SQL A. Is portable among different implementations B. Is object oriented C. Is better than NoSQL D. Is based on relational algebra

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Answer 1

SQL (Structured Query Language) is a widely used language for managing relational databases. It is portable among different implementations and based on relational algebra.

SQL is a language designed for managing and manipulating structured data in relational databases. It provides a standardized way to interact with databases and perform various operations such as querying, inserting, updating, and deleting data. One of the advantages of SQL is its portability, meaning that SQL code can be written to work with different database management systems (DBMS) as long as they support the SQL standard. This portability allows for easy migration of databases between different systems.

SQL is based on relational algebra, which is a mathematical framework for working with relational databases. It defines operations and rules for manipulating relations (tables) and performing relational queries. The foundations of SQL are rooted in the principles of relational algebra, providing a solid basis for database management.

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Related Questions

Please can someone help me?

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Answer:

Step-by-step explanation:

Use the image provided to answer please​

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B? I’m not quite sure but I think it’s that.


The volume of the entire figure

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Answer:

Step-by-step explanation:

Lets break the 2 boxes apart so you have 4*4*3 =48 and then you have 10*3*2 = 60

60 +48 = 108

108cm^3

Can I still use this say yes or no and and use the hearts so I can know if I can the white thing Brooke off

Answers

Answer:

you can but dont touch anything inside i did when i was a kid and electrocuted myself.

Step-by-step explanation:

careful. i dont recomend using it though

Answer:

that happed to me i still use the outlet sometime but i wouldn't take any chances

Step-by-step explanation:

What figure is a dilation of Figure A by a factor of 3?

Please help :)

Answers

Answer:

36×18×18×27

Step-by-step explanation:

Assuming the picture is Figure A you would multiply value from figure A by 3 to get corresponding value for dilated figure.

So if figure A is

12 × 6 × 6 × 9

the dilated figure would be

36 × 18 × 18 × 27

2, 3, 1, 6, 4, 5, 3, 2, 3, 4 is the set

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It’s the first one because if you look at the 4s there are only two and it would have been either the first or third one but it’s the first one

Answer: A

because It has 1 one 2 twos 3 threes 2 fours 1 five And 1 six

What is the vertex of the parabola? f(x) = 2x² + 16x + 30

Answers

Answer:

y=2(x−4)²+3

Step-by-step explanation:

The sum of two nonnegative numbers is 20. Find the numbers if the sum of their squares is as large as possible; as small as possible.
a. The numbers are 10 and 10.
b. The numbers are 0 and 20.
c. The numbers are 1 and 19.
d. The numbers are 20 and 0.

Answers

Option D. The numbers are 20 and 0.

Let the two nonnegative numbers be x and y such that x + y = 20. We know that the sum of the squares of the two nonnegative numbers x and y is as large as possible and as small as possible.

x + y = 20, or y = 20 - x (Since the numbers are non-negative, x, y ≥ 0)

Substituting y = 20 - x into x² + y² = P (for the sake of simplicity), we get x² + (20 - x)² = Px² + 400 - 40x + x² = P

We will take the first derivative with respect to x now: 2x - 40 = 0x = 20

Therefore, one of the nonnegative numbers is 20, and the other is zero. Consequently, the smallest possible sum of squares is 400 (since 20² + 0² = 400).Option D. The numbers are 20 and 0.

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Given, the sum of two nonnegative numbers is 20.

The problem asks us to find the numbers if the sum of their squares is as large as possible; as small as possible.

Therefore, let's find the sum of their squares at first.If 'x' and 'y' are two numbers, then the sum of their squares is given by:

[tex]x^2 + y^2[/tex]

If the sum of two nonnegative numbers is 20, then one number can be written as x and the other number can be written as y in terms of x.

Thus,y = 20 − xNow, the sum of their squares:

[tex]x^2 + y^2 = x^2 + (20 - x)^2[/tex]
= [tex]x^2 + 400 + x^2 - 40x[/tex]
= [tex]2x^2 - 40x + 400[/tex]
The above expression represents a parabola which opens upward because the coefficient of x^2 is positive.

Therefore, the sum of the squares of the two numbers will be maximum at the vertex of the parabola.

The x-coordinate of the vertex can be found as

:−b/2a = −(−40)/(2.2) = 10Hence, x = 10 and y = 10.

Substituting x = 10 and y = 10, we get

[tex]x^2 + y^2 = 200.[/tex]

Now, to find the smallest value of the sum of their squares, we can observe that the smallest value of x is 0, and the largest value of y is 20.

Thus, if x = 0 and y = 20, we get x^2 + y^2 = 400.

Answer:  The numbers are 10 and 10. The numbers are 0 and 20.

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Can someone plz help me

Answers

Answer:

A = 139.25 cm^2

Step-by-step explanation:

The composite shape is made up of a square with side 10 cm and a semicircle with diameter 10 cm. The area of the composite shape is the sum of the two areas. The diameter of the semicircle is the side of the square, and the radius of the circle is half of the diameter.

A = s^2 + (1/2)(pi)r^2

r = d/2 = s/2

A = (10 cm)^2 + (1/2)(3.14)(10 cm/2)^2

A = 100 cm^2 + (1/2)(3.14)(25 cm^2)

A = 139.25 cm^2

Help Please! Find The Circumference Of A Circle With R=12.3.

Answers

Answer:

77.28

Step-by-step explanation:

c=π2r

12.3 times 2 =

24.6π

=77.28317928

=77.28

Answer:

77.3

Step-by-step explanation:

Assume that all components of three panels, randomly selected and with 5, 5 and 5 components respectively, were examined. Assume that a component chosen at random is defective with probability 0.09 , independently of the other components.
What is the probability of detecting at most one defective component, when all components of these three panels are examined?

Answers

The probability of detecting at most one defective component when all components of the three panels are examined is approximately 0.78136 or 78.14%.

To calculate the probability of detecting at most one defective component when all components of the three panels are examined, we need to consider the possible combinations of defective components in each panel.

Let's break down the problem step by step:

Panel 1:

- There are 5 components in Panel 1.

- The probability of a component being defective is 0.09.

- We want to calculate the probability of detecting at most one defective component.

The probability of detecting no defective components in Panel 1 is:

P(0 defective) = (1 - 0.09)^5 = 0.52201

The probability of detecting exactly one defective component in Panel 1 is:

P(1 defective) = 5 * 0.09 * (1 - 0.09)^4 = 0.40408

The probability of detecting at most one defective component in Panel 1 is:

P(at most 1 defective) = P(0 defective) + P(1 defective) = 0.52201 + 0.40408 = 0.92609

Panel 2 and Panel 3 have the same probabilities as Panel 1 since they also have 5 components and the same probability of a component being defective.

Now, to calculate the probability of detecting at most one defective component when examining all three panels, we multiply the probabilities of each panel:

P(at most 1 defective in all three panels) = P(at most 1 defective in Panel 1) * P(at most 1 defective in Panel 2) * P(at most 1 defective in Panel 3)

                                          = 0.92609 * 0.92609 * 0.92609

                                          = 0.78136

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Poease help! Thank you

Answers

Answer:

28 and 12t

Step-by-step explanation:

4 x 7

4 x 3t

Answer:

28+12t

Step-by-step explanation:

Simplify the expression :)

btw you spelled please wrong

Based on the Pythagorean theorem, select all of the following statements that must be true

Answers

Answer:

The 1st and 4th statements are true.

Consider the first order differential equation t et y'+ = , y' + t2 – 25 y t-99 For each of the initial conditions below, determine the largest interval a

Answers

For the given first-order differential equation, we need to determine the largest interval on which a unique solution exists for each initial condition. The interval will depend on the specific initial condition and the behavior of the differential equation.

The first-order differential equation is given as:

t^et y' + y' + t^2 – 25yt - 99

To determine the largest interval on which a unique solution exists for each initial condition, we need to consider the behavior of the equation and any possible singularities or discontinuities.

For each initial condition, we can use standard techniques such as separation of variables or integrating factors to solve the differential equation and find the solution. The solution will depend on the initial condition and may have different behaviors based on the values of t and y.

It's important to note that the existence and uniqueness of solutions are generally guaranteed within a certain interval as long as the equation and initial condition satisfy certain conditions, such as Lipschitz continuity. However, without specific initial conditions, it is not possible to determine the exact intervals on which a unique solution exists.

Therefore, to determine the largest interval on which a unique solution exists for each initial condition, further analysis and specific initial conditions are required to assess the behavior of the equation and identify any constraints or limitations on the solution.

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These box plots show daily low temperatures for a sample of days in two different towns

Answers

A is the correct answer. The other choices don’t match the box plots.

Answer:

A. The median for town A, 30 degrees, is less than the median for town B, 40 degrees.

Step-by-step explanation:

What is the slide e of the line shown below?

Answers

Answer:

13/6

Step-by-step explanation:

slope = (y2-y1)/(x2-x1) where the variables indicate the coordinates of the two points

slope = (-7-6)/(-5-1) = -13/-6 = 13/6

HELPPP PLSSS IF YOUR A BOT I WILL REPORT !! A(b) is a function

Answers

False not a function

Reflex angle of 52 degrees

Answers

The answer is 14 degrees

Claim: the average age of online students is 32 years old. Can you prove it is not? What is the null hypothesis? o What is the alternative hypothesis? What distribution should be used? o What is the test statistic? o What is the p-value? o What is the conclusion? o How do we interpret the results, in context of our study? • Claim: the proportion of males in online classes is 35%. Can you prove it is not? o What is the null hypothesis? o What is the alternative hypothesis? o What distribution should be used? o What is the test statistic? o What is the p-value? o What is the conclusion? o How do we interpret the results, in context of our study?

Answers

To predict a linear regression score, you first need to train a linear regression model using a set of training data.

Once the model is trained, you can use it to make predictions on new data points. The predicted score will be based on the linear relationship between the input variables and the target variable,

A higher regression score indicates a better fit, while a lower score indicates a poorer fit.

To predict a linear regression score, follow these steps:

1. Gather your data: Collect the data p

points (x, y) for the variable you want to predict (y) based on the input variable (x).

2. Calculate the means: Find the mean of the x values (x) and the mean of the y values (y).

3. Calculate the slope (b1): Use the formula b1 = Σ[(xi - x)(yi - y)]  Σ(xi - x)^2, where xi and yi are the individual data points, and x and y are the means of x and y, respectively.

4. Calculate the intercept (b0): Use the formula b0 = y - b1 * x, where y is the mean of the y values and x is the mean of the x values.

5. Form the linear equation: The linear equation will be in the form y = b0 + b1 * x, where y is the predicted value, x is the input variable, and b0 and b1 are the intercept and slope, respectively.

6. Predict the linear regression score: Use the linear equation to predict the value of y for any given value of x by plugging in the x value into the equation. The resulting y value is your predicted linear regression score.

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bro I NEED HELP FAST

Answers

It’s D 2 1/3 because 1/3 each 3 days is 3/3 and then plus another one is 6/3 and plus one more is 9/3

not sure how to do this. need help

Answers

Answer:

a) 25/2 or 12.5

b) 78,125

c) 625

d) 30,517,578,125

Iodine-131 has a half-life of days. How much would be left of an original g sample after days?

Answers

Answer:

I will suppose that the actual question is:

Iodine-131 has a half-life of 8 days. How much would be left of an original g sample after x days?

Ok, a half-life means that after that time, the mass of the original sample is reduced to half.

So if we start it a quantity g of iodine-131, after 8 days, we will have g/2.

Also, remember that the decay is written as an exponential decay, then we will have:

A(x) = g*(r)^x

where:

A is the amount of the sample after x days, g is the initial amount of the material (such that A(0) = g) and r is the rate of decay.

We know that:

A(8) = g/2 = g*(r)^8

Now we can solve this for r:

g/2 = g*(r)^8

1/2 = r^8

(1/2)^(1/8) = r = 0.917

Then the amount of material after x days is given by:

A(x) = g*(0.917)^x

Write the Central Limit Theorem for sample means. 3. The average time taken to complete a project in a real estate company is 18 months, with a standard deviation of 3 months. Assuming that the project completion time approximately follows a normal distribution, find the probability that the mean completion time of 4 such projects falls between 16 and 19 months.

Answers

The probability that the mean completion time of 4 projects falls between 16 and 19 months is approximately 0.6568 or 65.68%.

The Central Limit Theorem states that for a sufficiently large sample size, the distribution of sample means will approach a normal distribution regardless of the shape of the population distribution.

Specifically, if we have a random sample of n observations drawn from a population with mean μ and standard deviation σ, then the distribution of the sample means will have a mean equal to the population mean μ and a standard deviation equal to the population standard deviation σ divided by the square root of the sample size n.

In this case, the average time taken to complete a project in the real estate company is 18 months, with a standard deviation of 3 months.

Assuming that the project completion time approximately follows a normal distribution, we can use the Central Limit Theorem to find the probability that the mean completion time of 4 such projects falls between 16 and 19 months.

First, we need to calculate the standard deviation of the sample mean. Since we have 4 projects, the sample size is n = 4.

Therefore, the standard deviation of the sample mean is σ/√n = 3/√4 = 3/2 = 1.5 months.

Next, we can standardize the values of 16 and 19 months using the formula z = (x - μ) / (σ/√n), where x is the value, μ is the population mean, σ is the population standard deviation, and n is the sample size.

For 16 months: z1 = (16 - 18) / (1.5) = -2/1.5 = -1.33

For 19 months: z2 = (19 - 18) / (1.5) = 1/1.5 = 0.67

Using a standard normal distribution table, we can look up the probabilities corresponding to the z-scores -1.33 and 0.67.

The table provides the cumulative probabilities for values up to a certain z-score.

For -1.33, the cumulative probability is approximately 0.0918.

For 0.67, the cumulative probability is approximately 0.7486.

To find the probability between these two z-scores, we subtract the cumulative probability associated with -1.33 from the cumulative probability associated with 0.67:

P(-1.33 < Z < 0.67) = 0.7486 - 0.0918 = 0.6568

Therefore, the probability that the mean completion time of 4 projects falls between 16 and 19 months is approximately 0.6568 or 65.68%.

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PLEASE HELP ALGEBRA!!

Answers

Answer:

The very first one is decay and the rest are growth

Step-by-step explanation:

Im SO sorry if i got it wrong

I REALLY hope this helped

Best of luck

The range of a projectile that is launched with an initial velocity v at an angle of a with the horizontal is given by R

sin

where g is the acceleration due to gravity or 9.8 meters per second squared. If a projectile is launched with an initial velocity of 1

meters per second, what angle is required to achieve a range of 20 meters? Round answers to the nearest whole number.

Answers

Answer:

[tex]\theta=30.285^{\circ}[/tex]

Step-by-step explanation:

The range of a projectile is given by :

[tex]R=\dfrac{u^2\sin2\theta}{g}[/tex]

Put R = 20 m, u = 15 m/s and finding the value of angle of projection

So,

[tex]R=\dfrac{u^2\sin2\theta}{g}\\\\\sin2\theta=\dfrac{Rg}{u^2}\\\\\sin2\theta=\dfrac{20\times 9.8}{15^2}\\\\\sin2\theta=0.871\\\\2\theta=\sin^{-1}(0.871)\\\\2\theta=60.57\\\\\theta=30.285^{\circ}[/tex]

So, the required angle of projection is equal to [tex]30.285^{\circ}[/tex].

The population of a city is 218720.
The population has been increasing at the rate of 2% per year.
What was the population 3 years ago?​

Answers

Correct Answer is 205,857

A local U-Move moving truck rental company provides the following probability distribution regarding the number of rental trucks that will be rented in a given week. Find the number of rental trucks the company can expect to rent during a given week.
Number of Rented Trucks Probability
0 0.23
1 0.18
4 0.27
5 0.32
a) 2.6800
b) 2.8600
c) 0.6700
d) 2.3100
e) 0.7150
f) None of the above.

Answers

Option (b) 2.8600 is the correct answer.

To find the number of rental trucks that a local U-Move moving truck rental company can expect to rent during a given week, we need to find the expected value of the probability distribution.

The expected value of a probability distribution is given by:

Expected Value = Sum of (Number of Rented Trucks × Probability)

Therefore, Expected Value = (0 × 0.23) + (1 × 0.18) + (4 × 0.27) + (5 × 0.32)

Expected Value = 0 + 0.18 + 1.08 + 1.6Expected Value = 2.86

Therefore, the company can expect to rent 2.86 rental trucks during a given week. Option (b) 2.8600 is the correct answer.

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Find the least common multiple of 18, 24, 42

Answers

Answer: 504. Multiple for : 18, 24 and 42. Factorize of the above numbers : 18 = 2 • 32 24 = 23 • 3. 42 = 2 • 3 • 7

In a chemical reaction, 20 units of a compound are injected into a reaction chamber every 30 min. Within that 30 min, 50% of the compound is used up in the chemical process. Suppose that the reaction starts at t = 0 with 20 units of the chemical in the chamber.
a) Make a table of values showing the amount of the compound remaining for the first 5 h, in 30-min intervals, that the reaction has been occurring.
b) Write the amount of the chemical remaining after each 30-min interval as a sequence.
c) Determine a recursion formula for the sequence.

Answers

The compound will be completely used up in the reaction chamber after 60 minutes.

When will the compound be completely used up in the reaction chamber.

In the given chemical reaction, 20 units of a compound are injected into the reaction chamber every 30 minutes. Within that 30-minute period, 50% of the compound is used up in the chemical process. This means that after 30 minutes, half of the compound has reacted and only 10 units remain in the chamber.

After another 30 minutes, another 20 units are injected, making a total of 30 units in the chamber. However, within this 30-minute period, 50% of the compound is again used up. This results in 15 units being consumed, leaving only 15 units in the chamber.

Following this pattern, we can see that after each 30-minute interval, the number of units remaining in the chamber is halved. Starting with 20 units, after the first 30 minutes, we have 10 units, and after the second 30 minutes, we have 5 units.

Therefore, it can be inferred that after 60 minutes (two 30-minute intervals), the compound will be completely used up in the reaction chamber. No units of the compound will be left.

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Set up fitting the least squares line through the points (1, 1), (2, 1), and (3, 3). Find R of the fitted line.

Answers

The coefficient of determination (R²) for the fitted least squares line is 0.75.

To fit the least squares line through the given points and find the coefficient of determination (R²), we can follow these steps:

Let's perform these calculations:

Step 1: Calculate the mean values of x and y.

x' = (1 + 2 + 3) / 3 = 2

y' = (1 + 1 + 3) / 3 = 5/3 ≈ 1.6667

Step 2: Calculate the sums of squares: SSxx, SSyy, and SSxy.

SSxx = Σ((xi - x')²) = (1 - 2)² + (2 - 2)² + (3 - 2)² = 2

SSyy = Σ((yi - y')²) = (1 - 5/3)² + (1 - 5/3)² + (3 - 5/3)² = 8/3 ≈ 2.6667

SSxy = Σ((xi - x')(yi - y')) = (1 - 2)(1 - 5/3) + (2 - 2)(1 - 5/3) + (3 - 2)(3 - 5/3) = 4/3 ≈ 1.3333

Step 3: Calculate the slope (m) and y-intercept (b) of the least squares line.

m = SSxy / SSxx = 1.3333 / 2 = 2/3 ≈ 0.6667

b = y' - mx' = 5/3 - (2/3)(2) = 5/3 - 4/3 = 1/3 ≈ 0.3333

Therefore, the equation of the least squares line is y = 0.6667x + 0.3333.

Step 4: Calculate the predicted y-values (y_pred) using the least squares line equation.

For (1, 1):

y_pred = 0.6667 × 1 + 0.3333 = 0.6667 + 0.3333 = 1

For (2, 1):

y_pred = 0.6667 × 2 + 0.3333 = 1.3334 + 0.3333 ≈ 1.6667

For (3, 3):

y_pred = 0.6667 × 3 + 0.3333 = 2 + 0.3333 ≈ 2.3333

The predicted y-values are (1, 1), (2, 1.6667), and (3, 2.3333).

Step 5: Calculate the residual sum of squares (RSS) and the total sum of squares (TSS).

RSS = Σ((yi - y_pred)²) = (1 - 1)² + (1 - 1.6667)² + (3 - 2.3333)² ≈ 0.6667

TSS = SSyy = 8/3 ≈ 2.6667

Step 6: Calculate the coefficient of determination (R²) using the formula: R² = 1 - (RSS / TSS).

R² = 1 - (0.6667 / 2.6667) = 1 - 0.25 = 0.75

Therefore, the coefficient of determination (R²) for the fitted least squares line is 0.75.

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