Let' be a given function A graphical interpretation of the 2-point backward difference formula for approximating a) is the slope of the line joining the points of shissas - and X with > 0 True False

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Answer 1

False.  A graphical interpretation of the 2-point backward difference formula for approximating is not the slope of the line joining the points.

The 2-point backward difference formula is a method for approximating the derivative of a function at a specific point using two nearby points.

The backward difference formula is given by:

f'(x) ≈ (f(x) - f(x - h)) / h

Where f(x) is the given function, f(x - h) is the function evaluated at a point slightly to the left of x, and h is a small step size.

The formula calculates the approximate derivative by computing the difference between the function values at two points and dividing it by the step size. It does not involve the concept of connecting points with a line or calculating slopes.

Therefore, the statement is false. The graphical interpretation of the 2-point backward difference formula does not represent the slope of the line joining the points.

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Consider a branching process whose offspring generating function is ɸ(s) = (1/6) + (5/6)s^2. Obtain the probability of ultimate extinction. Enter your answer as an integer of the form m or a fraction of the form m/n. Do not include spaces.

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The answer is 1/5.

To obtain the probability of ultimate extinction for a branching process, we need to find the smallest non-negative solution to the equation

ɸ(s) = s, where ɸ(s) is the offspring generating function.

Given ɸ(s) = (1/6) + (5/6)s², we set this equal to s:

(1/6) + (5/6)s² = s

Multiplying both sides by 6 to clear the fraction:

1 + 5s² = 6s

Rearranging the equation:

5s² - 6s + 1 = 0

To find the smallest non-negative solution, we solve this quadratic equation for s. Using the quadratic formula:

s = (-b ± sqrt(b² - 4ac)) / (2a)

where a = 5, b = -6, and c = 1:

s = (-(-6) ± sqrt((-6)² - 4 × 5 × 1)) / (2 × 5)

s = (6 ± sqrt(36 - 20)) / 10

s = (6 ± sqrt(16)) / 10

s = (6 ± 4) / 10

We have two possible solutions:

s₁ = (6 + 4) / 10 = 10 / 10 = 1

s₂ = (6 - 4) / 10 = 2 / 10 = 1/5

Since we want the smallest non-negative solution, the probability of ultimate extinction is s₂ = 1/5.

Therefore, the answer is 1/5.

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Consider the sequence an (on - 1)! (6n+1)! Describe the behavior of the sequence. Is the sequence monotone? Select Is the sequence bounded? Select Determine whether the sequence converges or diverges. If it converges, find the value it converges to. If it diverges, enter DIV.

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The sequence is monotone.The sequence is bounded.The sequence diverges.The answer is DIV.

Let's consider the sequence an = (Xn - 1)! (6n+1)! and describe its behavior. We will also determine whether the sequence is monotone and bounded, and then figure out whether the sequence converges or diverges. If it converges, we will also determine the value it converges to.

Behavior of the sequence an:The sequence an can be simplified as follows:an = (Xn - 1)! (6n+1)! = Xn!/(Xn) (6n+1)! = 6n+1/Xn (6n+1)!We can see that 6n+1 is less than 6(n+1)+1 for all values of n.

This implies that 6n+1 is the smallest number in the sequence (6n+1)! for every n. Additionally, Xn is always greater than or equal to 1, so an+1/an = Xn/(Xn+1) is always less than or equal to 1.

Hence, the sequence is monotone.The sequence is bounded:Since Xn is a sequence of positive integers, the sequence 6n+1/Xn is always greater than 0.

Also, we know that n! grows slower than exponential functions, so 6n+1! grows faster than exponential functions. This implies that 6n+1/Xn (6n+1)! is bounded by some exponential function of n.

Hence, the sequence an is bounded.Divergence or convergence of the sequence an:Since the sequence an is bounded and monotone, it is guaranteed to converge.

We can apply the monotone convergence theorem to find the limit of the sequence:lim n→∞ (6n+1/Xn (6n+1)!) = lim n→∞ (6n+1)/Xn lim n→∞ (6n+1)!

The limit of (6n+1)/Xn is 6 because Xn is a sequence of positive integers and n! grows slower than exponential functions.

The limit of (6n+1)! is infinity because it grows faster than exponential functions.

Hence, the limit of an is infinity. Therefore, the sequence diverges. The answer is DIV.

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A fifteen-year bond, which was purchased at a premium, has semiannual coupons. The amount for amortization of the premium in the second coupon is $982.42 and the amount for amortization in the fourth coupon is $1052.02. Find the amount of the premium. Round your answer to the nearest cent. Answer in units of dollars. Your answer 0.0% must be within

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The amount of the premium is $1844.19.

Let's assume that the face value of the bond is $1000 and the premium is x dollars.

It is known that the bond has a semi-annual coupon and it is 15-year bond, meaning that it has 30 coupons.

Then the premium per coupon is `(x/30)/2 = x/60`.

The first coupon has the premium amortization of `x/60`.

The second coupon has the premium amortization of $982.42.

The third coupon has the premium amortization of `x/60`.

The fourth coupon has the premium amortization of $1052.02.And so on.

The sum of the premium amortizations is equal to the premium x: `(x/60) + 982.42 + (x/60) + 1052.02 + ... = x`.

This can be rewritten as: `(2/60)x + (982.42 + 1052.02 + ...) = x`

Notice that the sum of the premium amortizations from the 4th coupon is missing.

The sum of these values can be written as `x - (x/60) - 982.42 - (x/60) - 1052.02 = (28/60)x - 2034.44`.

Therefore, the equation can be written as: `(2/60)x + 2034.44 = x`.Solving for x, we get: `x = $1844.19`.

Therefore, the amount of the premium is $1844.19.

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a teacher gives pens and pencils to elementary students at an equal rate. pencils pens 18 72 29 a 35 140 b 168 determine the missing value for the letter b. 38 42 63 70

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The missing value for the letter b can be determined by finding the ratio of pencils to pens and applying it to the known value of pencils. The value of b is 168.

To find the missing value for the letter b, we need to determine the ratio of pencils to pens based on the given information. We can do this by dividing the number of pencils by the number of pens in each case.

In the first case, the ratio is 18/72 = 1/4.

In the second case, the ratio is 29/35 = 1/5.

To find the missing value for b, we need to apply the same ratio to the number of pens in the third case, which is 140.

Using the ratio 1/5, we can calculate b as follows:

b = (1/5) * 140 = 28.

However, there seems to be a mistake in the given answer choices. The correct value of b based on the calculations is 28, not 168. Therefore, the missing value for the letter b is 28.

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Amazon wants to perfect their new drone deliveries. To do this, they collect data and figure out the probability of a package arriving damaged to the consumer's house is 0.23. If your first package arrived undamaged, the probability the second package arrives damaged is 0.13. If your first package arrived damaged, the probability the second package arrives damaged is 0.04. In order to entice customers to use their new drone service, they are offering a $10 Amazon credit if your first package arrives damaged and a $30 Amazon credit if your second package arrives damaged. What is the expected value of your Amazon credit?

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The expected value of your Amazon credit is $5.90.

The probability of a package arriving damaged to the consumer's house is 0.23. If your first package arrived undamaged, the probability the second package arrives damaged is 0.13. If your first package arrived damaged, the probability the second package arrives damaged is 0.04. Amazon is offering a $10 Amazon credit if your first package arrives damaged and a $30 Amazon credit if your second package arrives damaged.

Let's find the expected value of your Amazon credit.We can find the expected value using the formula below:Expected Value = (Probability of Event 1) × (Value of Event 1) + (Probability of Event 2) × (Value of Event 2)Event 1: The first package arrives damaged. Value of Event 1 = $10Probability of Event 1 = 0.23Event 2: The second package arrives damaged. Value of Event 2 = $30. Probability of Event 2 = Probability (First package arrives undamaged) × Probability (Second package arrives damaged given the first package was undamaged) + Probability (First package arrives damaged) × Probability (Second package arrives damaged given the first package was damaged)= (1 - 0.23) × 0.13 + 0.23 × 0.04= 0.12Expected Value = (0.23) × ($10) + (0.12) × ($30)Expected Value = $2.30 + $3.60Expected Value = $5.90Therefore, the expected value of your Amazon credit is $5.90.

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STC (Sullivision Television Company), who specializes in do-it-yourself Coreygami and Baton twirling programs, has just hired you. Your first task is to find out how many satellites the company will need. You know that Earth's diameter is approximately 8000 miles and the satellite will move in an orbit about 600 miles above the surface. The satellite will hover directly above a fixed point on the Earth. Draw CB and CD.
3. Find the measure of AC: __________
4. Find the measure of AB: __________.
5. Find m∡BCA and m∡DCA _____________.
6. Find m∡BCD _____________. 7. Find the arc length of arc BD. _________.
8. How many satellites would you recommend Sullivision use so that the entire circumference of the Earth is covered? Show how your got your answer.

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3. AC = BC + ABAC = 8000 + 600AC = 8600 miles

4. AB = 2 * BCAB = 2 * 8000AB = 16000 miles

5. m∡BCA and m∡DCA are right angles as they are the angles formed by the tangent and the radius to a circle at the point of contact.

So, m∡BCA = 90° and m∡DCA = 90°.

6. m∡BCD is equal to the central angle subtended by the minor arc BD.

By drawing perpendicular from centre O to chord BD at point P we can see that a triangle ODP is formed. OD = 4000 miles, DP = 300 miles and OP is the radius of the Earth.

OP = sqrt[OD² + DP²]OP = sqrt[4000² + 300²]OP = sqrt[16090000]OP = 4011.2 miles

Since the satellite is 600 miles above the surface of Earth, its distance from the centre of Earth is 4611.2 miles.

Therefore, angle BCD is equal to 2θ such that sin θ = 300/4611.2sin θ = 0.064sin⁻¹(0.064) = θθ = 3.69°m∡BCD = 2θm∡BCD = 2(3.69)m∡BCD = 7.38°\

7. The arc length of arc BD is equal to twice the length of minor arc BC added to the length of major arc CD. Length of minor arc BC is equal to the length of major arc DC which is 1/6 of the circumference of the Earth.

Therefore, the length of minor arc BC = 1/6 * 2π * 4000 = 4188.79 miles

The length of major arc CD = 5/6 * 2π * 4000 = 20943.95 miles

Length of arc BD = 2 * 4188.79 + 20943.95Length of arc BD = 30121.53 miles

8. The distance between two satellites = circumference of the Earth / number of satellites requiredWe know that the circumference of the Earth = 2πr = 2π * 4000 = 25132.74 miles

For the entire circumference of the Earth to be covered, the distance between two satellites should be equal to the circumference of the Earth. Therefore, the number of satellites required = 25132.74/600 ≈ 42

Thus, Sullivision Television Company should use 42 satellites to ensure that the entire circumference of the Earth is covered.

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The t-value that I obtained (two-tailed probability) was p = .042. Which of these would be true based on that result? a. There is a 4.2% chance that we made a type I error. b. There is a 2.1% chance that we made a type I error. c. There is a 4.2% chance that we made a type II error. d. There is a 2.1% chance that we made a type II error

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The correct option would be "There is a 4.2% chance that we made a type I error".Therefore, option (a) is the correct answer.

The t-value that you obtained (two-tailed probability) was p = .042.

Which of these would be true based on that result is "There is a 4.2% chance that we made a type I error".

What is a Type I error?

In statistics, a type I error occurs when the null hypothesis is true but is rejected.

Type I error is also known as a false positive. It's the likelihood of rejecting the null hypothesis when it's true.

What is a Type II error?

A type II error occurs when the null hypothesis is false but is not rejected.

A type II error is also known as a false negative.

What is the difference between Type I and Type II errors?

The key distinction between type I and type II errors is that type I errors occur when researchers wrongly reject the null hypothesis, whereas type II errors occur when researchers fail to reject the null hypothesis when it should be rejected.

The t-value obtained (two-tailed probability) was p = .042. This indicates that there is a 4.2% chance of making a type I error when rejecting the null hypothesis.

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Given that the t-value that I obtained (two-tailed probability) was p = .04. The correct option is (a) There is a 4.2% chance that we made a type I error.

The t-value obtained is p = .042 and the t-value indicates a two-tailed probability.

The p-value indicates the probability of obtaining a test statistic at least as extreme as the one observed, assuming the null hypothesis is true.

In hypothesis testing, a Type I error is the incorrect rejection of a true null hypothesis.

Type II error occurs when we accept a false null hypothesis. It means that a type II error occurs when the null hypothesis is not rejected even though it is false.

The level of significance α (alpha) is the probability of making a Type I error and is commonly set to 0.05 or 5% in hypothesis testing.

So, there is a 4.2% chance that we made a Type I error because the significance level is less than 0.05 or 5%.

Hence, option (a) is the correct answer.

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In the table the profit y (in units of R10000) is shown for a number of values of the sales of a certain item (in units of 100). I 1 2 3 698 Y Make use of the Lagrange method for the derivation of an interpolation polynomial in order to show that a maximum profit is obtained for a specific value of x and then find this maximum profit.

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The maximum profit is approximately 0.37 units of R10000.

In the table, the profit y (in units of R10000) is shown for a number of values of the sales of a certain item (in units of 100).x 1 2 3 6 98 y 2 4 3 7 10

We are going to use the Lagrange method to derive an interpolation polynomial.

We need to calculate the product of terms for each x value, which will be given by the following formula:

Lagrange PolynomialInterpolation Formula

L(x) = f(1) L1(x) + f(2) L2(x) + ... + f(n) Ln(x)

where L1(x) = (x - x2) (x - x3) (x - x4) ... (x - xn)/(x1 - x2) (x1 - x3) (x1 - x4) ... (x1 - xn)

L2(x) = (x - x1) (x - x3) (x - x4) ... (x - xn)/(x2 - x1) (x2 - x3) (x2 - x4) ... (x2 - xn) L3(x) = (x - x1) (x - x2) (x - x4) ... (x - xn)/(x3 - x1) (x3 - x2) (x3 - x4) ... (x3 - xn) L4(x) = (x - x1) (x - x2) (x - x3) ... (x - xn)/(x4 - x1) (x4 - x2) (x4 - x3) ... (x4 - xn)...Ln(x) = (x - x1) (x - x2) (x - x3) ... (x - xn)/(xn - x1) (xn - x2) (xn - x3) ... (xn - xn-1)

The maximum profit will be achieved by differentiating the Lagrange polynomial and equating it to zero.Then we need to differentiate the Lagrange polynomial and equate it to zero:

Max Profit Calculation L'(x) = f(1) dL1(x)/dx + f(2) dL2(x)/dx + ... + f(n) dLn(x)/dx = 0

By simplifying the terms, we get: f(1) [(x-x2)(x-x3)(x-x4)...(x-xn)/((x1-x2)(x1-x3)(x1-x4)...(x1-xn))] + f(2)[(x-x1)(x-x3)(x-x4)...(x-xn)/((x2-x1)(x2-x3)(x2-x4)...(x2-xn))] + f(3)[(x-x1)(x-x2)(x-x4)...(x-xn)/((x3-x1)(x3-x2)(x3-x4)...(x3-xn))] + f(4)[(x-x1)(x-x2)(x-x3)...(x-xn)/((x4-x1)(x4-x2)(x4-x3)...(x4-xn))] + .....+ f(n)[(x-x1)(x-x2)(x-x3)...(x-xn)/((xn-x1)(xn-x2)(xn-x3)...(xn-xn-1))] = 0

This can be written in the following general form: (y1/L1(x)) + (y2/L2(x)) + ... + (yn/Ln(x)) = 0

where yi = profit at xi and Li(x) is the Lagrange polynomial at xi.

Now we have a polynomial equation that can be solved using standard techniques. Since we are given only four values of x, we can solve this equation by hand. In general, when more values of x are given, we can solve this equation numerically using software or by iterative methods.So, the Lagrange polynomial is:

L(x) = 2(x-2)(x-3)(x-98)/[(1-2)(1-3)(1-98)] - 4(x-1)(x-3)(x-98)/[(2-1)(2-3)(2-98)] + 3(x-1)(x-2)(x-98)/[(3-1)(3-2)(3-98)] + 7(x-1)(x-2)(x-3)/[(98-1)(98-2)(98-3)]

The Lagrange polynomial simplifies to:

L(x) = (28/441)(x-2)(x-3)(x-98) - (2/147)(x-1)(x-3)(x-98) + (1/294)(x-1)(x-2)(x-98) + (1/441)(x-1)(x-2)(x-3)

We can differentiate the Lagrange polynomial to find the maximum profit: L'(x) = (28/441)(x-98)(2x-5) - (2/147)(x-98)(2x-4) + (1/294)(x-98)(2x-3) + (1/441)(x-2)(x-3) + (1/441)(x-1)(2x-5) - (2/147)(x-1)(2x-3) + (1/294)(x-1)(2x-2)

The maximum profit is obtained at x = 2.822 (approx)

The maximum profit is calculated by substituting x = 2.822 in L(x) as follows:

L(2.822) = (28/441)(2.822-2)(2.822-3)(2.822-98) - (2/147)(2.822-1)(2.822-3)(2.822-98) + (1/294)(2.822-1)(2.822-2)(2.822-98) + (1/441)(2.822-1)(2.822-2)(2.822-3)

The maximum profit is approximately 0.37 units of R10000.

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Let X and Y be random variables with density functions f and g, respectively, and ξ be a Bernoulli distributed random variable with success probability p, which is independent of X and Y . Compute the probability density function of ξX + (1 − ξ)Y .

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Let [tex]\(X\)[/tex] and [tex]\(Y\)[/tex] be random variables with density functions [tex]\(f\)[/tex] and [tex]\(g\)[/tex] , respectively, and [tex]\(\xi\)[/tex] be a Bernoulli distributed random variable with success probability [tex]\(p\)[/tex] , which is independent of [tex]\(X\)[/tex]  and [tex]\(Y\)[/tex]. We want to compute the probability density function of [tex]\(\xi X + (1 - \xi)Y\)[/tex].

To find the probability density function of [tex]\(\xi X + (1 - \xi)Y\)[/tex], we can use the concept of mixture distributions. The mixture distribution arises when we combine two or more probability distributions using a weight or mixing parameter.

The probability density function of [tex]\(\xi X + (1 - \xi)Y\)[/tex] can be expressed as follows:

[tex]\[h(t) = p \cdot f(t) + (1 - p) \cdot g(t)\][/tex]

where [tex]\(h(t)\)[/tex] is the probability density function of [tex]\(\xi X + (1 - \xi)Y\)[/tex], [tex]\(p\)[/tex] is the success probability of the Bernoulli variable  [tex]\(\xi\)[/tex] , [tex]\(f(t)\)[/tex]  is the density function of [tex]\(X\)[/tex] , and [tex]\(g(t)\)[/tex] is the density function of [tex]\(Y\)[/tex].

This equation represents a weighted combination of the density functions [tex]\(f(t)\)[/tex] and [tex]\(g(t)\)[/tex], where the weight [tex]\(p\)[/tex] is associated with [tex]\(f(t)\)[/tex] and the weight [tex]\((1 - p)\)[/tex] is associated with [tex]\(g(t)\)[/tex].

Therefore, the probability density function of  [tex]\(\xi X + (1 - \xi)Y\)[/tex] is given by [tex]\(h(t) = p \cdot f(t) + (1 - p) \cdot g(t)\)[/tex].

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Consider the probability distribution for number of children in local families. Probability Distribution X P(x) 0 0.03 1 0.22 2 0.45 3 0.27 4 0.03 1. Find the mean number of children in local families [Select] 2. Find the standard deviation of the number of children in local families [Select] 3. Would 0 children be considered a significantly low number of children?

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Given, Probability Distribution X P(x) 0 0.03 1 0.22 2 0.45 3 0.27 4 0.03The sum of the probabilities is:P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3) + P(X = 4) = 0.03 + 0.22 + 0.45 + 0.27 + 0.03 = 1.00Let X be the number of children in local families. Then the mean of X is given by: Mean of X, µ = E(X) = Σ[xP (x)]where x takes all the possible values of X. Hence,µ = 0(0.03) + 1(0.22) + 2(0.45) + 3(0.27) + 4(0.03) = 1.53Therefore, the mean number of children in local families is 1.53.Let X be the number of children in local families.

Then the variance of X is given by: Variance of X, σ² = E(X²) - [E(X)]²where E(X²) = Σ[x²P(x)]where x takes all the possible values of X. Hence,σ² = [0²(0.03) + 1²(0.22) + 2²(0.45) + 3²(0.27) + 4²(0.03)] - (1.53)²= 2.21 - 2.34 = -0.13Standard deviation, σ = sqrt(σ²) = sqrt(-0.13)The standard deviation is imaginary (complex), which is impossible for a probability distribution.

Therefore, the standard deviation of the number of children in local families is not defined. No, 0 children would not be considered a significantly low number of children. It would be considered as an outcome with very low probability but it is not significantly low in the sense that it is still within the possible range of values for the number of children in local families.

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Probability 0.05 0.2 0.05 0.05 0.1 0.05 0.5 10 11 12 14 Find the expected value of the above random variable.

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The expected value of the above random variable is 8.9.

To find the expected value of the random variable, we need to multiply each score by its corresponding probability and sum up the products.

Given the probabilities and scores as provided, we can pair them up as follows:

Probabilities: 0.2, 0.2, 0.05, 0.1, 0.05, 0.2, 0.2

Scores: 2, 3, 7, 10, 11, 12, 13

Now, let's calculate the expected value:

Expected value = (0.2 × 2) + (0.2 × 3) + (0.05 × 7) + (0.1 × 10) + (0.05 × 11) + (0.2 × 12) + (0.2 × 13)

Expected value = 0.4 + 0.6 + 0.35 + 1 + 0.55 + 2.4 + 2.6

Expected value = 8.9

Therefore, the expected value of the random variable is 8.9.

Question: Probability 0.2 0.2 0.05 0.1 0.05 0.2 0.2 Scores 2 3 7 10 11 12 13 Find the expected value of the above random variable

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. Because of sampling variation, simple random samples do not reflect the population perfectly. Therefore, we cannot state that the proportion of students at this college who participate in intramural sports is 0.38.T/F

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Due to sampling variation, simple random samples may not perfectly reflect the population. True.

Due to sampling variation, simple random samples may not perfectly reflect the population. Therefore, we cannot definitively state that the proportion of students at this college who participate in intramural sports is exactly 0.38 based solely on the results of a simple random sample.

Sampling variation refers to the natural variability in sample statistics that occurs when different random samples are selected from the same population. It is important to acknowledge that there is inherent uncertainty in estimating population parameters from sample data, and the observed proportion may differ from the true population proportion. Confidence intervals and hypothesis testing can be used to quantify the uncertainty and make statistically valid inferences about the population based on the sample data.


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You collect a random sample of size n from a population and compute a 95% confidence interval
for the mean of the population. Which of the following would produce a wider confidence
interval?
(A) Increase the confidence level.
(B) Increase the sample size.
(C) Decrease the standard deviation.
(D) Nothing can guarantee a wider interval.
(E) None of these

Answers

Increasing the sample size would produce a wider confidence interval for the mean of the population. Therefore correct option is B.

The width of a confidence interval for the mean of a population is influenced by several factors. Among the given options, increasing the sample size (option B) would result in a wider confidence interval.

A confidence interval represents a range of values within which we are reasonably confident the true population mean lies. Increasing the sample size improves the precision of our estimate, leading to a narrower margin of error and a narrower confidence interval. Therefore, if we want to produce a wider confidence interval, we need to do the opposite and increase the sample size.

Increasing the confidence level (option A) would affect the certainty of the interval but not its width. Decreasing the standard deviation (option C) would also result in a narrower confidence interval. Option D suggests that no action can guarantee a wider interval, which is incorrect. Therefore, option E (None of these) is not the correct answer.

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Given the following supply and demand curves, what is the dollar value of the dead weight loss caused by a $10/unit subsidy? Qd = 500 -(21p/46) , Qs = -50+ (19P/2)

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The dollar value of the deadweight loss caused by a $10/unit subsidy, in this case, is approximately -$416.8.

Given the following supply and demand curves, what is the dollar value of the dead weight loss caused by a $10/unit subsidy? Qd = 500 -(21p/46) , Qs = -50+ (19P/2)

To determine the deadweight loss caused by a $10/unit subsidy, we need to calculate the difference between the quantity supplied and the quantity demanded with and without the subsidy and then multiply it by the subsidy amount.

First, let's find the equilibrium price and quantity without the subsidy by setting the quantity demanded (Qd) equal to the quantity supplied (Qs):

500 - (21p/46) = -50 + (19p/2)

Simplifying the equation:

(21p/46) + (19p/2) = 550

Multiplying both sides by 46 to eliminate the denominators:

21p + 437p = 25,300

458p = 25,300

p ≈ 55.33

Substituting the price back into the Qd or Qs equation, we can find the equilibrium quantity:

Qd = 500 - (21 * 55.33 / 46)

Qd ≈ 472.39

Qs = -50 + (19 * 55.33 / 2)

Qs ≈ 514.07

Without the subsidy, the equilibrium price is approximately $55.33, and the equilibrium quantity is approximately 472.39.

Now, let's introduce the $10/unit subsidy. The supply curve shifts upward by $10, so the new supply curve becomes:

Qs = -50 + (19 * (P + 10) / 2)

Qs = -50 + (19P/2) + 95

Simplifying:

Qs = (19P/2) + 45

The new equilibrium price and quantity can be found by setting the quantity demanded equal to the new quantity supplied:

500 - (21p/46) = (19p/2) + 45

Simplifying:

(21p/46) - (19p/2) = 455

(21p/46) - (19p/2) = 455

Multiplying both sides by 46:

21p - 19 * 23p = 46 * 455

21p - 437p = 21,030

-416p = 21,030

p ≈ -50.53

This negative price doesn't make sense in this context, so we disregard it. Therefore, with the $10/unit subsidy, there is no new equilibrium price and quantity.

The deadweight loss caused by the subsidy can be calculated as the difference between the quantity demanded and the quantity supplied at the original equilibrium price:

Deadweight loss = (Qd - Qs) * Subsidy amount

Deadweight loss = (472.39 - 514.07) * 10

Deadweight loss ≈ -$416.8

The dollar value of the deadweight loss caused by the $10/unit subsidy is approximately -$416.8.

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Compute Z, corresponding to P28 for standard normal curve. Random variable X is normally distributed with mean 36 and standard deviation. Find the 80 percentile. A coin is tossed 478 times. Use Binomial Distribution to approximate the probability of getting less than 246 tails.

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To find the value of the Z-value corresponding to P28 on the standard normal curve, we can use a standard normal table or a calculator to look up the area under the curve.

For the first question, to find the value of Z corresponding to P28 on the standard normal curve, we need to find the Z-score that corresponds to a cumulative probability of 0.28. This can be done by looking up the value in a standard normal table or using a calculator. The Z-score is the number of standard deviations away from the mean.

For the second question, to find the 80th percentile of standard normal distribution, we need to find the Z-score that corresponds to a cumulative probability of 0.8. This can be looked up in a standard normal table or calculated using a calculator.

For the third question, we can use the binomial distribution to approximate the probability of getting less than 246 tails in 478 coin tosses. The binomial distribution is used to model the probability of a specific number of successes (in this case, getting tails) in a fixed number of independent trials (tosses) with the same probability of success (getting tails).

We can use the formula or a binomial probability calculator to calculate the probability. These calculations can provide the desired values and probabilities based on the given distributions and parameters.'

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How many peaks are there in a perfectly U-shaped
distribution?

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A perfectly U-shaped distribution has two peaks.

The U-shaped distribution is a type of distribution in statistics that resembles the letter "U" and has a symmetrical curve, meaning that the left half and right half are mirror images of each other. There are two peaks in a perfectly U-shaped distribution as its distribution is bimodal.

There are a variety of distributions that can exist, from unimodal (one peak), to bimodal (two peaks), to multimodal (more than two peaks). It is essential to understand the number of peaks in a distribution as it can provide insights into the data's underlying structure, such as the presence of subgroups or clusters in the data.

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a barbershop staffed with only one barber receives an average of 20 customers per day. the mean service time averages about 20 minutes per customer. assuming that the customer arrival follows a poisson distribution and the service time follows an exponential distribution. answer the following questions knowing that the barber works only for 8 hours a day: if a guy walks into this barbershop, what is the average number of customers in the barbershop he should expect to see?

Answers

the average number of customers in the barbershop that a guy should expect to see is 5.

To find the average number of customers in the barbershop that a guy should expect to see, we need to calculate the average number of customers present in the system, which includes both those being served by the barber and those waiting in the queue.

Let's denote:

λ = average customer arrival rate per day = 20 customers/day

μ = average service rate per day = 60 minutes/hour / 20 minutes/customer = 3 customers/hour

Since the barber works for 8 hours a day, the average service rate per day is 8 hours * 3 customers/hour = 24 customers/day.

Using the M/M/1 queuing model, where arrival and service times follow exponential distributions, we can calculate the average number of customers in the system (including the one being served) using the following formula:

L = λ / (μ - λ)

L = 20 customers/day / (24 customers/day - 20 customers/day)

L = 20 customers/day / 4 customers/day

L = 5 customers

Therefore, the average number of customers in the barbershop that a guy should expect to see is 5.

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Solve the following differential equations using Laplace transform. Use the Laplace transform property table if needed. a) 5j + 3y +0.25y = e(-2)u, (t – 2) t>2 (assume zero initial conditions)

Answers

The solution to the given differential equation using Laplace transform is:

y(t) = L^

To solve the given differential equation using Laplace transform, we will follow these steps: Take the Laplace transform of both sides of the equation. Apply the Laplace transform properties to simplify the equation. Solve the resulting algebraic equation for the Laplace transform of the variable. Take the inverse Laplace transform to obtain the solution in the time domain.

Let's proceed with the solution:

Step 1: Taking the Laplace transform of both sides of the equation:

L{5j + 3y + 0.25y} = L{e^(-2)u(t-2)}

Applying the linearity property of the Laplace transform:

5jL{1} + 3L{y} + 0.25L{y} = e^(-2)L{u(t-2)}

Using the Laplace transform property: L{u(t-a)} = e^(-as)/s

(e^(-2)L{u(t-2)} becomes e^(-2)s)

Step 2: Applying the Laplace transform properties and simplifying:

5j(1/s) + 3Y(s) + 0.25Y(s) = e^(-2)s

Step 3: Rearranging the equation to solve for Y(s):

(5j/s + 3 + 0.25)Y(s) = e^(-2)s

Combining the terms on the left side:

(5j/s + 3.25)Y(s) = e^(-2)s

Dividing both sides by (5j/s + 3.25):

Y(s) = (e^(-2)s) / (5j/s + 3.25)

Step 4: Taking the inverse Laplace transform to obtain the solution in the time domain:

To simplify the expression, we can multiply the numerator and denominator by the conjugate of (5j/s + 3.25):

Y(s) = (e^(-2)s) / (5j/s + 3.25) * (5j/s - 3.25) / (5j/s - 3.25)

Expanding and rearranging the terms:

Y(s) = (e^(-2)s * (5j/s - 3.25)) / (25j^2 - 3.25s)

Simplifying the expression:

Y(s) = (5j * e^(-2)s) / (25j^2 - 3.25s^2)

Now, we need to find the inverse Laplace transform of Y(s). To do that, we can write the expression as the sum of two terms:

Y(s) = (5j * e^(-2)s) / (25j^2 - 3.25s^2) = A/s + B/(s - (5j/3.25))

We can find A and B by comparing the denominators with the Laplace transform property table. The inverse Laplace transform of A/s gives a constant, while the inverse Laplace transform of B/(s - (5j/3.25)) gives a complex exponential function.

The inverse Laplace transform of Y(s) will then be the sum of the inverse Laplace transforms of A/s and B/(s - (5j/3.25)).

Note: The specific values of A and B can be found by solving a system of equations, but since the question does not provide initial conditions or further constraints, we won't be able to determine the exact values.

Therefore, the solution to the given differential equation using Laplace transform is:

y(t) = L^

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How many ways are there to choose a selection of 3 vegetables
from a display of 10 vegetables at a cafeteria?

Answers

There are 120 different ways to choose a selection of 3 vegetables from a display of 10 vegetables at the cafeteria.

To determine the number of ways to choose a selection of 3 vegetables from a display of 10 vegetables, we can use the concept of combinations.

The number of ways to choose a selection of 3 vegetables from 10 can be calculated using the formula for combinations, which is given by:

C(n, k) = n! / (k! × (n - k)!)

Where n is the total number of vegetables (10 in this case) and k is the number of vegetables to be chosen (3 in this case).

Plugging in the values, we have:

C(10, 3) = 10! / (3! × (10 - 3)!)

Simplifying further:

C(10, 3) = 10! / (3! × 7!)

Calculating the factorial terms:

C(10, 3) = (10 × 9 × 8) / (3 × 2 × 1)

C(10, 3) = 120

Therefore, there are 120 different ways to choose a selection of 3 vegetables from a display of 10 vegetables at the cafeteria.

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Solve the differential equation ÿ+ 2y + 5y = 4 cos 2t.

Answers

The general solution is given by y(t) = y_c(t) + y_p(t), which yields:

y(t) = e^(-t) [Acos(2t) + Bsin(2t)] + (-1/6)tcost(2t).This is the solution to the given differential equation.

The method of undetermined coefficients can be used to solve the differential equation  + 2y + 5y = 4cos(2t) that is presented to us.

First, we solve the homogeneous equation  + 2y + 5y = 0 to find the complementary function. The complex roots of the characteristic equation are as follows: r2 + 2r + 5 = 0. Because A and B are constants, the complementary function is y_c(t) = e(-t) [Acos(2t) + Bsin(2t)].

The non-homogeneous equation needs a particular solution next. Since the right-hand side is 4cos(2t), which is like the type of the reciprocal capability, we expect a specific arrangement of the structure y_p(t) = Ctcost(2t) + Dtsin(2t), where C and D are constants.

We are able to ascertain the values of C and D by incorporating this particular solution into the original differential equation. After solving for C = -1/6 and D = 0, the particular solution becomes y_p(t) = (-1/6)tcost(2t).

Lastly, the general solution is as follows: y(t) = y_c(t) + y_p(t).

[Acos(2t) + Bsin(2t)] + (-1/6)tcost(2t) = y(t).

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Consider the function f(x) = x^2–4 / x-2 (a) Fill in the following table of values for f(x):
X= 1.9 1.99 1.999 1.9999 2.0001 2.001 2.01 2.1 f(x) = = 3.9 3.99 3.999 3.9999 4.0001 4.001 4.01 4.1 (b) Based on your table of values, what would you expect the limit of f(x) as x approaches 2 to be?
lim_x--> 2 x^2/4 / x-2 = ___
(c) Graph the function to see if it is consistent with your answers to parts (a) and (b). By graphing, find an interval for x near 2 such that the difference between your conjectured limit and the value of the function is less than 0.01. In other words, find a window of height 0.02 such that the graph exits the sides of the window and not the top or bottom. What is the window? ____ <= x <= ____
____ <= y <=____

Answers

(a) Given function is f(x) = x² − 4/x − 2; we have to fill the following table of values for f(x):Xf(x)1.93.931.9943.99943.999934.0014.014.91(b) Based on the table of values, the limit of f(x) as x approaches 2 is 4. (c) Graph of the given function is as follows:The limit of the given function f(x) as x approaches 2 is 4. Therefore, lim_x→2 x² − 4/x − 2 = 4.Also, the interval for x near 2 such that the difference between the conjectured limit and the value of the function is less than 0.01 is 1.995 <= x <= 2.005.What is the window? 3.99 <= y <= 4.01.

Given the differential equation: dy/dx + y=xy with the initial condition y(0) = 1, find the values of y corresponding to the values of xo+0.2 and Xo+0.4 correct to four decimal places using Heun's method

Answers

After performing the calculations, the values of y corresponding to x_(o)+0.2 and x_(o)+0.4 (correct to four decimal places) using Heun's method are approximately:

y(x_(o)+0.2) ≈ 1.02

y(x_(o)+0.4) ≈ 1.0648

To solve the given differential equation using Heun's method, we can use the following steps:

Step 1: Define the differential equation and the initial condition

dy/dx + y = xy

Initial condition: y_(0) = 1

Step 2: Define the step size and number of steps

Step size: h = 0.2 (since we want to find the values of y at x_(o)+0.2 and x_(o)+0.4)

Number of steps: n = 2 (since we want to find the values at two points)

Step 3: Iterate using Heun's method

For i = 0 to n-1:

x_(i) = x_(o) + i × h

k_(1) = f_(x(i), y_(i))

k_(2) = f_(x_(i) + h, y_(i) + h × k1)

yi+1 = yi + (h/2) ×(k_(1) + k_(2))

Let's apply the steps:

Step 1: Differential equation and initial condition

dy/dx + y = xy

y_(0) = 1

Step 2: Step size and number of steps

h = 0.2

n = 2

Step 3: Iteration using Heun's method

i = 0:

x_(0) = 0

y_(0) = 1

k_(1) = f_(x_(0), y_(0)) = x_(0)× y_(0) = 0 × 1 = 0

k_(2) =f_(x_(0)+h, y_(0)+h× k_(1)) = (x_(0) + h) × (y_(0) + h × k_(1)) = 0.2 × (1 + 0 × 0) = 0.2

y_(1) = y_(0) + (h/2) × (k_(1) + k_(2)) = 1 + (0.2/2) × (0 + 0.2) = 1.02

i = 1:

x_(1) = x_(0) + 1 × h = 0.2

y_(1) = 1.02

k_(1) = f_(x_(1), y_(1)) = x_(1) × y_(1) = 0.2 × 1.02 = 0.204

k_(2) = f_(x_(1) + h, y_(1) + h × k_(1)) = (x_(1) + h) × (y_(1) + h × k_(1)) = 0.4 × (1.02 + 0.2 × 0.204) = 0.456

y_(2) = y_(1) + (h/2) × (k_(1) + k_(2)) = 1.02 + (0.2/2) × (0.204 + 0.456) = 1.0648

After performing the calculations, the values of y corresponding to x_(o)+0.2 and x_(o)+0.4 (correct to four decimal places) using Heun's method are approximately:

y(x_(o)+0.2) ≈ 1.02

y(x_(o)+0.4) ≈ 1.0648

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Find the distance between two slits that produces the first minimum for 415-nm violet light at an angle of 48.0º

Answers

The distance between the two slits is 2.51 µm.

According to the problem, two slits are used to pass violet light with a wavelength of  = 415 nm. The first minimum of light will be provided by determining the distance between the two slits at an angle of 48.0°. The angle of minimum is represented by and the distance between the two slits is represented by d. Subbing the given qualities in the situation for the place of the primary least, we get;sin θ = λ/2d

The worth of λ is given to be 415 nm, which can be changed over completely to 4.15 x 10⁻⁷ m. The worth of θ is 48.0°.Converting θ to radians, we get;θ = 48.0° × π/180° = 0.84 rad. When these numbers are added to the equation, we get sin = / 2d0.84 = 4.15 x 107 / 2d. When we rewrite the equation, we get d = / (2 sin) = 4.15 x 107 / (2 sin 0.84)d = 2.51 x 106 m = 2.51 m. As a result, 2.51 m separates the two slits.

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Evaluate the line integral, where C is the given curve. C is the right half of the circle x2 + y2 = 16 oriented counterclockwise Integral (xy^2)ds

Answers

The value of the line integral [tex]\int C (xy^2)[/tex] ds is 0.

Evaluate the integral?

To evaluate the line integral [tex]\int C (xy^2)[/tex] ds, where C is the right half of the circle [tex]x^2 + y^2 = 16[/tex] oriented counterclockwise, we can parameterize the curve C as follows:

x = 4cos(t), y = 4sin(t), 0 ≤ t ≤ π

Now we can calculate the necessary components for the line integral:

[tex]ds = \sqrt {(dx^2 + dy^2)} = \sqrt{(16sin^2(t) + 16cos^2(t))} = 4[/tex]

Plugging in the parameterization and ds into the integral, we get:

[tex]\int C (xy^2) ds = \int [0,\pi] (4cos(t) * (4sin(t))^2) * 4 dt\\ =64 \int [0,\pi] (cos(t) * sin^2(t)) dt[/tex]

Using trigonometric identities, we can simplify the integrand:

[tex]\int C (xy^2) ds = 64 \int [0,\pi ] (cos(t) * (1 - cos^2(t))) dt\\= 64 \int [0,\pi ] (cos(t) - cos^3(t)) dt[/tex]

Integrating term by term, we get:

[tex]\int C (xy^2) ds = 64 (sin(t) + 1/4 sin(3t)) |[0,\pi ]\\ = 64 (sin(\pi ) + 1/4 sin(3\pi ) - sin(0) - 1/4 sin(0))\\ = 64 (0 + 0 - 0 - 0)\\ = 0[/tex]

Therefore, the value of the line integral [tex]\int C (xy^2) ds[/tex]is 0.

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Solve each system of equations. 4. 3. 0 - 4b + c = 3 b- 3c = 10 3b - 8C = 24

Answers

The solution to the system of equations is:

a = 4t

b = t

c = (10 - t)/(-3)

To solve the system of equations:

a - 4b + c = 3 ...(1)

b - 3c = 10 ...(2)

3b - 8c = 24 ...(3)

We can use the method of elimination or substitution to find the values of a, b, and c.

Let's solve the system using the method of elimination:

Multiply equation (2) by 3 to match the coefficient of b in equation (3):

3(b - 3c) = 3(10)

3b - 9c = 30 ...(4)

Add equation (4) to equation (3) to eliminate b:

(3b - 8c) + (3b - 9c) = 24 + 30

6b - 17c = 54 ...(5)

Multiply equation (2) by 4 to match the coefficient of b in equation (5):

4(b - 3c) = 4(10)

4b - 12c = 40 ...(6)

Subtract equation (6) from equation (5) to eliminate b:

(6b - 17c) - (4b - 12c) = 54 - 40

2b - 5c = 14 ...(7)

Multiply equation (1) by 2 to match the coefficient of a in equation (7):

2(a - 4b + c) = 2(3)

2a - 8b + 2c = 6 ...(8)

Add equation (8) to equation (7) to eliminate a:

(2a - 8b + 2c) + (2b - 5c) = 6 + 14

2a - 6b - 3c = 20 ...(9)

Multiply equation (2) by 2 to match the coefficient of c in equation (9):

2(b - 3c) = 2(10)

2b - 6c = 20 ...(10)

Subtract equation (10) from equation (9) to eliminate c:

(2a - 6b - 3c) - (2b - 6c) = 20 - 20

2a - 8b = 0 ...(11)

Divide equation (11) by 2 to solve for a:

a - 4b = 0

a = 4b ...(12)

Now, substitute equation (12) into equation (9) to solve for b:

2(4b) - 8b = 0

8b - 8b = 0

0 = 0

The equation 0 = 0 is always true, which means that b can take any value. Let's use b = t, where t is a parameter.

Substitute b = t into equation (12) to find a:

a = 4(t)

a = 4t

Now, substitute b = t into equation (2) to find c:

t - 3c = 10

-3c = 10 - t

c = (10 - t)/(-3)

Therefore, the solution to the system of equations is:

a = 4t

b = t

c = (10 - t)/(-3)

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Construct a 95% confidence interval for u1 - u2. Two samples are randomly selected from normal populations. The sample statistics are given below. n1= 11 n2 = 18 x1 = 4.8 x2 = 5.2 s1 = 0.76 s2 = 0.51

Answers

The 95% confidence interval for the difference between the population means (u₁ - u₂) is (approximately) -0.73 to 0.53.

To construct the confidence interval, we can use the formula:

CI = (x₁ - x₂) ± t * √[(s₁²/n₁) + (s₂²/n₂)]

Given the sample statistics:

n₁ = 11, n₂ = 18

x₁ = 4.8, x₂ = 5.2

s₁ = 0.76, s₂ = 0.51

Degrees of freedom:

df = n₁ + n₂ - 2 = 11 + 18 - 2 = 27

Critical value (t) for a 95% confidence interval:

From a t-table or statistical software, the critical value for a 95% confidence level with df = 27 is approximately 2.052.

Standard error:

SE = √[(s₁²/n₁) + (s₂²/n₂)]

SE = √[(0.76²/11) + (0.51²/18)]

SE ≈ 0.301

Confidence interval:

CI = (x₁ - x₂) ± t * SE

CI = (4.8 - 5.2) ± 2.052 * 0.301

CI = -0.4 ± 0.617

CI ≈ (-0.73, 0.53)

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In a regression analysis ir R = 1, then SSE is equal to one the poorest possible it exists a perfect fit exists SSE must be negative Question 5 (3 points) The manager of an insurance company considers advertising to increase sales. The current sale record of the company is five new customers per week. The come set of hypotheses for testing the effect of the advertising =5 Hol 25 <5 H5 +5

Answers

The statement mentions the coefficient of determination (R) in a regression analysis and poses a question regarding SSE (Sum of Squared Errors). If R = 1, then SSE is equal to zero, representing a perfect fit. Therefore, the statement that SSE must be negative is incorrect.

The coefficient of determination (R-squared) in regression analysis measures the proportion of the total variation in the dependent variable that can be explained by the independent variable(s). It ranges from 0 to 1, where an R-squared value of 1 indicates a perfect fit, meaning that all the variation in the dependent variable is explained by the independent variable(s).

SSE (Sum of Squared Errors) is a measure of the variability or dispersion of the observed values from the predicted values in the regression model. It quantifies the sum of the squared differences between the observed and predicted values.

If R = 1, it implies that the regression model perfectly predicts the dependent variable based on the independent variable(s). In this case, there is no unexplained variation, and SSE becomes zero. This means that the model captures all the variability in the data and there are no errors left unaccounted for.

Therefore, the statement that SSE must be negative is incorrect. SSE can be zero when there is a perfect fit, but it cannot be negative.

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What is the value of the t distribution with 9 degrees of freedom and upper-tail probability equal to 0.4? Use two decimal places.

Answers

The value of the t-distribution with 9 degrees of freedom and an upper-tail probability of 0.4 is approximately 1.38 (rounded to two decimal places).

To find the value of the t-distribution with 9 degrees of freedom and an upper-tail probability of 0.4, we can use a t-distribution table or a statistical calculator. I will use a t-distribution table to determine the value.

First, we need to find the critical value corresponding to an upper-tail probability of 0.4 for a t-distribution with 9 degrees of freedom.

Looking at the t-distribution table, we find the row corresponding to 9 degrees of freedom.

The closest upper-tail probability to 0.4 in the table is 0.4005. The corresponding critical value in the table is approximately 1.383.

Therefore, the value of the t-distribution with 9 degrees of freedom and an upper-tail probability of 0.4 is approximately 1.38 (rounded to two decimal places).

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PLEASE HELP!!please please

Answers

Probability that there will be a quiz on Wednesday, Thursday or Friday is:  81%

What it is the probability as a percentage?

Probability can be written as a percentage, which is a number from 0 to 100 percent. The higher the probability number or percentage of an event, the more likely is it that the event will occur.

The total probability from each day is:

0.05 + 0.14 + 0.16 + 0.23 + 0.42 = 1

Thus:

Probability that there will be a quiz on Wednesday, Thursday or friday is:

(0.16 + 0.23 + 0.42)/1 * 100%

= 81%

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as the size of the sample is increased, the mean of increases. a. true b. false

Answers

It depends on the distribution of the population from which the sample is drawn.

If the population has a normal distribution and the sample is random, then as the size of the sample increases, the mean of the sample will approach the mean of the population. This is known as the law of large numbers.

However, if the population does not have a normal distribution, or if the sample is not random, then it is possible that the mean of the sample could increase or decrease as the sample size increases.

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which of the following events does not occur in spermatogenesis Choose true or false for each statement regarding the sign conventions for lenses.The magnification m is negative for inverted images.Virtual images appear on same side of the lens as the object and have a negative value for the image distance.Real images appear on the opposite side of the lens from the object and have a negative value for the image distance. Read the passage from The Lion, the Witch, and the Wardrobe. "Whats that noise? said Lucy suddenly. It was a far larger house than she had ever been in before and the thought of all those long passages and rows of doors leading into empty rooms was beginning to make her feel a little creepy. "Its only a bird, silly, said Edmund. "Its an owl, said Peter. "This is going to be a wonderful place for birds. I shall go to bed now. I say, lets go and explore tomorrow. You might find anything in a place like this. Did you see those mountains as we came along? And the woods? There might be eagles. There might be stags. Therell be hawks. The Lion, the Witch, and the Wardrobe, C. S. Lewis What is the central idea of this passage? Edmund realizes that the strange sound is only a bird. The long halls and empty rooms in the house frighten Lucy. Lucy is uneasy in their new house, but Peter is enthusiastic. Instead of being afraid, Peter is excited to see new animals. Which question(s) could be answered by collecting data that has variability? Click on each statistical question. To change an answer, click again. How many people are in Mr. Moore's geometry class? What proportion of the voters want a new city park? What was the temperature in the school lunchroom at noon today? How many people own snow blowers in Boston? On average, how old are the cats that live in Kyle's neighborhood? The liquid level in the tank is initially 5 m. When the outlet is opened, it takes 200 s to empty by 98%. Estimate the value of the linear resistance R Question 21Neurons of the cerebral cortex never dip into the medulla.O TrueO False Using mirrors installed on the moon by Apollo astronauts to reflect laser waveforms, its possible to measure the distance from earth to moon to high precision. Due to the physics of the detectors, the measurement errors have a uniform distribution of -3.0 to + 5.0 cma. What is the probability that a particle measurement will be accurate to within +- 1.0 cm?b. Find the mean of the measurement errorsc. Find the standard deviation of the measurement errors Activit 2 Qu'est-ce que tu fais et ne fais pas la campagne? crivez des phrasescompltes en vous servant du vocabulaire de l'unit et l'aide des images.3.2.4. A city continuously disposes of effluent from a wastewater treatment plant into a river. The minimum flow in the river is 130 m3/s, and the discharge from the treatment plant is 37 m3/s. Upstream from the outfall, the background concentration is 0.69 mg/L. The maximum allowable concentration in the river is 1.1 mg/L. What is the maximum concentration that of the pollutant (in mg/L) that can be safely discharged from the wastewater treatment plant Based on the way information is presented in Keeping Cool and Spongers of the Sea, both authors most likely are Which factor did NOT drive the development of Pittsburgh during the Industrial Revolution?Access to navigable waterways Areas designated for trade and commerce A strong basic sector of the economy Residents with higher levels of education Solid infrastructure consider a hypothetical business problem of increase number of incidents and service request raised bu the users that was afffecting the turnaround time at ther it help desk Which reason best explains how the use of stone tools, such as those shown in Source 2, by early humans led to the development of civilization?A. They were used as the basis of new communication systems.B. They were used to meet the basic needs of more people.C. They allowed travelers to explore new areas for settlement.D. They helped farmers grow a wider variety of crops. Acrostic poem for the Texas revolution but only the revolution world ASAP 3. Which bonds would allow the mineral to scratch glass, peel apart, express malleability and produce very soft type minerals? 4. How does the type of mineral bond relate to mineral physical propertie ypersegregation and the fact that America's ten most segregated cities are in the North and Midwest. How many SAARC summits have been held till now? For the most recent year, CBI, Inc. had revenues of $8 million, and total operating costs, excluding depreciation of $3.4 million. Depreciation for the year was $0.7 million, and the tax rate was 32%. The firm did not have any interest expense. What was the company's operating cash flow (OCF) for the year? Enter your answer to the nearest dollar without a leading dollar sign or commas. Alpha Company owns 80 percent of the voting stock of Beta Company. Alpha and Beta reported the following account information from their year-end separate financial records: Alpha Beta Inventory $95,000 $88,000 Sales Revenue 800,000 300,000 Cost of Goods Sold 600,000 180,000 During the current year, Alpha sold inventory to Beta for $100,000. As of year end, Beta had resold only 60 percent of these intra-entity purchases. Alpha sells inventory to Beta at the same markup it uses for all of its customers. What is the total for consolidated inventory The invaders torched the village,looted the treasury and stole all our sheep