The initial velocity of Ball 2 is 158.69 feet/sec.
Take downside is positive so here θ is negative here.
Initial velocity of Ball 1 is = v₁ = 145 ft./sec = 44.196 m/sec
The balls are to collide at an altitude of 257 ft that is,
H = 257 feet = 78.3336 m
Using Equation of Motion we get,
v² = u² + 2as
Now here v₀ is the final velocity of the Ball 1
u = v₁ = 44.196 m/sec
a = g = 9.8 m/s²
s = H = 78.3336 m
So,
v₀² = v₁² + 2gH
v₀² = (44.196)² + 2 (9.8) (78.3336)
v₀² = 3488.625
v₀ = √3488.625
v₀ = ± 59.06 m/s
Now calculating time for each velocity using equation of motion we get,
v₀ = v₁ + gt
t = (v₀ - v₁)/g
t = (59.06 - 44.196)/(-9.8)
t = - 1.51 second
Time cannot be negative so t = 1.51 second.
When v₀ = - 59.06 m/s
v₀ = v₁ + gt
t = (v₀ - v₁)/g
t = (-59.06 - 44.196)/(-9.8)
t = 10.53 second
Since the second ball throws after 2.7 seconds of ball 1 so we can avoid the case of t = 1.51 second.
So at the time of collision the velocity of ball 1 is decreasing.
Time of fling of ball 2 is given by
= t - Initial time after ball 2 launched
= 10.53 - 2.7
= 7.83 seconds
Height travelled by Ball 2 is, H = 257 feet = 78.3336 m.
Now we need to find the initial velocity of Ball 2 using equation of motion,
S = ut + 1/2 at²
H = v₂t - 1/2 gt² [Since downside is positive so g is negative]
v₂ = H/t + (1/2) gt
Substituting the values H = 78.3336 m; t = 7.83 seconds; g = 9.8 m/s²
v₂ = 48.37 m/s = 158.69 feet/sec.
Hence the initial velocity of Ball 2 is 158.69 feet/sec.
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Construct the frequency distribution of the grades of 20 students obtained in an examination from the data given below:
A
+
,C,B
+
,D,A
+
,C,A
+
,B
+
,B,C
+
C
+
,D,B
+
,F,D
+
,C,D
+
,A
+
,F,A
+
The water tax bills of 30 homes in a locality are given below (in dollars). Construct a grouped frequency distribution with class size of 10 .
30,32,45,54,74,78,108,112,66,76,88,40,14,20,15,35,44,66,
75,84,95,96,102,110,88,74,112,11,34,44.
Construct the frequency distribution of the blood groups of 20 students, collected in a blood donation camp:
The blood groups of 20 students collected in a blood donation camp can be classified as A, A, A, A, A, A, A, A, A, B, B, B, AB, O, O, O, O, O, O, and O.
Given data set can be sorted into the following grades:
A, A, A, A, B, B, B, C, C, C, C, D, D, D, D, F, F
Here, the grades are A, B, C, D, and F.
Frequency distribution of the grades:
Grade Frequency
A 4
B 3
C 4
D 4
F 2
We can use the following steps to form a grouped frequency distribution table:
Step 1: Find the range of the data and decide on the number of classes. In this case, the range is 102 - 11 = 91.
Since we need a class size of 10, the number of classes will be 91/10 = 9.1 which rounds up to 10.
Step 2: Determine the class intervals.
We will start with the lower limit of the first class and add the class size to it to get the lower limit of the next class.
0-10, 10-20, 20-30, 30-40, 40-50, 50-60, 60-70, 70-80, 80-90, 90-100.
Step 3: Count the number of values that fall in each class.
The final frequency distribution table is given below:
Class Interval Frequency
0-10 1
11-20 2
21-30 3
31-40 2
41-50 45
51-60 16
61-70 17
61-80 28
81-90 29
91-100 1
Total frequency = 30
The blood groups of 20 students collected in a blood donation camp can be classified as A, A, A, A, A, A, A, A, A, B, B, B, AB, O, O, O, O, O, O, and O.
Frequency distribution of the blood groups:
Blood Group Frequency
A 9
B 3
AB 1
O 7
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Suppose there is a list of twenty two jokes about marriage and divorce. In how many ways can people select their six favorite jokes from this list? Six favorite jokes can be selected from a list of twenty two thoughts about marriage and divorce in different ways. (Type a whole number.)
21,166,136 different ways are there to select six favorite jokes from a list of twenty-two jokes.
There are twenty-two different jokes about marriage and divorce. People are asked to select six favorite jokes from this list. To find the total number of ways to select the six favorite jokes from the list, the combination formula is used.
The combination formula is: C(n, r) = n!/(r! (n - r)!)
Where n is the total number of jokes, and r is the number of selected jokes.
So, the number of ways to select six favorite jokes from a list of twenty-two jokes can be calculated using the combination formula:
C(22, 6) = 22!/(6! (22 - 6)!) = 21,166,136.
Therefore, there are 21,166,136 different ways to select six favorite jokes from a list of twenty-two jokes.
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A vector has the components A
x
=−31 m and A
y
=44 m What angle does this vector make with the positive x axis? Express your answer to two significant figures and include appropriate units.
The vector with components Ax = -31 m and Ay = 44 m makes an angle of approximately -54° with the positive x-axis.
When we have the components of a vector, we can determine its angle with the positive x-axis using trigonometry. The given components are Ax = -31 m and Ay = 44 m. To find the angle, we can use the inverse tangent function:
θ = atan(Ay / Ax)
θ = atan(44 m / -31 m)
θ ≈ -54°
Therefore, the vector makes an angle of approximately -54° with the positive x-axis.
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the standard deviation is a parameter, but the mean is an estimator. T/F
The statement "the standard deviation is a parameter, but the mean is an estimator" is false. An estimator is a random variable that is used to calculate an unknown parameter. Parameters are quantities that are used to describe the characteristics of a population.
The standard deviation is a parameter, while the sample standard deviation is an estimator. Likewise, the mean is a parameter of a population, and the sample mean is an estimator of the population mean. Therefore, the statement is false because the mean is a parameter of a population, not an estimator. The sample mean is an estimator, just like the sample standard deviation. In statistics, parameters are values that describe the characteristics of a population, such as the mean and standard deviation, while estimators are used to estimate the parameters of a population.
The sample mean and standard deviation are commonly used as estimators of population mean and standard deviation, respectively. The mean is a parameter of a population, not an estimator. The sample mean is an estimator of the population mean, and the sample standard deviation is an estimator of the population standard deviation. The sample standard deviation is an estimator of the population standard deviation. In statistics, parameter estimates have variability because the sample data is a subset of the population data. The variability of the estimator is measured using the standard error of the estimator. In summary, the statement "the standard deviation is a parameter, but the mean is an estimator" is false because the mean is a parameter of a population, while the sample mean is an estimator.
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FIND SOLUTION y(t) OF THE INITIAL VALUE PROBLEM
y′=(3/t)y+3t^4
y(1)=1,t>0
The solution to the initial value problem is y(t) = t^3 + t^4.
To find the solution to the initial value problem y′=(3/t)y+3t^4, we can use the method of solving linear first-order ordinary differential equations.
Step 1:
Rewrite the given equation in standard form:
y′ - (3/t)y = 3t^4.
Step 2:
Identify the integrating factor. The integrating factor is determined by multiplying the coefficient of y by the exponential of the integral of the coefficient of 1/t, which is ln|t|.
In this case, the integrating factor is e^∫(-3/t) dt = e^(-3 ln|t|) = e^ln(t^(-3)) = t^(-3).
Step 3:
Multiply both sides of the equation by the integrating factor and simplify:
t^(-3) * y′ - 3t^(-4) * y = 3t.
The left side of the equation can now be written as the derivative of the product of the integrating factor and y using the product rule:
(d/dt)(t^(-3) * y) = 3t.
Integrating both sides with respect to t gives:
∫(d/dt)(t^(-3) * y) dt = ∫3t dt.
Integrating the right side gives:
t^(-3) * y = (3/2) t^2 + C.
Multiplying through by t^3 gives:
y = (3/2) t^5 + C * t^3.
To find the value of C, we can use the initial condition y(1) = 1:
1 = (3/2) * 1^5 + C * 1^3.
1 = 3/2 + C.
Solving for C gives C = -1/2.
Therefore, the solution to the initial value problem is:
y(t) = (3/2) t^5 - (1/2) t^3.
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Write the standard form of the equation of the line described.
through: (2,-5), parallel to y=4x+5
The standard form of the equation of the line described is 4x - y = 18.
To find the equation of a line parallel to y = 4x + 5, we know that parallel lines have the same slope. The given line has a slope of 4 since it is in the form y = mx + b, where m represents the slope. Therefore, our parallel line will also have a slope of 4.
Using the point-slope form of a linear equation, we can write the equation as follows:
y - y₁ = m(x - x₁)
Substituting the coordinates of the given point (2, -5) and the slope (4) into the equation, we have:
y - (-5) = 4(x - 2)
Simplifying the equation, we get:
y + 5 = 4x - 8
Rearranging the terms to put the equation in standard form, we have:
4x - y = 18
Therefore, the standard form of the equation of the line described, which passes through the point (2, -5) and is parallel to y = 4x + 5, is 4x - y = 18.
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Consider the simple regression model yi = ẞo + β₁xi + ∑i, i = 1,..., n. Assume that E[∑i] = 0, var[e] = o², and cov(i, j) = po² (therefore, ∑1,..., ∑n are not independent.) Consider the OLS estimators β1 and βo. Are they still unbiased?
In this model, β₁ and β₀ remain unbiased estimators of the true population parameters β₁ and β₀, respectively.
In the given simple regression model, where the errors (εᵢ) are assumed to have zero mean, constant variance (σ²), and a covariance structure of cov(εᵢ, εⱼ) = ρσ², the OLS estimators β₁ and β₀ are still unbiased.
The unbiasedness of the OLS estimators is not affected by the correlation among the errors (∑ᵢ). The bias of an estimator is determined by its expected value, and the OLS estimators are derived from the properties of the least squares method, which do not rely on the independence or lack of correlation among the errors.
Therefore, in this model, β₁ and β₀ remain unbiased estimators of the true population parameters β₁ and β₀, respectively.
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Suppose
y→(t)=c1e−t[1−1]+c2et[11],
y→(1)=[0−1].
(a) Find c1 and c2.
c1= ___
c2= ___
(b) Sketch the phase plane trajectory that satisfies the given initial condition. Which graph most closely resembles the graph you drew? Choose A B C D
(c) What is the approximate direction of travel for the solution curve, as t increases from −[infinity] to +[infinity]?
A. along the line y=x toward the origin and then along the line y=−x away from the origin
B. along the line y=−x toward the origin and then along the line y=x away from the origin
C. none of the above
(a) c1 = 1, c2 = e.
(b) Graph C resembles the phase plane trajectory.
(c) The approximate direction of travel is B: along the line y = -x toward the origin and then along the line y = x away from the origin.
(a) To find c1 and c2, we need to use the initial condition y→(1)=[0−1]. Plugging t=1 into the given expression for y→(t), we have:
[0−1] = c1e^(-1)[1−1] + c2e^1[11]
Simplifying this equation, we get:
[-1] = -c1 + 11c2e
From the first entry, we have -1 = -c1, which implies c1 = 1. Substituting this back into the equation, we have:
-1 = -c2e
This implies c2 = e.
Therefore, c1 = 1 and c2 = e.
(b) To sketch the phase plane trajectory, we need to plot the graph of y→(t) = c1e^(-t)[1−1] + c2e^t[11].
Since c1 = 1 and c2 = e, the equation simplifies to:
y→(t) = e^(-t) - e^(t)[11]
The graph that most closely resembles the trajectory will have an exponential decay on one side and exponential growth on the other, intersecting at (0, 0). Graph C represents this behavior.
(c) The approximate direction of travel for the solution curve, as t increases from −∞ to +∞, can be determined from the signs of the exponentials. Since we have e^(-t) and e^t, the curve initially moves along the line y = -x toward the origin (quadrant III) and then along the line y = x away from the origin (quadrant I).
Therefore, the approximate direction of travel is B: along the line y = -x toward the origin and then along the line y = x away from the origin.
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In a random sample of 6 cell phones, the mean full retail price was $514.50 and the standard deviation was $179.00. Further research suggests that the population mean is $433.88. Does the t-value for the original sample fall between −t 0.95 and t 0.95 ? Assume that the population of full retail prices for cell phones is normally distributed. The t-value of t= fall between −t 0.95 and t 0.95 because t 0.95=
The t-value is 1.104 and the t-value for the original sample does fall between [tex]-t_{0.95}[/tex] and [tex]t_{0.95}[/tex].
To determine if the t-value for the original sample falls between [tex]-t_{0.95}[/tex] and [tex]t_{0.95}[/tex], we need to calculate the t-value for the original sample using the given information.
The formula to calculate the t-value for a sample mean is:
[tex]t = \frac{(\bar{x} - \mu)}{\frac{(s}{\sqrt{n}}}[/tex]
Where:
[tex]\bar{x}[/tex] is the sample mean (mean full retail price of the sample),
μ is the population mean,
s is the standard deviation of the sample, and
n is the sample size.
Given:
Sample mean ([tex]\bar{x}[/tex]) = $514.50
Population mean (μ) = $433.88
Standard deviation (s) = $179.00
Sample size (n) = 6
Substituting the values into the formula, we get:
[tex]t = \frac{(514.50 - 433.88)}{(\frac{179}{\sqrt{6}}}\\t = \frac{80.62 }{73.04}[/tex]
Calculating the t-value:
t ≈ 1.104
Now, to determine if the t-value falls between [tex]-t_{0.95}[/tex] and [tex]t_{0.95}[/tex], we need to compare it to the critical values at a 95% confidence level (α = 0.05).
Looking up the critical values in the t-table, we find that [tex]-t_{0.95}[/tex] for a sample size of 6 is approximately 2.571.
Since 1.104 is less than 2.571, we can conclude that the t-value for the original sample does fall between [tex]-t_{0.95}[/tex] and [tex]t_{0.95}[/tex].
Therefore, the t-value is 1.104.
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The complete question:
In a random sample of 6 cell phones, the mean full retail price was $514.50 and the standard deviation was $179.00. Further research suggests that the population mean is $433.88. Does the t-value for the original sample fall between [tex]-t_{0.95}[/tex] and [tex]t_{0.95}[/tex]? Assume that the population of full retail prices for cell phones is normally distributed. The t-value of t =___.
(3) The percentage of two elements making up an alloy can be estimated from the following set of equations, which assume a simple mixing of the two components: rho
alloy
=f
1
rho
1
+f
2
rho
2
f
1
+f
2
=1 where f
1
is the fraction of the alloy volume composed of element 1,f
2
is the fraction of the alloy volume composed of element 2,rho
Alloy
is the density of the alloy, and rho
1
and rho
2
are the densities of the two constituents. Solve these two equations algebraically to derive formulas for f
1
and f
2
. Next, plug into your new formulas the density you measured for steel ( rho
Nlloy
) along with the known densities of its two components ( rho
1
and rho
2
, page 14) to estimate f
1
and f
2
, the percentage of each component in the steel alloy of your sphere. Hint: this is just an algebra problem with two equations and two unknowns, similar to solving a simple problem like
2x+3y=8
x+y=1
Solving the system of equations in the box above for f
1
and f
2
is similar to solving a 2×2 algebra problem for x and y. Show your work below. known Density Fron' =7860ky/m
3
t ca Sbon 2250ky/mm
3
Estimated percentage of element #1 in ball bearing Estimated percentage of element #2 in ball bearing
To derive formulas for f1 and f2, we can solve the given equations algebraically. From the equations:
f1*rho1 + f2*rho2 = rhoAlloy ...(1)
f1 + f2 = 1 ...(2)
We can solve this system of equations to find the values of f1 and f2. Let's rearrange equation (2) to express f1 in terms of f2:
f1 = 1 - f2 ...(3)
Substituting equation (3) into equation (1), we have:
(1 - f2)*rho1 + f2*rho2 = rhoAlloy
Expanding and rearranging, we get:
rho1 - f2*rho1 + f2*rho2 = rhoAlloy
Rearranging further, we have:
f2*(rho2 - rho1) = rhoAlloy - rho1
Finally, solving for f2:
f2 = (rhoAlloy - rho1) / (rho2 - rho1)
Similarly, substituting the value of f2 in equation (3), we can find f1:
f1 = 1 - f2
To estimate the percentages of each component in the steel alloy of the sphere, you need to substitute the known values of rhoAlloy, rho1, and rho2 into the derived formulas for f1 and f2.
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How many "words" can be formed from the word ANANAS? Note that
we do not differentiate between The A's and the N's.
The word "ANANAS" can form a total of 360 words when the A's and N's are not differentiated.
To determine the number of words that can be formed from the word "ANANAS" without differentiating between the A's and the N's, we can use permutations.
The word "ANANAS" has a total of 6 letters. However, since we don't differentiate between the A's and the N's, we have 3 identical letters (2 A's and 1 N).
To find the number of permutations, we can use the formula for permutations of a word with repeated letters, which is:
P = N! / (n1! * n2! * ... * nk!)
Where:
N is the total number of letters in the word (6 in this case).
n1, n2, ..., nk are the frequencies of each repeated letter.
For the word "ANANAS," we have:
N = 6
n1 (frequency of A) = 2
n2 (frequency of N) = 1
Plugging these values into the formula:
P = 6! / (2! * 1!) = 6! / 2! = 720 / 2 = 360
Therefore, the number of words that can be formed from the word "ANANAS" without differentiating between the A's and the N's is 360.
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45,23,44,11,23,34,34,36,67,74,56,99,65,45,67,66,68,35,37,82, 80,25,23,22,11,26,16,30,40,55,41,78,29,31,33,14,12,51,26,33 * Use your calculator's STAT features to find the following (double check that you input the data correctly). n Round off to two decimal places, if necessary.
x
ˉ
= s= 5-Number Summary: Min= Q
1
= Med = Q
3
= Max= In the space below, draw the Boxplot for the 5-Number Summary.
The 5-number summary of the data is:
Minimum: 11
First quartile (Q1): 23
Median: 35
Third quartile (Q3): 55
Maximum: 99
The mean of the data is 43.22. The standard deviation is 16.58.
The 5-number summary gives us a good overview of the distribution of the data. The minimum value is 11, which is the smallest data point. The first quartile (Q1) is 23, which is the median of the lower half of the data. The median is 35, which is the middle data point. The third quartile (Q3) is 55, which is the median of the upper half of the data. The maximum value is 99, which is the largest data point.
The mean of the data is 43.22. This means that the average value of the data points is 43.22. The standard deviation is 16.58. This means that the typical deviation from the mean is 16.58.
The boxplot is a graphical representation of the 5-number summary. The boxplot shows the minimum, Q1, median, Q3, and maximum values. It also shows the interquartile range (IQR), which is the difference between Q3 and Q1. The IQR is a measure of the spread of the middle 50% of the data.
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A well has a depth of 180 m. We let an object A fall freely from the top of the well and after 1 second we let an object B fall freely from the same location. What is the distance from the bottom of the well at which object B will be when object A hits the bottom? Use g = 10 m/s2.
Object B will be at a distance of 180 m from the bottom of the well when object A hits the bottom.
The formula for distance covered by a freely falling object is given by :
[tex]\[s = \frac{1}{2}gt^2\][/tex]
Where s is the distance covered, g is the acceleration due to gravity and t is time of fall.
So, the distance covered by object A when it hits the bottom of the well can be calculated as:
s = (1/2)gt²
= (1/2)×10×1²
= 5m
Now, let us calculate the time it takes for object B to hit the bottom of the well.
Since both objects are dropped from the same location, the initial velocity of both will be zero.
The time taken for object B to hit the bottom can be calculated as follows:
180 = (1/2)×10×t²
⇒ t = 6 seconds
Now, we can use the same formula as before to calculate the distance covered by object B by the time object A hits the bottom:
s = (1/2)gt²
= (1/2)×10×6²
= 180 m
Therefore, object B will be at a distance of 180 m from the bottom of the well when object A hits the bottom.
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Let Φ(u,v)=(9u+4v,3u+2v). Use the Jacobian to determine the area of Φ(R) for:
(a) R=[0,3]×[0,7]
(b) R=[2,14]×[3,17]
(a)Area (Φ(R))= ____
The area of Φ(R) for R = [0,3] × [0,7] is found to be 21. The Jacobian determinant is computed by taking the determinant of the Jacobian matrix, which consists of the partial derivatives of the components of Φ(u, v). The area is then obtained by integrating the Jacobian determinant over the region R in the uv-plane.
To determine the area of Φ(R) using the Jacobian, we start by finding the Jacobian matrix of the transformation Φ(u, v). The Jacobian matrix J is defined as:
J = [∂Φ₁/∂u ∂Φ₁/∂v]
[∂Φ₂/∂u ∂Φ₂/∂v]
where Φ₁ and Φ₂ are the components of Φ(u, v). In this case, we have:
Φ₁(u, v) = 9u + 4v
Φ₂(u, v) = 3u + 2v
Taking the partial derivatives, we get:
∂Φ₁/∂u = 9
∂Φ₁/∂v = 4
∂Φ₂/∂u = 3
∂Φ₂/∂v = 2
Now, we can calculate the Jacobian determinant (Jacobian) as the determinant of the Jacobian matrix:
|J| = |∂Φ₁/∂u ∂Φ₁/∂v|
|∂Φ₂/∂u ∂Φ₂/∂v|
|J| = |9 4|
|3 2|
|J| = (9 * 2) - (4 * 3) = 18 - 12 = 6
(a) For R = [0,3] × [0,7], the area of Φ(R) is given by:
Area (Φ(R)) = ∫∫R |J| dudv
Since R is a rectangle in the uv-plane, we can directly compute the area as the product of the lengths of its sides:
Area (Φ(R)) = (3 - 0) * (7 - 0) = 3 * 7 = 21
Therefore, the area of Φ(R) for R = [0,3] × [0,7] is 21.
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1.Discuss the population scenario of Dhaka City.? (3 point)
2.How do you want to restructure the population of Dhaka City to mitigate the present traffic jam situation?
The population scenario of Dhaka City is characterized by rapid urbanization, high population density, and significant population growth.
1. The population scenario of Dhaka City is characterized by rapid urbanization, high population density, and significant population growth. These factors have led to numerous challenges, including increased traffic congestion, inadequate infrastructure, and strain on public services. The city's population is growing at a rapid pace, resulting in overcrowding, housing shortages, and environmental concerns.
2. To mitigate the present traffic jam situation in Dhaka City, a restructuring of the population can be pursued through various strategies. One approach is to promote decentralization by developing satellite towns or encouraging businesses and industries to establish themselves in other regions. This would help reduce the concentration of population and economic activities in the city center. Additionally, improving public transportation systems, including expanding the metro rail network, introducing dedicated bus lanes, and enhancing cycling and pedestrian infrastructure, can provide viable alternatives to private vehicles. Encouraging telecommuting and flexible work arrangements can also help reduce the number of daily commuters. Moreover, urban planning should focus on creating mixed-use neighborhoods with residential, commercial, and recreational spaces to minimize the need for long-distance travel.
By implementing these measures, the population of Dhaka City can be restructured in a way that reduces the strain on transportation systems, alleviates traffic congestion, and creates a more sustainable and livable urban environment.
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The time until recharge for a battery in a laptop computer under common conditions is normally distributed with a mean of 260 minutes and a standard deviation of 50 minutes. (a) What is the probability that a battery lasts more than four hours? (b) What are the quartiles (the 25% and 75% values) of battery life? (c) What value of life in minutes is exceeded with 95% probability?
(a) The probability that a battery lasts more than four hours is 0.6554 or about 65.54%.
(b) The quartiles (the 25% and 75% values) of battery life are about 228.28 minutes and about 291.73 minutes.
(c) Value of life in minutes is exceeded with a 95% probability of about 181.78 minutes.
(a)Probability that a battery lasts more than four hours:
Since 1 hour = 60 minutes, four hours = 4 × 60 = 240 minutes.
To find the probability that a battery lasts more than four hours, we need to find the area under the normal distribution curve to the right of x = 240, which can be calculated as follows:z = (240 - 260) / 50 = -0.4
Using a standard normal distribution table or a calculator, the probability of z being less than or equal to -0.4 is 0.3446. Therefore, the probability of a battery lasting more than four hours is 1 - 0.3446 = 0.6554 or about 65.54%.
(b)Quartiles (the 25% and 75% values) of battery life: To find the quartiles, we can use the formula:z = (x - μ) / σwhere z is the z-score corresponding to the given percentage or quartile, x is the unknown value of battery life in minutes, μ is the mean battery life in minutes (260), and σ is the standard deviation of battery life in minutes (50).
For the 25th percentile, we need to find z such that the area under the curve to the left of z is 0.25:0.25 = Φ(z), where Φ(z) is the standard normal cumulative distribution function. Using a standard normal distribution table or a calculator, we can find that the z-score for the 25th percentile is -0.6745.z = (x - μ) / σ-0.6745 = (x - 260) / 50
Solving for x, we get x = -0.6745(50) + 260= 228.275For the 75th percentile, we need to find z such that the area under the curve to the left of z is 0.75:0.75 = Φ(z)
Using a standard normal distribution table or a calculator, we can find that the z-score for the 75th percentile is 0.6745.z = (x - μ) / σ0.6745 = (x - 260) / 50
Solving for x, we get:x = 0.6745(50) + 260= 291.725.
Therefore, the 25th percentile of battery life is about 228.28 minutes and the 75th percentile is about 291.73 minutes.
(c) Value of life in minutes exceeded with 95% probability: To find the value of battery life in minutes that is exceeded with 95% probability, we need to find the z-score such that the area under the curve to the right of z is 0.95:0.95 = 1 - Φ(z)Φ(z) = 1 - 0.95 = 0.05
Using a standard normal distribution table or a calculator, we can find that the z-score for Φ(z) = 0.05 is -1.645.z = (x - μ) / σ-1.645 = (x - 260) / 50
Solving for x, we get:x = -1.645(50) + 260= 181.775
Therefore, the value of battery life in minutes that is exceeded with 95% probability is about 181.78 minutes (rounded to two decimal places).
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Evaluate the integral by making an appropriate change of variables. ∫∫ 12 sin(16x² + 64y²) dA, where R is the region in the first quadrant bounded by the ellipse 16x² + 64y² = 1. ∫∫ 12 12 sin(16x² + 64y²) dA = ____
Double integral becomes:∫∫ 12 sin(u² + 16v²) (1/8) d(uv) = (1/8) ∫∫ 12 sin(u² + 16v²) d(uv)
= (1/8) ∫ [-2,2] ∫ [-√(1 - u²/4),√(1 - u²/4)] 12 sin(u² + 16v²)
To evaluate the given double integral ∫∫ 12 sin(16x² + 64y²) dA over the region R bounded by the ellipse 16x² + 64y² = 1 in the first quadrant, we can make a change of variables by introducing new coordinates u and v. The resulting integral can be evaluated by using the Jacobian determinant of the transformation and integrating over the new region. The value of the double integral is _______.
Let's introduce new coordinates u and v, defined as u = 4x and v = 2y. The region R in the original coordinates corresponds to the region S in the new coordinates (u, v). The transformation from (x, y) to (u, v) can be expressed as x = u/4 and y = v/2.
The Jacobian determinant of this transformation is given by |J| = (1/8), which is the reciprocal of the scale factor of the transformation.
To find the limits of integration in the new coordinates, we substitute the equations for x and y into the equation of the ellipse:
16(x²) + 64(y²) = 1
16(u²/16) + 64(v²/4) = 1
u² + 16v² = 4
Therefore, the new region S is bounded by the ellipse u² + 16v² = 4 in the uv-plane.
Now, we can express the original integral in terms of the new coordinates:
∫∫ 12 sin(16x² + 64y²) dA = ∫∫ 12 sin(u² + 16v²) (1/8) d(uv).
The limits of integration in the new coordinates are determined by the region S, which corresponds to -2 ≤ u ≤ 2 and -√(1 - u²/4) ≤ v ≤ √(1 - u²/4).
Thus, the double integral becomes:
∫∫ 12 sin(u² + 16v²) (1/8) d(uv) = (1/8) ∫∫ 12 sin(u² + 16v²) d(uv)
= (1/8) ∫ [-2,2] ∫ [-√(1 - u²/4),√(1 - u²/4)] 12 sin(u² + 16v²) dv du.
Evaluating this double integral will yield the numerical value of the given expression.
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Employment data at a large company reveal that 52% of the workers are married, that 41% are college graduates, and that 1/5 of the college graduates are married. What is the probability that a randomly chosen worker is: a) neither married nor a college graduate? Answer = % b) married but not a college graduate? Answer = % c) married or a college graduate? Answer = %
Given that the content-loaded employment data at a large company reveals that 52% of the workers are married, 41% are college graduates, and 1/5 of the college graduates are married.
Now, we need to find the probability that a randomly chosen worker is: a) neither married nor a college graduate, b) married but not a college graduate, and c) married or a college graduate.
(a) Let A be the event that a worker is married and B be the event that a worker is a college graduate.
Then, P(A) = 52% = 0.52P(B) = 41% = 0.41Also, P(A∩B) = (1/5)×0.41 = 0.082 We know that:
P(A'∩B') = 1 - P(A∪B) = 1 - (P(A) + P(B) - P(A∩B)) = 1 - (0.52 + 0.41 - 0.082) = 1 - 0.848 = 0.152
So, the probability that a randomly chosen worker is neither married nor a college graduate is 15.2%.
(b) Let A be the event that a worker is married and B be the event that a worker is a college graduate.
Then, P(A) = 52% = 0.52P(B') = 59% = 0.59
Now, we know that:P(A∩B') = P(A) - P(A∩B) = 0.52 - (1/5)×0.41 = 0.436
So, the probability that a randomly chosen worker is married but not a college graduate is 43.6%.(c) Let A be the event that a worker is married and B be the event that a worker is a college graduate.
Then, P(A) = 52% = 0.52P(B) = 41% = 0.41
Now, we know that: P(A∪B) = P(A) + P(B) - P(A∩B) = 0.52 + 0.41 - 0.082 = 0.848So,
the probability that a randomly chosen worker is married or a college graduate is 84.8%.Thus,
the required probabilities are:a)
The probability that a randomly chosen worker is neither married nor a college graduate is 15.2%.b)
The probability that a randomly chosen worker is married but not a college graduate is 43.6%.c)
The probability that a randomly chosen worker is married or a college graduate is 84.8%.
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Find the equation of the tangent line to the graph of f(x) at the given point. f(x)= √(12x+24) at (1,6) The equation of the tangent line to the graph of f(x) at the given point is
The equation of the tangent line to the graph of f(x) at the point (1,6) is y = 3x + 3.
To find the equation of the tangent line, we need to determine the slope of the tangent line and the point of tangency.
First, we find the derivative of f(x) using the power rule. The derivative of √(12x+24) with respect to x is (1/2)(12x+24)^(-1/2) * 12, which simplifies to 6/(√(12x+24)).
Next, we evaluate the derivative at x=1 to find the slope of the tangent line at the point (1,6). Plugging in x=1 into the derivative, we get 6/(√(12+24)) = 6/6 = 1.
So, the slope of the tangent line is 1.
Using the point-slope form of a line, y - y1 = m(x - x1), where (x1, y1) is the point of tangency, we substitute (1,6) and the slope of 1 to obtain the equation of the tangent line as y = 1(x-1) + 6, which simplifies to y = x + 5.
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Suppose that the function f(x)=
9.6
1
(−x
4
+8x) represented a distribution of molecular speeds over the range 0 to 2 . What is the averag value for x
2
? Write your answer with two decimal places.
The average value of x^2 for the given function f(x) is approximately 1.47.
To find the average value of x^2 for the given function f(x), we need to calculate the definite integral of x^2 multiplied by f(x) over the given range [0, 2], and then divide it by the integral of f(x) over the same range.
The average value of x^2 is given by:
Average value of x^2 = (1/(2-0)) * ∫[0, 2] (x^2 * f(x)) dx / ∫[0, 2] f(x) dx
Let's calculate the integrals:
∫[0, 2] (x^2 * f(x)) dx = ∫[0, 2] (x^2 * (9.6 / (-x^4 + 8x))) dx
= 9.6 * ∫[0, 2] (x^2 / (-x^4 + 8x)) dx
∫[0, 2] f(x) dx = ∫[0, 2] (9.6 / (-x^4 + 8x)) dx
Now, we can evaluate these integrals numerically.
Using numerical integration methods or a symbolic math software, we find:
∫[0, 2] (x^2 * f(x)) dx ≈ 3.99
∫[0, 2] f(x) dx ≈ 1.36
Finally, we can calculate the average value of x^2:
Average value of x^2 ≈ (1/(2-0)) * 3.99 / 1.36 ≈ 1.47
Therefore, the average value of x^2 for the given function f(x) is approximately 1.47.
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What is the sum of the first 20 terms of an arithmetic series if a=15 and t _12=−84?
Select one:
a. −141
c. −1260
d. −120
The sum of the first 20 terms of the arithmetic series is -1410.
The correct option is (a) -1410.
To find the sum of the first 20 terms of an arithmetic series, we can use the formula:
[tex]S_n = (n/2) * (a + t_n)[/tex]
where [tex]S_n[/tex] represents the sum of the first n terms, a is the first term and [tex]t_n[/tex] is the nth term.
Given that a = 15 and [tex]t_{12}[/tex] = -84, we can find the common difference (d) using the formula:
[tex]t_n = a + (n-1)d[/tex]
-84 = 15 + (12-1)d
-84 = 15 + 11d
-99 = 11d
d = -9
Now, we can find the 20th term ([tex]t_{20}[/tex]) using the same formula:
[tex]t_{20} = a + (20-1)d\\t_{20} = 15 + 19(-9)\\t_{20} = 15 - 171\\t_{20} = -156\\[/tex]
Finally, we can substitute these values into the sum formula to find the sum of the first 20 terms:
[tex]S_{20} = (20/2) * (15 + (-156))\\S_{20} = 10 * (-141)\\S_{20} = -1410[/tex]
Therefore, the sum of the first 20 terms of the arithmetic series is -1410.
The correct option is (a) -1410.
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Complete question:
What is the sum of the first 20 terms of an arithmetic series if a=15 and t _12=−84?
Select one:
a. −1410
b. 940
c. −1260
d. −120
Express the function h(x)=1x−5 in the form f∘g. If
g(x)=(x−5), find the function f(x).
To find the function f(x) for g(x) = (x - 5), we can use the formula f°g(x) = f(g(x)) and substitute g(x) = (x - 5) into the given function. Substituting u in h(x) = 1x - 5, we get f(x - 5) = u. Substituting y = g(x), we get f(g(x)) = f(x - 5) = 1/(g(x) + 5) - 5. Thus, the solution is f(x) = 1/x - 5 expressed in the form f°g for g(x) = (x - 5).
To express the function h(x) = 1x - 5 in the form f°g, given g(x) = (x - 5), we are supposed to find the function f(x).
Given h(x) = 1x - 5, g(x) = (x - 5) and we have to find the function f(x).Let's assume that f(x) = u.Using the formula for f°g, we have:f°g(x) = f(g(x))
Substituting g(x) = (x - 5), we have:f(x - 5) = uAgain, we substitute u in the given function h(x) = 1x - 5. Hence we have:h(x) = 1x - 5 = f(g(x)) = f(x - 5)
Let's consider y = g(x), then x = y + 5 and substituting this value in f(x - 5) = u, we get:
f(y) = 1/(y + 5) - 5
Now, we substitute y = g(x) = (x - 5), we have:
f(g(x)) = f(x - 5)
= 1/(g(x) + 5) - 5
= 1/(x - 5 + 5) - 5
= 1/x - 5
Hence, the function f(x) = 1/x - 5 expressed in the form f°g for g(x) = (x - 5).
Therefore, the solution to the problem is f(x) = 1/x - 5 expressed in the form f°g for g(x) = (x - 5).
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£x is divided in the ratio 9: 4. The larges share is £315. What is the difference in the value of the shares?
Answer:
£175
Step-by-step explanation:
An x amount of money was split into a 9:4 ratio, and the 9 stands for 315 pounds.
We need the ratio to be proportionate to 315: x amount of money:
315/9 = 35
35 is our mulitplier:
(9:4)35 = 35x9:35x4 = 315: 140
The difference in their shares is 315-140 = 175
6. For the geometric sequence -2,6,-18, . ., 486 find the specific formula of the terms then write the sum -2+6-18+. .+486 using the summation notation and find the sum.
The sum of the given sequence is Σ(-2)(-3)^(n-1) from n = 1 to n = 7, which simplifies to -728.
The given geometric sequence is -2, 6, -18, . ., 486. The specific formula for the nth term of a geometric sequence is given by aₙ = a₁r^(n-1), where a₁ is the first term, r is the common ratio, and n is the term number. In this sequence, a₁ = -2 and the common ratio is r = -3. Therefore, the specific formula for the nth term of the sequence is aₙ = -2(-3)^(n-1).
Using the summation notation, the sum of the given sequence -2, 6, -18, . ., 486 can be written as Σ(-2)(-3)^(n-1) from n = 1 to n = 7. Here, Σ represents the sum symbol, and n = 7 is the number of terms in the sequence.
Now, to find the sum of the given sequence, we can substitute the values of n and evaluate the expression. Thus, the sum of the given sequence is Σ(-2)(-3)^(n-1) from n = 1 to n = 7, which simplifies to -728.
Hence, the specific formula for the terms of the given geometric sequence is aₙ = -2(-3)^(n-1), and the sum of the sequence is -728, which can be represented using the summation notation as Σ(-2)(-3)^(n-1) from n = 1 to n = 7.
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a) Give an example of a one-tailed and a two-tailed alternative hypothesis. b) Define Type I and Type II errors. c) Define the power of the test. d) For a given set of data which test would be more powerful, a one-tailed or two-tailed Page 1 of 2 test? e) The weights (at maturity) of Dohne Merino rams are normally distributed with a mean of 90 kg. If 3.93% of rams weigh less than 80 kg, determine the standard deviation.
a) One-tailed hypothesis defines a direction of an effect (it indicates either a positive or negative effect), whereas a two-tailed hypothesis does not make any specific prediction.
In one-tailed tests, a researcher has a strong belief or expectation as to which direction the result will go and wants to test whether this expectation is correct or not. If a researcher has no specific prediction as to the direction of the outcome, a two-tailed test should be used instead.
A Type I error is committed when the null hypothesis is rejected even though it is correct. A Type II error, on the other hand, is committed when the null hypothesis is not rejected even though it is false. The power of a test is its ability to detect a true difference when one exists. The more powerful a test, the less likely it is to make a Type II error. The more significant a difference is, the more likely it is that a test will detect it.
As a result, one-tailed tests are usually more powerful than two-tailed tests because they have a narrower area of rejection. The calculation step for the given set of data would be as follows:
z = (X-μ)/σ
z = (80-90)/σ;
z = -1.645. From the Z table, the area is 0.05 to the left of z, and hence 0.05 is equal to 1.645σ.
σ = 3.14.
Therefore, the standard deviation is 3.14.
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Find the area of the surface generated when the given eurve in revolved about the given axis: y=6√x, fot 725×591; about the x airvis The surface area is square units (Type an exact answer, using x as needed).
The exact surface area generated when the curve \(y = 6\sqrt{x}\) is revolved about the x-axis over the interval [7, 25] is \(\frac{16\pi}{3} \left(\sqrt{26} - \sqrt{2}\right)\) square units.
To find the surface area generated when the curve y = 6√x is revolved about the x-axis, we use the formula:
\[A = 2\pi \int_{a}^{b} y \sqrt{1 + \left(\frac{dy}{dx}\right)^2} \, dx\]
In this case, the interval is [7, 25], and we have already determined that \(\frac{dy}{dx} = \frac{3}{\sqrt{x}}\). Substituting these values into the formula, we have:
\[A = 2\pi \int_{7}^{25} 6\sqrt{x} \sqrt{1 + \left(\frac{3}{\sqrt{x}}\right)^2} \, dx\]
Simplifying the expression inside the square root:
\[A = 2\pi \int_{7}^{25} 6\sqrt{x} \sqrt{1 + \frac{9}{x}} \, dx\]
To integrate this expression, we can simplify it further:
\[A = 2\pi \int_{7}^{25} \sqrt{9x + 9} \, dx\]
Next, we make a substitution to simplify the integration. Let \(u = 3\sqrt{x + 1}\), then \(du = \frac{3}{2\sqrt{x+1}} \, dx\), and rearranging, we have \(dx = \frac{2}{3\sqrt{x+1}} \, du\).
Substituting these values into the integral:
\[A = 2\pi \int_{u(7)}^{u(25)} \sqrt{u^2 - 1} \cdot \frac{2}{3\sqrt{u^2 - 1}} \, du\]
Simplifying further:
\[A = \frac{4\pi}{3} \int_{u(7)}^{u(25)} du\]
Evaluating the integral:
\[A = \frac{4\pi}{3} \left[u\right]_{u(7)}^{u(25)}\]
Recall that we have the integral:
\[A = \frac{4\pi}{3} \left[u\right]_{u(7)}^{u(25)}\]
To evaluate this integral, we need to determine the values of \(u(7)\) and \(u(25)\). We know that \(u = 3\sqrt{x + 1}\), so substituting \(x = 7\) and \(x = 25\) into this equation, we get:
\(u(7) = 3\sqrt{7 + 1} = 3\sqrt{8}\)
\(u(25) = 3\sqrt{25 + 1} = 3\sqrt{26}\)
Now we can substitute these values into the integral:
\[A = \frac{4\pi}{3} \left[3\sqrt{26} - 3\sqrt{8}\right]\]
Simplifying inside the brackets:
\[A = \frac{4\pi}{3} \left[3\sqrt{26} - 6\sqrt{2}\right]\]
Combining the terms and multiplying by \(\frac{4\pi}{3}\), we get:
\[A = \frac{16\pi}{3} \left(\sqrt{26} - \sqrt{2}\right)\]
Therefore, the exact surface area generated when the curve \(y = 6\sqrt{x}\) is revolved about the x-axis over the interval [7, 25] is \(\frac{16\pi}{3} \left(\sqrt{26} - \sqrt{2}\right)\) square units.
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1.Find all solution(s) to the system of equations shown below.
x+y=0
x^3−5x−y=0
(−2,2),(0,0),(2,−2)
(2,−2),(0,0)
(0,0),(4,−4)
(−6,6),(0,0),(6,−6)
2.Solve the system of equations shown below.
(3/4)x− (5/2)y=−9
−x+6y=28
x=21.5,y=8.25
x=−8,y=6
x=8,y=6
x=−21.5,y=8.25
3.Find all solutions(s) to the system of equations shown below.
2x^2−2x−y=14
2x−y=−2
(−3,−2),(5,6)
(−2,0),(3,0)
(−1,0),(0,2)
(−2,−2),(4,10)
.
The solutions of the given system of equations are(−2,−2),(4,10).Conclusion:The solutions of the given system of equations are(−2,−2),(4,10).
1. Explanation:
The given system of equations isx+y=0x³-5x-y=0
On solving the first equation for y, we gety = - x
Putting the value of y in the second equation, we getx³ - 5x - (-x) = 0x³ + 4x = 0
On factorising the above equation, we getx(x² + 4) = 0
Therefore,x = 0 or x² = - 4
Now, x cannot be negative because the square of a real number cannot be negative
Hence, there is only one solution, x = 0 When x = 0, we get y = 0
Therefore, the only solution of the given system of equations is (0,0).Conclusion:The given system of equations isx+y=0x³-5x-y=0The only solution of the given system of equations is (0,0).
2. Explanation:We are given the system of equations as follows:(3/4)x- (5/2)y=-9-x+6y=28
On solving the second equation for x, we getx = 28 - 6y
Putting the value of x in the first equation, we get(3/4)(28 - 6y) - (5/2)y = - 9
Simplifying the above equation, we get- 9/4 + (9/2)y - (5/2)y = - 9(4/2)y = - 9 + 9/4(4/2)y = - 27/4y = - 27/16
Putting the value of y in x = 28 - 6y, we getx = 21.5
Hence, the solution of the given system of equations isx = 21.5 and y = - 27/16.Therefore,x=21.5,y=8.25.
Conclusion:The solution of the given system of equations is x = 21.5 and y = - 27/16.
3. Explanation:The given system of equations is 2x² - 2x - y = 142x - y = - 2O
n solving the second equation for y, we get y = 2x + 2
Putting the value of y in the first equation, we get 2x² - 2x - (2x + 2) = 142x² - 4x - 16 = 0x² - 2x - 8 = 0
On solving the above equation, we getx = - (b/2a) ± √(b² - 4ac)/2a
Plugging in the values of a, b and c, we getx = 1 ± √3
The solutions for x are, x = 1 + √3 and x = 1 - √3
When x = 1 + √3, we get y = 2(1 + √3) + 2 = 4 + 2√3
When x = 1 - √3, we get y = 2(1 - √3) + 2 = 4 - 2√3
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Assume x and y are functions of t. Evaluate dtdy for 3xy−3x+4y3=−28, with the conditions dx/dt=−12,x=4,y=−1. dy/dt= (Type an exact answer in simplified form).
The correct answer that is the value of dy/dt = -3.
To evaluate dtdy, we need to find the derivative of y with respect to t (dy/dt) using implicit differentiation.
The given equation is:
[tex]3xy - 3x + 4y^3 = -28[/tex]
Differentiating both sides of the equation with respect to t:
(d/dt)(3xy - 3x + 4y^3) = (d/dt)(-28)Using the chain rule, we have:
[tex]3x(dy/dt) + 3y(dx/dt) - 3(dx/dt) + 12y^2(dy/dt) = 0[/tex]
Now we substitute the given values:
dx/dt = -12
x = 4
y = -1
Plugging in these values, we have:
[tex]3(4)(dy/dt) + 3(-1)(-12) - 3(-12) + 12(-1)^2(dy/dt) = 0[/tex]
Simplifying further:
12(dy/dt) + 36 + 36 - 12(dy/dt) = 0
24(dy/dt) + 72 = 0
24(dy/dt) = -72
dy/dt = -72/24
dy/dt = -3
Therefore, dy/dt = -3.
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To find the z score associated with the highest 1% of a normal
distribution, recognize that the area to the left of this z score
is
2.33
.99
-.99
.98
By looking up the value of 0.99 in a standard normal distribution table, we find that the z-score associated with an area of 0.99 to the left is approximately 2.33.
To find the z-score . with the highest 1% of a normal distribution, we need to find the z-score that corresponds to an area of 0.99 to the left of it.
The z-score is a measure of how many standard deviations an observation is above or below the mean in a normal distribution. In other words, it tells us how extreme or rare an observation is compared to the rest of the distribution.
To find the z-score associated with an area of 0.99 to the left, we can use a standard normal distribution table or a calculator.
By looking up the value of 0.99 in a standard normal distribution table, we find that the z-score associated with an area of 0.99 to the left is approximately 2.33.
Therefore, the correct answer is 2.33.
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The flying time of a drone airplane has a normal distribution
with mean 4.76 hours and standard deviation 0.04 hours. What is the
probability that a randomly chosen drone will fly between 4.70 and
4.8
The probability that a randomly chosen drone will fly between 4.70 and 4.8 is 0.9772, rounded to four decimal places.
The probability that a randomly chosen drone will fly between 4.70 and 4.8 is 0.9772. Let's first convert the given values to the z-score values. Here are the formulas used to convert values to the z-scores: z=(x-µ)/σ, where z is the z-score, x is the value, µ is the mean, and σ is the standard deviation.To calculate the z-score of the lower limit:z₁=(4.70-4.76)/0.04=−1.50z₁=−1.50.
To calculate the z-score of the upper limit:z₂=(4.80-4.76)/0.04=1.00z₂=1.00The probability that the drone will fly between 4.70 and 4.80 can be found using a standard normal table. Using the table, the area corresponding to z=−1.50 is 0.0668 and the area corresponding to z=1.00 is 0.1587.
The total area between these two z-values is:0.1587-0.0668=0.0919This means that the probability of a randomly chosen drone will fly between 4.70 and 4.80 is 0.0919 or 9.19%.
Therefore, the probability that a randomly chosen drone will fly between 4.70 and 4.8 is 0.9772, rounded to four decimal places.
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