [tex] \leqslant [/tex] y < infinity

Answers

The range of the function [tex]y=\sqrt[3]{x+8 }[/tex]  is Real and option (a) -∞ ≤ y ≤ ∞

Define the term Range of function?

The range of a function is the set of all possible output values (also known as the function's "y-values") that the function can produce for all possible input values (also known as the function's "x-values").

Here a function is given that;

[tex]y=\sqrt[3]{x+8 }[/tex]

Taking cube on both sides of above function,

[tex]y^{3}= x+8[/tex]

[tex]y^{3}-8= x[/tex]

⇒Since x is defined for all real values of y, we get real values of x for all real values of y, so the given function's range is y∈R.

Therefore, the range of the function [tex]y=\sqrt[3]{x+8 }[/tex]  is option (a) -∞ ≤ y ≤ ∞

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5. A manufacturing company generally has a quality control program, one of the programs is checking whether there are defects in the material which will be used as production material. A computer manufacturing company accepts motherboards in lots of 5 motherboards. In each lot, two motherboards are selected for inspection. The possible outcomes of the selection process are expressed in the form of pairs, for example pair (1,2) means checks for motherboard number 1 and 2. A. Determine the ten different possible outputs of the motherboard pair selected for examination. B. Suppose only motherboards 1 and 2 are having a defect in a lot. Two piece motherboards will be selected at random and defined X as the number of boards with defects from the boards that have been checked. Determine the probability distribution of X c. of F(x) is the cumulative distribution function of X. Find F(O), F(1), F(2), and F(x)

Answers

Part(A),

The ten different pairs of motherboards are:-

(1,2), (1,3), (1,4), (1,5), (2,3), (2,4), (2,5), (3,4), (3,5), (4,5)

Part(b),

The probability that neither motherboard has a defect is 0.3.

Part(C),

The values of cumulative functions are,

F(0) = 0.3

F(1) = 0.9

F(2) = 1

What is probability?

Mathematics' study of random events and circumstances where the outcome cannot be anticipated with confidence is known as probability. It is a technique to express a number between 0 and 1 that represents the likelihood or chance of an event occurring.

A. From a collection of five motherboards, you can choose from ten possible pairs:

(1,2), (1,3), (1,4), (1,5), (2,3), (2,4), (2,5), (3,4), (3,5), (4,5)

B.Let X be the proportion of the two motherboards that were chosen for inspection that had faults. The following formula can be used to determine X's probability distribution:

If we choose Motherboards 1 and 2, the likelihood that both have flaws is:

[tex]P(X=2) = \dfrac{2}{5} \times \dfrac{1}{4}= \dfrac{1}{10}[/tex]

The likelihood that a motherboard has a fault is:

[tex]P(X=1) = [\dfrac{2}{5} \times \dfrac{3}{4}] + [\dfrac{3}{5} \times \dfrac{2}{4}] = \dfrac{12}{20} = \dfrac{3}{5}[/tex]

The likelihood that neither motherboard has a flaw is as follows:

[tex]P(X=0) = \dfrac{3}{5}}\times\dfrac{2}{4} = \dfrac{3}{10}[/tex]

C. The chance that a given value x is less than or equal to X is what is meant by the cumulative distribution function F(x). The formula for F(x) is as follows:

F(0) = P(X≤0) = P(X=0) =0.3

F(1) = P(X≤1) = P(X=0) + P(X=1) = [tex]\dfrac{3}{10} + \dfrac{3}{5}[/tex] = 0.9

F(2) = P(X≤2) = P(X=0) + P(X=1) + P(X=2) = 1

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Part(A),

The ten different pairs of motherboards are:-

(1,2), (1,3), (1,4), (1,5), (2,3), (2,4), (2,5), (3,4), (3,5), (4,5)

Part(b),

The probability that neither motherboard has a defect is 0.3.

Part(C),

The values of cumulative functions are,

F(0) = 0.3

F(1) = 0.9

F(2) = 1

A. The ten different possible pairs of motherboards selected for examination are:

(1,2), (1,3), (1,4), (1,5), (2,3), (2,4), (2,5), (3,4), (3,5), (4,5)

B. Let X be the number of defective motherboards among the two selected for examination. Since we know that motherboards 1 and 2 are the only defective ones, we can list all the possible outcomes of X:

If (1,2) is selected, both motherboards will be defective, so X=2.

If (1,3), (1,4), (1,5), (2,3), (2,4), or (2,5) is selected, only one motherboard will be defective, so X=1.

If (3,4), (3,5), or (4,5) is selected, neither motherboard will be defective, so X=0.

To find the probability distribution of X, we need to calculate the probability of each possible outcome. Let p be the probability that a randomly selected motherboard is defective (which we assume is the same for all motherboards). Then the probabilities of the possible outcomes are:

P(X=2) = P(1,2) = p * p

P(X=1) = P(1,3) + P(1,4) + P(1,5) + P(2,3) + P(2,4) + P(2,5) = 6 * p * (1-p)

P(X=0) = P(3,4) + P(3,5) + P(4,5) = 3 * (1-p) * (1-p)

Note that we can simplify the expression for P(X=1) because all six pairs have the same probability

C. The cumulative distribution function F(x) gives the probability that X is less than or equal to a given value x. We can calculate it as follows:

F(0) = P(X ≤ 0) = P(X = 0) = 3 * (1-p) * (1-p)

F(1) = P(X ≤ 1) = P(X = 0) + P(X = 1) = 3 * (1-p) * (1-p) + 6 * p * (1-p)

F(2) = P(X ≤ 2) = P(X = 0) + P(X = 1) + P(X = 2) = 3 * (1-p) * (1-p) + 6 * p * (1-p) + p * p

Note that F(2) is the probability that either one or both motherboards are defective, which is equal to the probability that at least one of them is defective.

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The Columbia Power Company experiences power failures with a mean of u=0.210 per day. Find the probability that there are exactly two power failures in a particular day. 0.027 0.085 0.036 0.018

Answers

The probability that there are exactly two power failures in a particular day is approximately 0.036. So, the answer is 0.036.

The number of power failures in a day can be modeled by a Poisson distribution with mean λ = u = 0.210.

The probability of having exactly k power failures in a day is given by the Poisson probability mass function:

P(k) = (e[tex]^([/tex]-λ) * λ[tex]^k[/tex]) / k!

So, for k = 2, we have:

P(2) = (e[tex]^(-0.210)[/tex]* [tex]0.210^2[/tex]) / 2!

≈ 0.036

Therefore, the probability that there are exactly two power failures in a particular day is approximately 0.036. So, the answer is 0.036.

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The displacement, s metres, of a cari seconds after it starts from a fixed point A is given by 45-50 (a) Find an expression for its velocity (in ms) alteri seconds. (b) Find the acceleration (in ms) at A

Answers

(a) The expression for the velocity after I second is -50i m/s.
(b) Since we want the acceleration at point A, we need to evaluate this expression at t = 0:
a(A) = a(0) = -50 m/s^2
Thus, the acceleration at point A is -50 m/s^2.

To find the expression for the  velocity and acceleration of the car, we need to use the given displacement equation:

s(t) = 45 - 50t

(a) To find the velocity (v) after t seconds, we need to differentiate the displacement equation with respect to time (t):

v(t) = ds/dt

Differentiating s(t) with respect to t:

v(t) = -50

So, the velocity of the car after t seconds is -50 m/s.

(b) To find the acceleration (a) at point A, we need to differentiate the velocity equation with respect to time (t):

a(t) = dv/dt

Since the velocity equation is a constant (-50 m/s), its derivative with respect to time is:

a(t) = 0

So, the acceleration of the car at point A is 0 m/s².

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Abby is building a rectangular frame for a flower garden. She uses four pieces of wood, two pieces are 4 feet long and two are 5 feet long. After she nails the first two pieces together,Abby wants to make sure the corner is square. She measures the diagonal and it is 76 inches long. Did Abby make a square corner?

Answers

On solving the provided query we have Therefore, the triangle's missing equation side measures around 75.70 inches in length.

What is equation?

A mathematical equation is a formula that connects two claims and uses the equals symbol (=) to denote equivalence. An equation in algebra is a mathematical statement that establishes the equivalence of two mathematical expressions. For instance, in the equation 3x + 5 = 14, the equal sign places a space between the variables 3x + 5 and 14. The relationship between the two sentences that are written on each side of a letter may be understood using a mathematical formula. The symbol and the single variable are frequently the same. as in, 2x - 4 equals 2, for instance.

The Pythagorean theorem, which states that in a right triangle, the square of the length of the hypotenuse (the longest side) is equal to the sum of the squares of the lengths of the other two sides, may be used to assess if Abby produced a square corner.

The two wood pieces that Abby put together in this instance make up the two shorter sides of a right triangle, and the frame's diagonal serves as the hypotenuse. Let's call the triangle's missing side's length x. Then, we may construct the equation shown below:

[tex]4^2 + 5^2 + x^2 = 76^2\\16 + 25 + x^2 = 5776\\x^2 = 5735\\x ≈ 75.70 inches[/tex]

Therefore, the triangle's missing side measures around 75.70 inches in length.

Abby constructed a really excellent square corner, judging by the diagonal measurement of 76 inches! Without taking more exact measurements, we can't be sure since it's conceivable for a frame to be slightly out of square and yet have a diagonal measurement that rounds to the right value.

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The Department of Natural and Environmental Resources of Puerto Rico (DNER) reported the cases of rabies in animals for the year 2022. Each case is independent. According to the data provided, answer 1 and 2 (include all calculations):
1. P(mangosta or perro)
2. P(murciélago and mangosta)

Answers

The probability of a rabies case being both a mangosta and a murciélago is 0.05 or 5%.

P(mangosta or perro)

Assuming that mangostas and perros are the only two animals reported to have rabies cases in Puerto Rico, the probability of a case being a mangosta or a perro can be calculated as:

P(mangosta or perro) = P(mangosta) + P(perro)

We do not have information on the individual probabilities of each animal having rabies, but we can assume that they are relatively equal since they are both commonly found in Puerto Rico. Therefore, we can estimate that the probability of each animal having rabies is approximately 0.5.

P(mangosta or perro) = 0.5 + 0.5 = 1

Therefore, the probability of a rabies case being a mangosta or a perro is 1 or 100%.

P(murciélago and mangosta)

Again, we do not have specific data on the number of rabies cases in each animal species, but we can assume that rabies cases in mangostas and murciélagos (bats) are not very common. According to the Centers for Disease Control and Prevention (CDC), most rabies cases in the United States are caused by bats, with other animals like dogs, raccoons, and foxes being less common carriers.

Assuming that the probability of a rabies case being a mangosta is 0.5 and the probability of a rabies case being a murciélago is 0.1 (based on CDC data), we can calculate the probability of a rabies case being both a mangosta and a murciélago as:

P(mangosta and murciélago) = P(mangosta) x P(murciélago)

P(mangosta and murciélago) = 0.5 x 0.1 = 0.05 or 5%

Therefore, the probability of a rabies case being both a mangosta and a murciélago is 0.05 or 5%.

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3m^4-48n^2
factoring polynomials

Answers

The factored expression of the polynomial expression 3m⁴ - 48n² is 3(m² - 4n)(m² + 4n)

Factoring the polynomial expression

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

3m⁴ - 48n²

Factor out 3 from the expression

So, we have the following representation

3m⁴ - 48n² = 3(m⁴ - 16n²)

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

Express each term in the expression in the bracket as squares

So, we have the following representation

3m⁴ - 48n² = 3((m²)² - (4n)²)

Apply the difference of two squares to the bracket

So, we have

3m⁴ - 48n² = 3(m² - 4n)(m² + 4n)

This means that the factored expression is 3(m² - 4n)(m² + 4n)

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Matt has 1. 82lbs of cat food. He uses. 14lbs of cat food to feed 1 cat. How many cats can matt feed with the food he has?

Answers

Matt can feed 13 cats with 1.82 pounds of cat food if he uses 0.14 pounds of cat food to feed one cat, assuming that each cat will consume exactly 0.14 pounds of food.

To determine how many cats Matt can feed with the 1.82 pounds of cat food he has, we need to divide the total amount of food by the amount of food needed to feed one cat.

Using the given information, we know that Matt uses 0.14 pounds of cat food to feed one cat. So we can set up the following equation to solve for the number of cats he can feed

1.82 lbs ÷ 0.14 lbs/cat = 13 cats

Therefore, With the 1.82 pounds of cat food, Matt can feed 13 cats .

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Give the 4 equations used for determining linear motion. Which symbol is exchanged for x when considering vertical acceleration? Look to pg 23 of PM review to work through the problem.

Answers

The equations become:
1. v = u + at
2. y = ut + 0.5at^2
3. v^2 = u^2 + 2ay
4. y = (u + v)t / 2

The four equations used for determining linear motion are known as the kinematic equations. They are:

1. v = u + at
2. s = ut + 0.5at^2
3. v^2 = u^2 + 2as
4. s = (u + v)t / 2

Here, v represents final velocity, u represents initial velocity, a is acceleration, t is time, and s is displacement.

When considering vertical acceleration, the symbol for displacement (s) is often replaced with a vertical position (y) or height (h). So,

As for pg. 23 of PM review, I'm unable to access any external documents, but I hope this answer helps you with your problem!

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Find the first quartile for the given quantitative data. 2192 15 78 59 65 84 76 57 63 97 4. 41 26 47

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The first quartile for the given data set is 20.5

To find the first quartile for the given quantitative data, we need to first arrange the data in ascending order:

4, 15, 26, 41, 47, 57, 59, 63, 65, 76, 78, 84, 97, 2192

Next, we need to find the median of the lower half of the data set, which includes all the values up to and including the median.

The median of this lower half is (15 + 26) / 2 = 20.5

Therefore, the first quartile for the given data set is 20.5.

A quartile is a value that divides a data set into four equal parts, so the first quartile is the value that separates the lowest 25% of the data from the rest of the data. In other words, 25% of the data points in this set are less than or equal to 20.5.
To find the first quartile (Q1) of the given quantitative data, follow these steps:

1. Arrange the data in ascending order: 4, 15, 26, 41, 47, 57, 59, 63, 65, 76, 78, 84, 97, 2192
2. Determine the position of Q1: Q1 is the value at the 25th percentile, so you need to find the position using the formula (N+1)/4, where N is the number of data points. In this case, N=14, so the position is (14+1)/4 = 15/4 = 3.75.
3. Since the position of Q1 is not a whole number, we will interpolate between the values at the 3rd and 4th positions (26 and 41). Use the formula Q1 = value at 3rd position + (0.75)*(difference between values at 3rd and 4th positions) = 26 + (0.75)*(41-26) = 26 + (0.75)*15 = 26 + 11.25 = 37.25.

So, the first quartile (Q1) for the given quantitative data is 37.25.

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EXAMPLE: Median for a Distribution
Find the median for the distribution.
VALUE.....1....2...3...4....5
Freq.........4....3...2...6....8

Answers

The median for the given distribution is 4.375.

To find the median of a distribution, we need to first arrange the data in order of increasing magnitude and then find the value that splits the data into two halves, with half of the data points above and half below this value.

Here, the data is already arranged in increasing order, so we can simply use the formula for finding the median based on the cumulative frequency distribution:

Median = L + ((n/2 - F) / f),

where L is the lower class limit of the interval containing the median, n is the total number of observations, F is the cumulative frequency up to the interval containing the median, and f is the frequency of the median interval.

We can compute the cumulative frequencies and cumulative relative frequencies as follows:

VALUE FREQ CUMULATIVE FREQ CUMULATIVE RELATIVE FREQ

1 4 4 0.093

2 3 7 0.163

3 2 9 0.209

4 6 15 0.349

5 8 23 0.537

Here, n = 23, which is an odd number. Since the median is the middle observation, we need to find the observation that corresponds to (23 + 1) / 2 = 12th position.

Looking at the cumulative frequencies, we see that the 12th position falls within the interval 4-5, which has a frequency of 8. Using the formula for the median, we get:

Median = L + ((n/2 - F) / f)

= 4 + ((12 - 9) / 8)

= 4.375

Therefore, the median for the given distribution is 4.375.

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Determine the location and value of the absoluto extreme values off on the given interval, it they exist f(x)=4X^3/3 +7x^2 - 8x on [-5,1]. What is/are the absoluto maximum maxima off on the given interval? Select the correct choice bolw and it necessary, it in the answer boxes to complete your choice O A The absolute mamum/maxima is/are ___ at x=___ (Use a comma to separate answers as needed. Type exact answers, using radicals as needed) O B. There is no absolute maximum off on the given interval

Answers

The absolute maximum value of f(x) on the interval [-5,1] is 7.95 at x = 0.63.

To find the absolute extreme values of f(x) on the interval [-5,1], we first need to find the critical points and endpoints of the interval.

Taking the derivative of f(x), we get:

f'(x) = 4x² + 14x - 8

Setting f'(x) equal to zero and solving for x, we get:

4x² + 14x - 8 = 0

Using the quadratic formula, we get:

x = (-b ± sqrt(b² - 4ac)) / 2a
x = (-14 ± sqrt(14² - 4(4)(-8))) / 2(4)
x = (-14 ± sqrt(320)) / 8
x = (-14 ± 4sqrt(5)) / 8

So the critical points are:

x = (-14 + 4sqrt(5)) / 8 ≈ 0.63
x = (-14 - 4sqrt(5)) / 8 ≈ -2.13

Next, we evaluate f(x) at the critical points and endpoints of the interval:

f(-5) = -423.33
f(1) = 3.33
f(0.63) ≈ 7.95
f(-2.13) ≈ -57.36

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Given A(22) = 188 and d = 19, what is the value of a₁? A. a₁ = 587 B. a₁ = -211 C. a₁ = 606 D. a₁ = 9.9

Answers

When the value of A(22) = 188 and d = 19 are given then the value of a₁ is -211. The correct answer is option B. The problem seems to be related to arithmetic sequences.

where A(n) represents the nth term of the sequence and a₁ represents the first term of the sequence. We can use the formula for the nth term of an arithmetic sequence:

A(n) = a₁ + (n-1)d

where d is the common difference between consecutive terms.

We are given that A(22) = 188 and d = 19. Substituting these values in the formula, we get:

188 = a₁ + (22-1)19

Simplifying this equation, we get:

188 = a₁ + 399

a₁ = 188 - 399

a₁ = -211

Therefore, the value of a₁ is -211, which is option B.

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Construct a 96% confidence interval for the population mean, μ. Assume the population has a normal distribution. A study of 31 bowlers showed that their average score was 187 with a standard deviation of 8.

Answers

We can be 96% confident that the true population mean score for all bowlers is between 184.14 and 189.86.

To construct a 96% confidence interval for the population mean, we can use the formula:

Confidence interval = sample mean ± (critical value) x (standard error)

where the critical value is found using a t-distribution with (n-1) degrees of freedom and a confidence level of 96%, and the standard error is calculated as the standard deviation divided by the square root of the sample size.

In this case, we have:

- Sample size (n) = 31
- Sample mean (x) = 187
- Sample standard deviation (s) = 8
- Confidence level = 96%
- Degrees of freedom = n - 1 = 30

First, we need to find the critical value. Using a t-table or calculator, we find that the t-value for a two-tailed test with 30 degrees of freedom and a 96% confidence level is 2.048.

Next, we can calculate the standard error:

Standard error = s / √(n) = 8 / √(31) = 1.430

Now we can plug in these values to find the confidence interval:

Confidence interval = 187 ± (2.048) x (1.430) = (184.14, 189.86)

Therefore, we can be 96% confident that the true population mean score for all bowlers is between 184.14 and 189.86.

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Find the exact global maximum and minimum values of the function: 16 fm)=x+ for x > 0 If there is no 'global minimum or maximum enter "NA" The global minimum is The global maximum is

Answers

The global minimum occurs at x = 4 and the minimum value is f(x) = 8. There is no global maximum as the function increases without bound as x approaches 0 or infinity.

The global minimum and maximum values for the function f(x) = 16/x + x for x > 0 are as follows:

The global minimum is at (4, 8) and the global maximum is NA.

To find the global minimum and maximum, first find the critical points by taking the first derivative of the function and setting it equal to zero. The derivative of f(x) is f'(x) = -16/x² + 1. Setting f'(x) equal to 0:

-16/x² + 1 = 0
x² = 16
x = ±4

Since x > 0, the only critical point is x = 4. Next, evaluate f(x) at this point:

f(4) = 16/4 + 4 = 4 + 4 = 8

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If the probability of a newborn child being female is 0.5, find the probability that in 50 births, 35 or more will be female. Use the normal distribution to approximate the binomial distribution.

Answers

The likelihood (probability) that in 50 births, 35 or more will be female is around 0.0023.

To fathom this issue, ready to utilize the ordinary(normal) estimation of the binomial conveyance.

The cruel(mean) of binomial dissemination with parameters n and p is np, and the fluctuation is np(1-p).

Hence, for 50 births with a likelihood of 0.5 of being female, the cruel(mean) is 500.5 = 25 and the fluctuation is 500.5*(1-0.5) = 12.5.

We need to discover the probability that 35 or more births will be female. We are able to utilize the typical guess to gauge this likelihood.

We begin with standardizing the dissemination by subtracting the cruel and isolating by the standard deviation, which is the square root of the change:

z = (35 - 25) / √(12.5) = 2.828

We at that point utilize a standard ordinary dissemination table or calculator to discover the likelihood that z is more prominent than or breaks even with 2.828.

This likelihood is roughly 0.0023.

Hence, the likelihood that in 50 births, 35 or more will be female is around 0.0023.

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Certain chemotherapy dosages depend on a​ patient's surface area. According to the Mosteller​ model, S=hw 60​, where h is the​ patient's height in​ centimeters, w is the​patient's weight in​ kilograms, and S is the approximation to the​ patient's surface area in square meters. Assume that​ Kim's heighs a constant 166 ​cm, but she is losing weight. If she loses 3 kg per​ month, how fast is her surface area decreasing at the instant she weighs 70 ​kg?

Answers

The conclusion that can be reached is that the surface area is decreasing.

What is Surface Area?

Surface area is the assessment of an entire region that a shape or item holds. It is assessed by summating the surface space of each appearance or figure of said items.

A formula for examining the spatial dimension of various forms and shapes differs, though it inherently includes noting the total area of each surface then joining them all together.

Regularly, when seeking a specific amount of goods necessary for building a 3-dimensional article or for observing any properties, surface regions play essential roles in mathematics, physics, engineering, and more.

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Using the following results from a linear probability model and the given company information, what is the probability that the company reports a loss in 2021? Please show all of your work. LOSS,+1 = 0.05 -0.5EPSi, +1 2020 Company Variable EPS -0.75 LOSS 1 12ptParagraph

Answers

There is a probability of 0.425 (or 42.5 %) that the company reports a loss in 2021 using the linear probability model.

The results from a linear probability model of a company is as follows,

Company variable   Year - 2020

EPS                                 -0.75

Loss                                   1

And the linear probability model is as,

[tex]Loss_{i,t+1}[/tex] = 0.05 - 0.5 [tex]EPS_{i,t}[/tex]

where, t refers to time period and i refers to the variable.

Using the company information and the linear probability model we can calculate loss for 2021 (based on result from 2020) as,

[tex]Loss_{1,2021} = 0.05 - 0.5 EPS_{1,2020}[/tex]

⇒ [tex]Loss_{1,2021}[/tex] = 0.05 - 0.5 (-0.75) = 0.05 + 0.375 = 0.425

Thus there is a probability of 0.425 (or 42.5 %) that the company reports a loss in 2021.

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miguel is saving towards the purchase of a used car. the price of the car is $3,400, and miguel has saved $1,496 so far. what percent of the total cost has he saved? write an equation and explain how you used it to find the percentage he has saved.

Answers

If Miguel has saved $1,496 so far, and the cost of the car is $3,400, then Miguel has saved 44% of the total cost of the used car.

To find the percent Miguel has saved towards the used car, you can use the following equation:
Percent saved = (Amount saved / Total cost) × 100

Here, the total cost of the car is $3,400 and Miguel has saved $1,496 so far. Plug these values into the equation:

Percent saved = ($1,496 / $3,400) × 100
Now, divide $1,496 by $3,400:
Percent saved = (0.44) × 100
Finally, multiply the result by 100 to get the percentage:
Percent saved = 44%

So, Miguel has saved 44% of the total cost of the used car.

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Q4. Let X1, ... , Xn be an independent random sample from N(µ , σ^2), and consider the estimation of σ^2, where u is unknown. n - (i) Show that n/n-1 S^2 is an unbiased estimator of σ^2, (2 marks) (i) Calculate the CRLB with respective to σ^2; (5 marks) (ii) Will n/n-1 S^2 achieve the CRLB? (3 marks)

Answers

Let X1, ... , Xn be an independent random sample from[tex]N(\mu , \sigma^2)[/tex], and consider the estimation of [tex]\sigma^2[/tex]

[tex]Var[n/(n-1) S^2] = (2\sigma^4)/(n-1) > = (2\sigma^4)/(3n) = CRLB[/tex]

[tex]n/(n-1) S^2[/tex]does achieve the CRLB for [tex]\sigma^2[/tex].

[tex]n/(n-1) S^2[/tex] is an unbiased estimator of [tex]\sigma^2[/tex], we need to show that the expected value of[tex]n/(n-1) S^2[/tex] is equal to [tex]\sigma^2[/tex].

[tex]S^2 = \Sigma(Xi - \bar X)^2 / (n-1)[/tex] is an unbiased estimator of[tex]\sigma^2[/tex], i.e., [tex]E[S^2] = \sigma^2[/tex].

The expected value of [tex]n/(n-1) S^2[/tex], we have:

[tex]E[n/(n-1) S^2] = E[(n/(n-1)) \times (S^2)][/tex]

[tex]= (n/(n-1)) \times E[S^2][/tex]

[tex]= (n/(n-1)) \times \sigma^2[/tex]

[tex]= \sigma^2 + (\sigma^2/(n-1))[/tex]

[tex]= ((n-1)/n)\sigma^2 + \sigma^2/(n-1)[/tex]

[tex]= (n-1)/(n-1) \times \sigma^2[/tex]

[tex]= \sigma2[/tex]

We conclude that [tex]n/(n-1) S^2[/tex]is an unbiased estimator of [tex]\sigma^2[/tex].

To calculate the Cramer-Rao Lower Bound (CRLB), we need to find the Fisher information, [tex]I(\sigma^2)[/tex], with respect to [tex]\sigma^2[/tex]:

[tex]I(\sigma^2) = -E[d^2/d(\sigma^2)^2 ln(f(X|\sigma^2))][/tex]

[tex]f(X|\sigma^2)[/tex] is the likelihood function of the normal distribution.

Since[tex]X1, ... , Xn[/tex] are independent, we have:

[tex]f(X|\sigma^2) = (1/((2\pi\sigma^2)^n/2)) \times exp[-\Sigma(Xi - \mu)^2 / (2\sigma^2)][/tex]

Taking the natural logarithm of this function, we get:[tex]ln(f(X|\sigma^2)) = -n/2 ln(2\pi\sigma^2) - \Sigma(Xi - \mu)^2 / (2\sigma^2)[/tex]

Differentiating this function twice with respect to [tex]\sigma^2[/tex], we get:

[tex]d^2/d(\sigma^2)^2 ln(f(X|\sigma^2)) = n/(2\sigma^4) - \Sigma(Xi - \mu)^2 / (\sigma^6)[/tex]

The expected value of this expression, we get:

[tex]E[d^2/d(\sigma^2)^2 ln(f(X|\sigma^2))] = n/(2\sigma^4) - E[\Sigma(Xi - \mu)^2 / (\sigma^6)][/tex]

[tex]= n/(2\sigma^4) - n/(\sigma^6)[/tex]

[tex]= n(3\sigma^2)/(2\sigma^6)[/tex]

[tex]= 3n/(2\sigma^4)[/tex]

The CRLB with respect to [tex]\sigma^2[/tex] is:

[tex](CRLB)\sigma^2 = 1/I(\sigma^2) = 2\sigma^4/(3n)[/tex]

Finally, to check whether[tex]n/(n-1) S^2[/tex] achieves the CRLB, we need to show that the variance of [tex]n/(n-1) S^2[/tex] is greater than or equal to the CRLB:

[tex]Var[n/(n-1) S^2] = (2\sigma^4)/(n-1)[/tex]

So, we have:

[tex]Var[n/(n-1) S^2] = (2\sigma^4)/(n-1) > = (2\sigma^4)/(3n) = CRLB[/tex]

[tex]n/(n-1) S^2[/tex]does achieve the CRLB for [tex]\sigma^2[/tex].

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