SOS Plsssss help me !!!!!!!!!!!! Hurry

SOS Plsssss Help Me !!!!!!!!!!!! Hurry

Answers

Answer 1

The value of angle E is 88°

What Is circle geometry?

a circle is a special kind of ellipse in which the eccentricity is zero and the two foci are coincident.

There is a theorem that states the opposite angles of a cyclic quadrilateral are supplementary i.e they sum up to give 180.

A cyclic quadrilateral is a quadrilateral inscribed in a circle. touching all the circumference of a circle.

This means that, 92 +angle E = 180°

therefore angle E = 180-92

= 88°

Therefore, the value of angle E is 88°

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Related Questions

I DONT GHET THISS PLS HELP ME

Answers

Answer: The answer is down below.

Step-by-step explanation: Infrared light is light on the electromagnetic spectrum because it has a long wavelength . One other form of electromagnetic radiation is ultraviolet light, X-rays, and gamma rays.

yall please help me :((

Answers

A graph that represents the given points is shown in the images below.

What is an ordered pair?

In Mathematics and Geometry, an ordered pair is a pair of two elements or data points that are commonly written in a fixed order within parentheses as (x, y), which represents the x-coordinate (abscissa) and the y-coordinate (ordinate) on the coordinate plane of any graph.

How to identify and plot the coordinates points and quadrants?

Based on the cartesian coordinate (grid) below, the coordinates points and quadrants should be identified as follows;

Point (4, -4) → quadrant 4.

Point (-3, -4) → quadrant 3.

Point (-3, 4) → quadrant 2.

Point (4, 4) → quadrant 1.

Point (5, -4) → quadrant 4.

Point (-4, -4) → quadrant 3.

Point (5, 4) → quadrant 1.

Point (-4, 4) → quadrant 2.

In this exercise, we would use an online graphing calculator to plot the given points as shown in the images attached below.

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you spin the spinner once what is p(greater than 2 or less than 2 write your answer as a percentage rounded to the new tenth

Answers

For the given problem, The probability of getting a number greater than 2 or less than 2 on the spinner, rounded to the nearest tenth, can be given by 83.3%.

How to calculate required probability?

The given spinner will have four numbers larger than two, i.e. 3, 4, 5, and 6.

While, there is only one number on the given spinner that is less than 2, i.e. 1.

So, the total number of favorable outcomes (numbers greater than 2 or less than 2) is 4 + 1 = 5.

Since there are a total of 6 equally likely possible outcomes (numbers 1 through 6 on the spinner), the probability of getting a number greater than 2 or less than 2 would be 5 out of 6 as:

[tex]Probability = \text{(Number of favorable outcomes / Total number of possible outcomes) * 100}\\\\Probability = (5 / 6) * 100\\\\Probability = 83.3\%[/tex]

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The answer is 100%, rounded to the nearest tenth.

What is probability?

Probability is a measure of the likelihood of an event occurring. It is a number between 0 and 1, where 0 means the event is impossible and 1 means the event is certain to happen.

If the spinner has equally likely outcomes, then the probability of getting a number greater than 2 or less than 2 is 1, since every number on the spinner is either greater than 2 or less than 2.

When we spin a spinner with equally likely outcomes, each possible outcome has the same chance of occurring. In this case, the spinner has numbers from 1 to 4, and half of these numbers are greater than 2 and half are less than 2.

Therefore, if we want to find the probability of getting a number that is greater than 2 or less than 2, we simply add up the probabilities of these two events, which gives us 1 (or 100% as a percentage).

So, the answer is 100%, rounded to the nearest tenth.

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Ms. Fletcher is wrapping a cylindrical package in brown paper so that she can mail it to her daughter. The package is 24 centimeters
tall and 12 centimeters across, as shown in the figure.
base: 12 cm-
height: 24 cm
How much paper will she need to cover the package? The total surface area of a right circular cylinder is 2arh + 2xr², where, r, is
the radius of the base of the cylinder and, h, is the height of the cylinder.

Answers

The amount of paper that she will need to cover the package is: 1131 cm²

How to find the total surface area of the cylinder?

The formula for the total surface area of a right circular cylinder is:

TSA = 2πrh + 2πr²

where:

r is radius

h is height

We are given:

height = 24 cm

base(diameter) = 12 cm

Thus, radius = 12/2 = 6 cm

Therefore:

TSA = 2π(6 * 24) + 2π(6²)

TSA = 2π(180)

TSA = 1130.97 cm² ≅ 1131 cm²

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I can’t figure out how to set up the equation, please help!

Answers

Answer:

Step-by-step explanation:

If the two triangles are similar then you need to set up a proportion.  

Segment ED is similar to GD

and DF is similar to DC

So.

48/(5x-2)=40/(2x+7)    

Cross multiply

48(2x+7)=40(5x-2) (if you see it you can reduce numbers so its not so big but i won't to keep things simple)

96x+336= 200x-80

416=104x

x=4

Find the mode(s) for the given dample data 98, 25, 98, 13, 25, 29, 56, 98

Answers

The mode(s) for the given sample data 98, 25, 98, 13, 25, 29, 56, 98 is 98.

Mode refers to the value(s) that occur most frequently in a set of data. In the given sample data, we have the following values: 98, 25, 98, 13, 25, 29, 56, and 98. By counting the occurrences of each value, we can determine the mode.

The value 98 appears 3 times, which is more frequently than any other value in the set.

The value 25 appears 2 times.

The values 13, 29, and 56 appear only once each.

Since 98 occurs more frequently than any other value in the given sample data, it is the mode of the data set.

Therefore, the mode(s) for the given sample data is 98

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A recent national survey found that high school students watched an average of 6.8 videos per month. A random sample of 36 high school students revealed that the mean number of vidoes watched last month was 6.2. From past experience it is known that the population standard deviation of the number of vidoes watched by high school students is 0.5. At the 0.05 level of signifiance, can we conclude that high school students are watching fewer vidoes?

(a) State the null and alternative hypotheses for this test.

(b) Compute the value of the Test Statistic?

(c) State the p-value for this test.

(d) State the conclusion for the test. Give reasons for your answer.

Answers

a) The null and alternative hypotheses for this test are H0 = μ = 6.8 and Ha = μ < 6.8

b) The value of the Test Statistic is -7.23

c) At the 0.05 level of significance with 35 degrees of freedom, the p-value is less than 0.0001.

d) We can conclude that high school students are watching fewer videos.

(a) The null hypothesis, denoted by H0, is a statement that assumes the population parameter is equal to a certain value, in this case, the population mean number of videos watched per month is 6.8. The alternative hypothesis, denoted by Ha, is a statement that contradicts the null hypothesis, suggesting that the population mean number of videos watched per month is less than 6.8. Therefore, the null and alternative hypotheses for this test are:

H0: μ = 6.8

Ha: μ < 6.8

where μ represents the population mean number of videos watched per month by high school students.

(b) To compute the test statistic, we need to calculate the sample mean and standard error. The sample mean is given as 6.2 and the population standard deviation is known to be 0.5. The standard error is calculated as follows:

Standard error = σ/√n

where σ represents the population standard deviation and n represents the sample size.

Substituting the values, we get:

Standard error = 0.5/√36

Standard error = 0.083

The test statistic is calculated as:

Test statistic = (sample mean - hypothesized population mean)/standard error

Test statistic = (6.2 - 6.8)/0.083

Test statistic = -7.23

(c) The p-value is the probability of obtaining a test statistic as extreme as the one calculated or more extreme, assuming the null hypothesis is true. Since this is a one-tailed test with the alternative hypothesis stating that the population mean number of videos watched per month is less than 6.8, the p-value is the area under the t-distribution to the left of the test statistic. We can find this value using a t-distribution table or calculator.

(d) Based on the p-value, we reject the null hypothesis. The p-value is less than the significance level of 0.05, indicating that the sample data provides strong evidence that the population mean number of videos watched per month by high school students is less than 6.8.

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Solve the initial value problem:y'' + 3y' + 2y = δ(t − 5) + u10(t); y(0) = 0, y'(0) = 1/2show all work

Answers

The solution to the initial value problem is y(t) = (-1/2)e⁻ˣ+ (1/2)e⁻²ˣ+ (1/2)δ(t) + (1/2)u10(t)

The given differential equation is:

y'' + 3y' + 2y = δ(t − 5) + u10(t)

where δ(t) is the Dirac delta function, and u10(t) is the unit step function. The initial conditions are:

y(0) = 0, y'(0) = 1/2

To solve this IVP, we need to find the general solution to the homogeneous equation:

y'' + 3y' + 2y = 0

The characteristic equation is:

r^2 + 3r + 2 = 0

Solving for r, we get:

r = -1, -2

Therefore, the general solution to the homogeneous equation is:

y_h(t) = c₁e⁻ˣ+ c₂e⁻²ˣ

where c₁ and c₂ are constants to be determined.

Next, we need to find the particular solution to the non-homogeneous equation. We have two non-homogeneous terms: δ(t − 5) and u10(t). We will solve for each separately.

For the Dirac delta function δ(t − 5), we know that its integral over any interval containing 5 is equal to 1. Therefore, we can write:

δ(t − 5) = (d/dt)u(t − 5)

where u(t) is the unit step function. Using this, we can write the non-homogeneous term as:

δ(t − 5) = (d/dt)u(t − 5) = (d/dt)(u(t) − u(t − 5)) = δ(t) − δ(t − 5)

Now, we can write the non-homogeneous equation as:

y'' + 3y' + 2y = δ(t) − δ(t − 5) + u10(t)

To find the particular solution to δ(t), we can use the method of undetermined coefficients. We assume a particular solution of the form:

y_p(t) = Aδ(t)

where A is a constant to be determined. Substituting this into the non-homogeneous equation, we get:

0 + 0 + 2Aδ(t) = δ(t)

Therefore, A = 1/2, and the particular solution to δ(t) is:

y_p1(t) = (1/2)δ(t)

Next, we need to find the particular solution to u10(t). We can again use the method of undetermined coefficients and assume a particular solution of the form:

y_p(t) = Bu10(t)

where B is a constant to be determined. Substituting this into the non-homogeneous equation, we get:

0 + 0 + 2Bu10(t) = u10(t)

Therefore, B = 1/2, and the particular solution to u10(t) is:

y_p2(t) = (1/2)u10(t)

Now, we can write the general solution to the non-homogeneous equation as:

y_p(t) = y_p1(t) + y_p2(t) = (1/2)δ(t) + (1/2)u10(t)

Therefore, the general solution to the initial value problem is:

y(t) = y_h(t) + y_p(t) = c₁e⁻ˣ+ c₂e⁻²ˣ+ (1/2)δ(t) + (1/2)u10(t)

To determine the values of c₁ and c₂, we use the initial conditions:

y(0) = 0, y'(0) = 1/2

Substituting these into the general solution and simplifying, we get:

c₁ + c₂ + (1/2) = 0

-c₁ - 2c₂ + (1/2) = 1/2

Solving for c₁ and c₂, we get:

c₁ = -1/2, c₂ = 1/2

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Select the expression that can be used to find the volume of this rectangular prism.

A.
(
6
×
3
)
+
15
=
33

i
n
.
3
B.
(
3
×
15
)
+
6
=
51

i
n
.
3
C.
(
3
×
6
)
+
(
3
×
15
)
=
810

i
n
.
3
D.
(
3
×
6
)
×
15
=
270

i
n
.
3

Answers

The correct expression to find the volume of a rectangular prism is D. (3 × 6) × 15 = 270 in.3.

What is expression?

Expression is a word, phrase, or gesture that conveys an idea, thought, or feeling. It is an outward representation of an emotion, attitude, or opinion. Expressions can be verbal, physical, or written. They can also take the form of art, music, or dance. Expression is used to communicate and express emotions, thoughts, and ideas. It can be a powerful tool to create a connection with others and build relationships.

The correct expression to find the volume of a rectangular prism is D. (3 × 6) × 15 = 270 in.3. This expression involves multiplying the length, width, and height of the rectangular prism in order to calculate the total volume. In this case, the length is 3, the width is 6, and the height is 15. If these values are multiplied together, the result is 270 in.3, which is the total volume of the rectangular prism.

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Question 19 < > = Use implicit differentiation to find the equation of the tangent line to the curve xy² + xy = 6 at the point (3, 1). The equation of this tangent line can be written in the form y =

Answers

The equation of the tangent line to the curve xy² + xy = 6 at the point (3, 1) is y = (7/4)x - 19/4.

To find the equation of the tangent line to the curve xy² + xy = 6 at the point (3, 1), we first need to find the slope of the tangent line. We can use implicit differentiation to find the derivative of the curve:

(xy² + xy)' = (6)'

Using the product rule for differentiation, we get

y² + 2xydx/dy + xdx/dy + y = 0

Rearranging and solving for dx/dy, we get

dx/dy = (-y - 2xy)/(x + y²)

Substituting the values x = 3 and y = 1, we get

dx/dy = (-1 - 2(3)(1))/(3 + 1) = -7/4

Therefore, the slope of the tangent line at the point (3, 1) is -7/4.

Now we can use the point-slope form of a line to find the equation of the tangent line

y - y₁ = m(x - x₁), where (x₁, y₁) = (3, 1) and m = -7/4

Simplifying, we get:

y - 1 = (-7/4)(x - 3)

Multiplying both sides by 4 to eliminate the fraction, we get:

4y - 4 = -7(x - 3)

Simplifying further, we get

4y - 7x = -19

Therefore, the equation of the tangent line is y = (7/4)x - 19/4

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Q4. In a newly established manufacturing unit, 5% of components are defective. 12 perfect components are required to assemble 12 new bicycles. Components are tested till 12 perfect components are found. What is the probability that more than 15 components will have to be tested?

Answers

The probability of selecting 12 perfect components in more than 15 trials is 11.2%.

To find the probability that more than 15 components will have to be tested, we need to find the probability of selecting 12 perfect components in more than 15 trials, which can be calculated using the cumulative binomial distribution formula:

P(X > 15) = 1 - P(X <= 15) = 1 - Σ (nCk) x (0.95)ˣ x (0.05)ⁿ⁻ˣ for k = 0 to 15

Here, Σ denotes the summation symbol, and we need to sum the probabilities for k = 0 to 15 (since we want to find the probability of selecting 12 perfect components in more than 15 trials).

We can use software or a calculator to find the value of P(X > 15) for different values of n. For example, if we assume n = 20 (i.e., we need to test 20 components to get 12 perfect ones), we get:

P(X > 15) = 1 - P(X <= 15) = 1 - Σ (20Ck) x (0.95)ˣ x (0.05)²⁰⁻ˣ for k = 0 to 15

= 1 - 0.888

= 0.112 or 11.2%

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Identify which variable is correlated, and which is independent, and then interpret the findings. C. Mixed assignment to groups – Winter, Carlucci, Schwartz - This is what we found. As your next Pause Problem, tell me what this means! 5 Guilt Rating 3 2 -Before - After Step Up Step Down Consider the chart on the prior slide. What did Winter, Carlucci, and Schwartz find? For this Pause Problem, make sure to identify which variable is correlated, which is independent, and then interpret the findings.

Answers

The findings suggest that there is a change in guilt rating (dependent variable) depending on whether the participant was assigned to the Step Up or Step Down group (independent variable). To interpret the findings, you can conclude that the group assignment (Step Up or Step Down) has an impact on the guilt rating, and the two variables are correlated. This means that the guilt rating is not independent and is influenced by the type of group assignment.

Based on the chart provided, it seems that the variable being measured is the guilt rating before and after a certain intervention (Step Up or Step Down). The independent variable in this case is the type of intervention (Step Up or Step Down), while the guilt rating is the dependent variable. Winter, Carlucci, and Schwartz found that the guilt rating was correlated with the type of intervention used. Specifically, the guilt rating decreased after the Step Up intervention and increased after the Step Down intervention. This suggests that the type of intervention used can have an impact on guilt levels. Overall, this finding highlights the importance of considering different interventions and their potential impact on individuals' emotions and behaviors. It also emphasizes the need for further research in this area to better understand the mechanisms underlying these effects.
Based on the provided information, the variables and interpret the findings.

In this study, there are two variables:
1. Independent variable: The type of group assignment (Step Up or Step Down)
2. Dependent variable (correlated variable): Guilt Rating (Before and After)

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Manny's Grocery Store has a rectangular logo for their business that measures 1.9 meters long with an area that is exactly the maximum area allowed by the building owner. Create an equation that could be used to determine L, the unknown side length of the logo. ​

Answers

Answer:

Let W be the width of the logo. The area of the rectangular logo is given by:

A = L × W

From the problem, we know that the length of the logo is 1.9 meters, so:

L = 1.9 m / W

We also know that the area of the logo is exactly the maximum area allowed by the building owner, so we can write:

A = max area = 25 m^2

Substituting the expression for L in terms of W, we get:

A = L × W

25 m^2 = (1.9 m / W) × W

Simplifying and solving for W, we get:

25 m^2 = 1.9 m × W

W = 25 m^2 / 1.9 m

W ≈ 13.16 m

Finally, we can use the expression for L in terms of W to find the length of the logo:

L = 1.9 m / W

L ≈ 0.144 m

Therefore, the equation that could be used to determine L, the unknown side length of the logo, is:

L = 1.9 m / W, where W is the width of the logo.

Step-by-step explanation:

#2 A student wants to determine if the proportion of times a spun penny lands on heads is different from 0.5. She spins a penny 50 times and records the number of times it lands on heads.

What is the appropriate inference procedure?

one-sample t-test for μ
one-sample z-test for p
one-sample t-test for diff
two-sample z-test for Pâ-Pâ

Answers

The appropriate inference procedure is a one-sample z-test for p.

A one-sample z-test for the percentage would be the proper inference method in this case.

This is due to the fact that we only have one sample of coin flips and wish to determine whether the population's genuine percentage of heads (p), which represents the proportion of heads in the population, differs substantially from 0.5 (our null hypothesis).

In a one-sample z-test for the percentage, the sample proportion (p-hat) is calculated, and the standard error formula is used to get a z-statistic, which is then compared to a normal distribution to provide a p-value.

If the p-value is less than the significance level, which is typically 0.05, the null hypothesis is rejected.

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The weather at a holiday resort is modelled as a time-homogeneous stochastic process (Xn: n > 0) where Xn, the state of the weather on day n, has the value 1 if the weather is sunny, or the value 2 if the weather is rainy. For each n> 1, Xn+1, given (X, Xn-1), is conditionally independent of Hn-2 = {XO...., X.-2}. The conditional distribution of Xn+1 given the two most recent states of the process is as follows: • if it was sunny both yesterday and today, then it will be sunny tomorrow with probability 0.9: . if it was rainy yesterday but sunny today, then it will be sunny tomorrow with probability 0.8; . if it was sunny yesterday but rainy today, then it will be sunny tomorrow with probability 0.7: • if it was rainy both yesterday and today, then it will be sunny tomorrow with prob- ability 0.6.

Answers

The probability of it being sunny tomorrow (Xn+1=1) is 0.7, while the probability of it being rainy tomorrow (Xn+1=2) is 0.3

Based on the information provided, the weather at a holiday resort is modeled as a time-homogeneous stochastic process (Xn: n > 0), where Xn represents the state of the weather on day n, and can take on the value 1 for sunny weather and 2 for rainy weather.

Furthermore, for each day n greater than 1, the state of the weather on day n+1 (Xn+1) is conditionally independent of the history of the process prior to day n-2 (Hn-2 = {X0, X1, ..., Xn-2}), given the two most recent states of the process (Xn and Xn-1). The conditional distribution of Xn+1 given the two most recent states is as follows:

- If it was sunny both yesterday and today, then it will be sunny tomorrow with a probability 0.9.
- If it was rainy yesterday but sunny today, then it will be sunny tomorrow with a probability 0.8.
- If it was sunny yesterday but rainy today, then it will be sunny tomorrow with a probability 0.7.
- If it was rainy both yesterday and today, then it will be sunny tomorrow with a probability 0.6.

This information can be used to simulate the weather at the holiday resort over time, based on the current and past states of the process. For example, if the weather was sunny yesterday (Xn-1=1) and rainy today (Xn=2), then the probability of it being sunny tomorrow (Xn+1=1) is 0.7, while the probability of it being rainy tomorrow (Xn+1=2) is 0.3.r

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If a1x1 + a2x2 + ··· + anxn = 0 and x1, x2,...,xn are linearly independent, then all the scalars ai are zero. true or false

Answers

True, if the linearly independent variables x1, x2, …, xn satisfy the equation a1x1 + a2x2 + … + anxn = 0, then all the scalars ai must be zero.

If the variables x1, x2, …, xn are linearly independent, it means that none of them can be expressed as a linear combination of the others. In other words, they are not redundant or dependent on each other.

Now, if we have the equation a1x1 + a2x2 + … + anxn = 0, where ai are the scalars and the equation holds for all values of x1, x2, …, xn, then we can consider the left-hand side of the equation as a linear combination of the variables x1, x2, …, xn with coefficients a1, a2, …, an.

Since the variables x1, x2, …, xn are linearly independent, the only way for this linear combination to be equal to zero for all values of x1, x2, …, xn is if all the coefficients a1, a2, …, an are zero. This is because if any of the coefficients were non-zero, it would imply that the corresponding variable is redundant and can be expressed as a linear combination of the other variables, which would contradict the assumption that the variables are linearly independent.

Therefore, if a1x1 + a2x2 + … + anxn = 0 for linearly independent variables x1, x2, …, xn, then the only solution is a1 = a2 = … = an = 0, making the statement true.

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Among fatal plane crashes that occurred during the past 70 years, 367 were due to pilot error, 51 were due to other human error, 58 were due to weather, 417 were due to mechanical problems, and 399 were due to sabotage - Construct the relative frequency distribution. What is the most serious threat to aviation safety, and can anything be done about it? Complete the relative frequency distribution below Relative Cause Frequency Pilot error 70 Other human error % Weather % Mechanical problems % Sabotage (Round to one decimal place as needed) 23

Answers

the most serious threat to aviation safety, accounting for 32.29% of fatal plane crashes.

To construct the relative frequency distribution, we first need to calculate the total number of crashes:

Total crashes = 367 + 51 + 58 + 417 + 399 = 1292

Now we can calculate the relative frequencies:

Pilot error: 367/1292 ≈ 0.2841 or 28.41%

Other human error: 51/1292 ≈ 0.0395 or 3.95%

Weather: 58/1292 ≈ 0.0449 or 4.49%

Mechanical problems: 417/1292 ≈ 0.3229 or 32.29%

Sabotage: 399/1292 ≈ 0.3086 or 30.86%

To complete the relative frequency distribution table:

Relative Cause Frequency

Pilot error 28.41%

Other human error 3.95%

Weather 4.49%

Mechanical problems 32.29%

Sabotage 30.86%

From the relative frequency distribution, we can see that mechanical problems are the most serious threat to aviation safety, accounting for 32.29% of fatal plane crashes. Something can be done to reduce this threat by ensuring that airplanes are properly maintained and inspected regularly

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Write 70 cm as a fraction of 2 m. Give your answer in its simplest form.

Answers

We can start by converting both measurements to the same unit of length. Since 1 m is equal to 100 cm, 2 m is equal to 200 cm.

So, 70 cm is a fraction of 2 m can be written as:

70/200

To simplify this fraction, we can divide both the numerator and the denominator by their greatest common factor, which is 10.

70/200 = (70 ÷ 10) / (200 ÷ 10) = 7/20

Therefore, 70 cm is 7/20 of 2 m.

Drag the tiles to the boxes to form the correct pairs. Not all tiles will be used.
Points C and D divide the semicircle into three equal parts. Match the angles with their measures.
10pts!!

Answers

Where the conditions of the semicircle is given, the correct pairs are given as follows;

∠BAE = 180°

∠CAD = 60°
∠DEC = 30°
∠CAE = 120°

How are the above derived?

1) ∠BAE = 180° is explained by the principle of angles on a straight line. Note that the angles on a straight line total 180°

2) Since AC and AD are both the radius of the circle, that and they divide the semi circle in three places, thus,

the arc created by the semicircle 180° is also divided by three.

Hence,

180/3 = 60°

3)  ∠CAD = ∠ADE

Hence,

∠DEC = ∠CAD/2

∠DEC = 60/2

∠DEC = 30°


4) Recall that the semicircle is divided into three equal parts. Since

∠CAE = Two of the arcs

∠CAE = 180 * 2/3

∠CAE = 120°

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Answer:

Step-by-step explanation:

Where the conditions of the semicircle is given, the correct pairs are given as follows;

∠BAE = 180°

∠CAD = 60°

∠DEC = 30°

∠CAE = 120°

How are the above derived?

1) ∠BAE = 180° is explained by the principle of angles on a straight line. Note that the angles on a straight line total 180°

2) Since AC and AD are both the radius of the circle, that and they divide the semi circle in three places, thus,

the arc created by the semicircle 180° is also divided by three.

Hence,

180/3 = 60°

3)  ∠CAD = ∠ADE

Hence,

∠DEC = ∠CAD/2

∠DEC = 60/2

∠DEC = 30°

4) Recall that the semicircle is divided into three equal parts. Since

∠CAE = Two of the arcs

∠CAE = 180 * 2/3

∠CAE = 120°

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Let A refer to the event "an investment is made", let b(A) denote the possible benefit of the
investment and let P(A) = probability that the investment is successful. How would you interpret
the equation: b(A) x P(A).

Answers

The equation b(A) x P(A) represents the expected value or potential benefit of the investment. It takes into account both the possible benefit of the investment (b(A)) and the probability of the investment being successful (P(A)).

Essentially, it means that if an investment is made, there is a probability (P(A)) that it will be successful and yield a certain benefit (b(A)). By multiplying these two factors together, we can estimate the expected value or potential return on the investment, In this context, "an investment is made" is represented by event A. The possible benefit of the investment is denoted by b(A), and the probability that the investment is successful is represented by P(A).

The equation b(A) x P(A) represents the expected benefit of the investment, considering the probability of its success. By multiplying the possible benefit (b(A)) by the probability of success (P(A)), you are calculating the average benefit you can expect from the investment, taking into account its likelihood of success.


To put it simply, the equation b(A) x P(A) helps you evaluate the potential return of an investment, considering both its possible benefits and its chances of being successful.

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need help with all 3 questions. thanksA Norman window has the shape of a rectangle with a semicircle on top. If the perimeter of the window (in total) is 30 feet, find the exact dimensions of the rectangular part of the window so that the

Answers

The exact dimensions of the rectangular part of the window is given by the relation 8.4 x 4.2 feet

Given data ,

A Norman window has the shape of a rectangle with a semicircle on top.

The total perimeter of the figure of window is P = 30 feet

Let "a" be the half of the width of the rectangle (radius of the semicircle) and "h" be the height of the rectangle.

Now , perimeter of window P is

2a + 2h + ( 1/2 )2πa = 2h + a ( 2 + π )

Now , the value of P = 30 feet

So , 2h + a ( 2 + π ) = 30

On simplifying the equation , we get

2h = 30 - a ( 2 + π )

h = ( 30 - a ( 2 + π )) / 2

h = 15 - ( 1 + π/2 )a   be equation (1)

Now , let us find the area of the window , where A is the total area

And , A = 2ah + ( 1/2 )πa²   be equation (2)

Substituting the value of h in equation (2) , we get

A = 2a ( 15 - ( 1 + π/2 )a ) + ( 1/2 )πa²

On simplifying , we get

A = 30 - ( 2 + π/2 )a²

To find the maximum area , we need to differentiate A

So , A' = 30 - ( 4 + π )a   be equation (3)

Now , to find the dimensions of the window ,

The domain conditions are a > 0 , h > 0 and A > 0

A ( 30/( 4 + π ) ) = A ( 4.2 ) ≈ 63 feet²

And , the area of the window is maximum when a = 30/( 4 + π )

Substituting the value of a in equation (1) , we get

h = 15 - ( 1 + π/2 )a

h = 15 - ( 1 + π/2 ) ( ( 4 + π ) / 30 )

h = 2 ( 30/( 4 + π ) )

h = 8.4 feet

And , the radius of semi-circular part is 4.2 feet and height is 8.4 feet

Hence , the dimensions of the window is 8.4 x 4.2 feet

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The complete question is attached below :

A Norman window has a shape of a rectangle surmounted by a semicircle. (Thus the diameter of the semicircle is equal to the width of the rectangle.) If the perimeter of the window is 30 ft, find the dimensions of the window so that the greatest possible amount of light is admitted.

The table shows the difference colors of pencil in a pencil case. A student will randomly select one pencil from the pencil case. Based on the information in the table , which statement is true

Answers

Using probability, we can find that Probability of purple will be 4 times likely to probability of red.

Hence, option C is correct.

Describe probability?

The ability to occur is known as probability. The occurrence of random events is the subject of this branch of mathematics. The value is expressed as a number between 0 and 1. Probability has been introduced in mathematics to predict how likely events are to occur.

Here in the question,

Number of red pencils = 2

Number of purple pencils = 8

Number of blue pencils = 4

Number of green pencils = 5

Total number of pencils:

= 2 + 8 + 4 + 5

= 19

Now,

A) The statement is not true as blue is not the color that has the minimum number of pencils. Red color has the minimum number of pencils.

B) The statement is not true as there are 4 blue pencils and 5 green pencils, so probability for them will not be equal.

C) Here in this statement, purple pencils are 4 times than that of red pencils.

Red pencils = 2

Purple pencils = 8.

Probability of purple will be 4 times likely to probability of red.

So, the probability for this statement will be true.

D) The statement is not true as:

Purple pencils = 8

All others combined = 2 + 4 + 5 = 11.

So, the probability of purple will not be more than that of the rest combined.

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The complete question is:

The table shows the numbers of different colors of pencils in a pencil case. A student will randomly select one pencil from the pencil case. Based on the information in the table, which statement is true?

A) The pencil is least likely to be blue.

B) The pencil is equally likely to be blue or green.

C) The pencil is 4 times as likely to be purple as it is to be red.

D) The pencil is more likely to be purple than all other colors combined.

Number of Pencils

Red Pencils = 2

Purple Pencils=8

Blue pencils=4

Green pencils=5​

A mass of 2 kg is attached to a spring whose constant is 5 N/m. It is attached to a dashpot whose damping is numerically equal to 7 times the instantaneous velocity. Determine the equation of motion if the mass is released from a point1/2meter below the equilibrium position with an upward velocity of3 m/s

Answers

The equation of motion for the given system is:

[tex]x(t) = -1.07e^{(-2.5t)} + 0.57e^{(-t)}[/tex]

To determine the equation of motion for the given system, we can start by applying Newton's second law of motion, which states that the sum of the forces acting on an object is equal to the mass of the object times its acceleration.

Let x(t) be the displacement of the mass from its equilibrium position at time t. Then the equation of motion for the system is given by:

mx''(t) + cx'(t) + k × x(t) = 0

where m is the mass, k is the spring constant, and c is the damping coefficient.

Substituting the given values, we have:

2x''(t) + 7x'(t) + 5 × x(t) = 0

To solve this second-order linear homogeneous differential equation, we can assume a solution of the form x(t) = e^(rt), where r is a constant to be determined.

Substituting this into the equation of motion, we get:

[tex]2r^{2e}^{(rt)} + 7re^{(rt)} + 5\times e^{(rt)} = 0[/tex]

Dividing both sides by e^(rt), we get:

[tex]2r^2 + 7r + 5 = 0[/tex]

Solving for r using the quadratic formula, we get:

[tex]r = (-7 + \sqrt{(7^2 - 425)} ) / (2\times 2) = -2.5, -1[/tex]

So the general solution to the equation of motion is:

[tex]x(t) = c1e^{(-2.5t)} + c2e^{(-t)}[/tex]

where c1 and c2 are constants to be determined from the initial conditions.

Using the initial conditions given, we have:

x(0) = -0.5 m (the mass is released from a point 1/2 meter below the equilibrium position)

x'(0) = 3 m/s (the mass has an upward velocity of 3 m/s)

Differentiating the general solution with respect to time, we get:

[tex]x'(t) = -2.5 c_1 e^{(-2.5t)} - c_2\times e^{(-t)}[/tex]

Substituting t = 0 and the initial condition for x'(0), we get:

-2.5 × c1 - c2 = 3

Substituting t = 0 and the initial condition for x(0), we get:

c1 + c2 = -0.5

Solving these two equations simultaneously, we get:

c1 = -1.07 m

c2 = 0.57 m

So the particular solution to the equation of motion with the given initial conditions is:

[tex]x(t) = -1.07e^{(-2.5t)} + 0.57e^ P{(-t)}[/tex]

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if 26, 25, 21 are the sides of a triangle what is x =?

Answers

Answer:

63.22⁰

Step-by-step explanation:

the answer is in the picture. please mark mine brainliest.

hypothesis testing: group of answer choices is used in research projects based on quantitative methods. relies on sampling and significance levels. allows for type i and type ii error. is really decision making about accepting the alternative explanation or retaining the null hypothesis. all of the above.

Answers

All of the given answer choices are correct.

Hypothesis testing is a statistical tool used in research projects based on quantitative methods. It is used to evaluate two competing hypotheses about a population parameter, known as the null hypothesis and the alternative hypothesis. The null hypothesis is the hypothesis that there is no significant difference between two groups or variables, while the alternative hypothesis is the hypothesis that there is a significant difference.

To perform hypothesis testing, a sample is taken from the population of interest, and data is collected on the sample. The data is then analyzed using statistical tests, which provide evidence for or against the null hypothesis. The results of the tests are then used to make a decision about whether to accept or reject the null hypothesis.

Hypothesis testing relies on sampling, which involves selecting a representative sample from the population of interest. The significance level is also an important aspect of hypothesis testing, as it determines the likelihood of making a type I error, which is the rejection of the null hypothesis when it is actually true. Type II error, on the other hand, is the failure to reject the null hypothesis when it is actually false.

The ultimate goal of hypothesis testing is to make a decision about whether to accept or reject the alternative hypothesis, based on the evidence provided by the sample data. This decision-making process involves weighing the strength of the evidence against the null hypothesis, and deciding whether it is strong enough to reject the null hypothesis and accept the alternative hypothesis.

Therefore, all of the given answer choices are correct.

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Line segment FG begins at (-9,-5) and ends at (8,-5). The segment is translated right 10 units and down 7 units to form line segment F'G'. Enter the distance, in units, of line segment F'G'.

Answers

The distance of line segment F'G' is approximately 18.384 units.

To find the distance of line segment F'G', we need to calculate the distance between the coordinates of F' and G'.

Initially, line segment FG begins at (-9, -5) and ends at (8, -5).

To translate the segment right 10 units, we add 10 to the x-coordinates:

F' = (-9 + 10, -5) = (1, -5)

G' = (8 + 10, -5) = (18, -5)

To translate the segment down 7 units, we subtract 7 from the y-coordinates:

F' = (1, -5 - 7) = (1, -12)

G' = (18, -5 - 7) = (18, -12)

Now, we calculate the distance between F' and G' using the distance formula:

Distance = √((x₂ - x₁)² + (y₂ - y₁)²)

Distance = √((18 - 1)² + (-12 - (-5))²)

= √(17² + (-7)²)

= √(289 + 49)

= √338

≈ 18.384

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edward mows two lawns the first is 5 meters long and 5 meters wide the second one has the same length and a width that is 3 tmes as much as the first one how much is the total area of both lawns

Answers

Answer:

25 + (5 x 15) = 125

Step-by-step explanation:

Pretty sure it’s 100 meters


(5 x 5) + (5 x 15)
25 + 75
100

What happens as the value of n increases and the probability of success remains the​ same?

Answers

As the value of n increases and the probability of success remains the same, the distribution of the binomial random variable will become more focused across the expected value, that is equal to n times the probability of success.

Which means that the variance of the distribution also increases proportionally with n, even as the same old deviation increases with the rectangular root of n.

Moreover, as n becomes larger, the distribution will become more symmetric and procedures a regular distribution, because of the relevant restrict Theorem. which means the binomial distribution can be approximated by way of a normal distribution with the equal mean and variance, whilst n is satisfactorily huge.

Commonly, as n increases, the binomial distribution will become extra precise and closer to the theoretical expected value, making it a beneficial device for modeling real-world phenomena and making predictions based on opportunity.

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What are the expected return, risk premium. standard deviation, and ratio of risk premium to standard deviation for a complete portfolio with y=0.6. Assume rf=2% and rp=6% with standard deviation =20.5%? Please show your work.

Answers

To calculate the expected return, risk premium, standard deviation, and ratio of risk premium to standard deviation for a complete portfolio with y=0.6, we need to use the following formulas:

Expected return = y * rp + (1-y) * rf

Risk premium = rp - rf

Standard deviation = y * σp

Ratio of risk premium to standard deviation = (rp - rf) / σp

where rp is the expected return of the risky asset, rf is the risk-free rate, σp is the standard deviation of the risky asset, and y is the proportion of the portfolio invested in the risky asset.

Given that y=0.6, rp=6%, rf=2%, and σp=20.5%, we can calculate:

Expected return = 0.6 * 6% + 0.4 * 2% = 3.6% + 0.8% = 4.4%

Risk premium = 6% - 2% = 4%

Standard deviation = 0.6 * 20.5% = 12.3%

Ratio of risk premium to standard deviation = (6% - 2%) / 20.5% = 0.1951

Therefore, the expected return is 4.4%, the risk premium is 4%, the standard deviation is 12.3%, and the ratio of risk premium to standard deviation is 0.1951.

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In an election, suppose that 40% of voters support a new tax on fast food. If we poll 108 of these voters at random, the probability distribution for the proportion of the polled voters that support a new tax on fast food can be modeled by the normal distibution pictured below. Complete the boxes accurate to two decimal places .

Answers

The mean: 40.00%, standard deviation: 10.20% and percentage of voters who support the new tax on fast food that fall between 30.00-50.00%: 68.27%

What is deviation?

Deviation is a measure of how much a set of values or data points vary from the mean or average. It can be calculated by subtracting the mean from each individual data point, taking the absolute value of the result, and then finding the average of those values. Deviation is used in statistics to measure the spread of a data set and to compare different data sets. Deviation can also help identify outliers, or values that are far from the mean. Deviation is an important tool for understanding how data is distributed and can be used to make predictions about future data sets.

The mean of the normal distribution is 40.00%, which is the same as the proportion of voters who support the new tax on fast food. The standard deviation is 10.20%, which means that 68.27% of the polled voters will fall between 30.00-50.00% of the voters who support the new tax on fast food.

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