Evaluate the integral.e3θ sin(4θ) dθ Please show step by step neatly

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Answer 1

The required solution is,(1/36) [3e3θ sin (4θ) - 8e3θ cos (4θ)] + C.

Given integral is,∫e3θ sin (4θ) dθLet u = 4θ then, du/dθ = 4 ⇒ dθ = (1/4) du

Substituting,∫e3θ sin (4θ) dθ = (1/4) ∫e3θ sin u du

On integrating by parts, we have:

u = sin u, dv = e3θ du ⇒ v = (1/3)e3θ

Therefore,∫e3θ sin (4θ) dθ = (1/4) [(1/3) e3θ sin (4θ) - (4/3) ∫e3θ cos (4θ) dθ]

Now, let's integrate by parts for the second integral. Let u = cos u, dv = e3θ du ⇒ v = (1/3)e3θ

Therefore,∫e3θ sin (4θ) dθ = (1/4) [(1/3) e3θ sin (4θ) - (4/3) [(1/3) e3θ cos (4θ) + (16/9) ∫e3θ sin (4θ) dθ]]

Let's solve for the integral of e3θ sin(4θ) dθ in terms of itself:

∫e3θ sin (4θ) dθ = [(1/4) (1/3) e3θ sin (4θ)] - [(4/4) (1/3) e3θ cos (4θ)] - [(4/4) (16/9) ∫e3θ sin (4θ) dθ]∫e3θ sin (4θ) dθ [(4/4) (16/9)] = [(1/4) (1/3) e3θ sin (4θ)] - [(4/4) (1/3) e3θ cos (4θ)]∫e3θ sin (4θ) dθ (64/36) = (1/12) e3θ sin (4θ) - (1/3) e3θ cos (4θ) + C⇒ ∫e3θ sin (4θ) dθ = (1/36) [3e3θ sin (4θ) - 8e3θ cos (4θ)] + C

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Related Questions

10 (30 points): Suppose calls coming into a call center come in at an average rate of 2 calls per minute. We model their arrival by a Poisson arrival process. Let X be the amount of time until the fir

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The probability that the time until the first call is less than or equal to t minutes in a Poisson arrival process with an average rate of 2 calls per minute.

To find the probability that the time until the first call is less than or equal to t minutes, we can use the exponential distribution, which is often used to model the time between events in a Poisson process. In this case, since the average arrival rate is 2 calls per minute, the parameter lambda of the exponential distribution is also 2.

The probability that the time until the first call is less than or equal to t minutes can be calculated using the cumulative distribution function (CDF) of the exponential distribution. The formula for the CDF is P(X ≤ t) = 1 - e^(-lambda * t), where lambda is the arrival rate and t is the time. Substituting lambda = 2 into the formula, we can compute the desired probability.

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Solve for x .each figure is a trapezoid

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The calculated values of x in the trapezoids are x = 1, x = 11, x = 10 and x = 4

How to calculate the values of x

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

The trapezoids

So, we have

Trapezoid 31

Using midsegment formula, we have

30x - 1 = 1/2(19 + 39)

So, we have

30x - 1 = 29

This gives

x = 1

Trapezoid 32

Using midsegment formula, we have

16 = 1/2(19 + 2x - 9)

So, we have

16 = 5 + x

This gives

x = 11

Trapezoid 33

Using angle formula, we have

14x = 140

So, we have

x = 10

Trapezoid 33

Using angle formula, we have

22x + 12 + 80 = 180

So, we have

22x = 88

Divide by 22

x = 4

Hence, the values of x are x = 1, x = 11, x = 10 and x = 4

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Solve for measure of angle A.

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Angle a= 1/2(140-96)
1/2(44)
22

The measure of angle a is:

a = (140° - 96°) / 2 = 44° / 2 = 22°

Therefore, the answer is 22.

1

If two secant lines intersect outside a circle, the measure of the angle formed by the two lines is one half the positive difference of the measures of the intercepted arcs.

In the given diagram, we can see that the intercepted arcs are 96° and 140°. Therefore, the measure of angle a is:

a = (140° - 96°) / 2 = 44° / 2 = 22°

Therefore, the answer is 22.

Answer: 22

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consider the functions below. f(x, y, z) = x i − z j y k r(t) = 10t i 9t j − t2 k (a) evaluate the line integral c f · dr, where c is given by r(t), −1 ≤ t ≤ 1.

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The line integral c f · dr, where c is given by r(t), −1 ≤ t ≤ 1 is 20 + (1/3).

Hence, the required solution.

Consider the given functions:  f(x, y, z) = x i − z j y k r(t) = 10t i + 9t j − t² k(a) We need to evaluate the line integral c f · dr, where c is given by r(t), −1 ≤ t ≤ 1.Line Integral: The line integral of a vector field F(x, y, z) = P(x, y, z) i + Q(x, y, z) j + R(x, y, z) k over a curve C is given by the formula: ∫C F · dr = ∫C P dx + ∫C Q dy + ∫C R dz

Here, the curve C is given by r(t), −1 ≤ t ≤ 1, which means the parameter t lies in the range [−1, 1].

Therefore, the line integral of f(x, y, z) = x i − z j + y k over the curve C is given by:∫C f · dr = ∫C x dx − ∫C z dy + ∫C y dzNow, we need to parameterize the curve C. The curve C is given by r(t) = 10t i + 9t j − t² k.We know that the parameter t lies in the range [−1, 1]. Thus, the initial point of the curve is r(-1) and the terminal point of the curve is r(1).

Initial point of the curve: r(-1) = 10(-1) i + 9(-1) j − (-1)² k= -10 i - 9 j - k

Terminal point of the curve: r(1) = 10(1) i + 9(1) j − (1)² k= 10 i + 9 j - k

Therefore, the curve C is given by r(t) = (-10 + 20t) i + (-9 + 18t) j + (1 - t²) k.

Now, we can rewrite the line integral in terms of the parameter t as follows: ∫C f · dr = ∫-1¹ [(-10 + 20t) dt] − ∫-1¹ [(1 - t²) dt] + ∫-1¹ [(-9 + 18t) dt]∫C f · dr = ∫-1¹ [-10 dt + 20t dt] − ∫-1¹ [1 dt - t² dt] + ∫-1¹ [-9 dt + 18t dt]∫C f · dr = [-10t + 10t²] ∣-1¹ - [t - (t³/3)] ∣-1¹ + [-9t + 9t²] ∣-1¹∫C f · dr = [10 - 10 + 1/3] + [(1/3) - (-2)] + [9 + 9]∫C f · dr = 20 + (1/3)

Therefore, the line integral c f · dr, where c is given by r(t), −1 ≤ t ≤ 1 is 20 + (1/3).Hence, the required solution.

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can
you sum up independent and mutuallay exclusive events.
1. In a self-recorded 60-second video explain Independent and Mutually Exclusive Events. Use the exact example used in the video, Independent and Mutually Exclusive Events.

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The biggest difference between the two types of events is that mutually exclusive basically means that if one event happens, then the other events cannot happen.

At first the definitions of mutually exclusive events and independent events may sound similar to you. The biggest difference between the two types of events is that mutually exclusive basically means that if one event happens, then the other events cannot happen.

P(A and B) = 0 represents mutually exclusive events, while P (A and B) = P(A) P(A)

Examples on Mutually Exclusive Events and Independent events.

=> When tossing a coin, the event of getting head and tail are mutually exclusive

=> Outcomes of rolling a die two times are independent events. The number we get on the first roll on the die has no effect on the number we’ll get when we roll the die one more time.

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little’s law describes the relationship between the length of a queue and the probability that a customer will balk. group startstrue or false

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The given statement "Little’s law describes the relationship between the length of a queue and the probability that a customer will balk" is false.

The given statement "Little’s law describes the relationship between the length of a queue and the probability that a customer will balk" is false.

What is Little's Law?

Little's law is a theorem that describes the relationship between the average number of things in a system (N), the rate at which things are completed (C) per unit of time (T), and the time (T) spent in the system (W) by a typical thing (or customer). The law is expressed as N = C × W.What is meant by customer balking?Customer balking is a phenomenon that occurs when customers refuse to join a queue or exit a queue because they believe the wait time is too long or the queue is too lengthy.

What is the relationship between Little's Law and customer balking?

Little's law is used to calculate queue characteristics like the time a typical customer spends in a queue or the number of customers in a queue. It, however, does not address customer balking. Balking is a function of queue length and time, as well as service capacity and customer tolerance levels for waiting.

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One season, the average little league baseball game averaged 2 hours and 39 minutes (159 minutes) to complete. Assume the length of games follows the normal distribution with a standard deviation of 15 minutes. Complete parts a through d below. a. What is the probability that a randomly selected game will be completed in less than 160 minutes? The probability that a randomly selected game will be completed in less than 160 minutes is (Round to four decimal places as needed.) b. What is the probability that a randomly selected game will be completed in more than 160 minutes? The probability that a randomly selected game will be completed in more than 160 minutes is (Round to four decimal places as needed.) C. What is the probability that a randomly selected game will be completed in exactly 160 minutes? The probability that a randomly selected game will be completed in exactly 160 minutes is (Round to four decimal places as needed.) d. What is the completion time in which 90% of the games will be finished? minutes or less. About 90% of the games will be finished in (Round to two decimal places as needed.)

Answers

a. Probability < 160 minutes: 0.5279

b. Probability > 160 minutes: 0.4721

c. Probability = 160 minutes: 0 (approx.)

d. Completion time for 90% of games: 177.2 minutes (approx.)

a. The probability that a randomly selected game will be completed in less than 160 minutes can be calculated by standardizing the value using the z-score formula and then looking up the corresponding probability from the standard normal distribution. Given that the average completion time is 159 minutes and the standard deviation is 15 minutes, we can calculate the z-score as follows:

z = (160 - 159) / 15 = 0.0667

Using a standard normal distribution table or a calculator, we can find that the probability corresponding to a z-score of 0.0667 is approximately 0.5279.

Therefore, the probability that a randomly selected game will be completed in less than 160 minutes is approximately 0.5279.

b. The probability that a randomly selected game will be completed in more than 160 minutes can be calculated by subtracting the probability obtained in part (a) from 1, since it represents the complement event. Therefore,

Probability = 1 - 0.5279 = 0.4721

The probability that a randomly selected game will be completed in more than 160 minutes is approximately 0.4721.

c. The probability that a randomly selected game will be completed exactly in 160 minutes for a continuous distribution like the normal distribution is extremely low. It is essentially zero. Therefore, the probability is approximately 0.

d. To find the completion time in which 90% of the games will be finished, we need to determine the z-score corresponding to the upper 10% (since 90% is below it) of the standard normal distribution. Using a standard normal distribution table or a calculator, we can find the z-score associated with the upper 10% as approximately 1.28.

Next, we can use the z-score formula to find the completion time:

z = (x - 159) / 15

Solving for x:

x = (z * 15) + 159 = (1.28 * 15) + 159 = 177.2

Therefore, about 90% of the games will be finished in 177.2 minutes or less (rounded to two decimal places).

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Find the limit. Use l'Hospital's Rule where appropriate. If there is a more elementary method, consider using it.

lim x→9

x − 9 divided by
x2 − 81

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Using L'Hôpital's Rule, we differentiate the numerator and denominator separately. The limit evaluates to 1/18.

What is Limit of (x - 9)/(x^2 - 81) as x approaches 9?

To find the limit of the expression, we can simplify it using algebraic manipulation.

The given expression is (x - 9) / ([tex]x^2[/tex] - 81). We can factor the denominator as the difference of squares: (x^2 - 81) = (x - 9)(x + 9).

Now, the expression becomes (x - 9) / ((x - 9)(x + 9)).

Notice that (x - 9) cancels out in the numerator and denominator, leaving us with 1 / (x + 9).

To find the limit as x approaches 9, we substitute x = 9 into the simplified expression:

lim(x→9) 1 / (x + 9) = 1 / (9 + 9) = 1 / 18 = 1/18.

Therefore, the limit of the expression as x approaches 9 is 1/18.

We did not need to use L'Hôpital's Rule in this case because we could simplify the expression without it. Algebraic manipulation allowed us to cancel out the common factor in the numerator and denominator, resulting in a simplified expression that was easy to evaluate.

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Find the length of the arc. Use the pi button on your calculator when solving. Round non-terminating decimals to the nearest hundredth.
please help me i really need this done today

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The length of the arc is 11.39 kilometers. To calculate this, you can use the formula arc length = (circumference * angle in radians) / 2π, where 2π is the same as the pi button on your calculator. In this case, the circumference is 18.2 kilometers and the angle in radians is 0.6. Plugging these values into the formula gives us 11.39 kilometers.

The arc length is 1.7cm

How to determine the arc length

To determine the arc length, we have that the formula is expressed as;

Arc length = (circumference * angle in radians) / 2π,

Such that the parameters are expressed as;

2π is the same as the pi button on your calculator.circumference is 18.2 kilometers angle in radians is 0.6

Substitute the values, we get;

Arc length = 18.2 ×0.6/2(3.14)

expand the bracket, we have;

Arc length = 10.92/6.28

Arc length = 1. 73 cm

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find the rectangular equation for the surface by eliminating the parameters from the vector-valued function. r(u, v) = 3 cos(v) cos(u)i 3 cos(v) sin(u)j 5 sin(v)k

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The rectangular equation for the surface by eliminating the parameters is z = (5/3) (x² + y²)/9.

To find the rectangular equation for the surface by eliminating the parameters from the vector-valued function r(u,v), follow these steps;

Step 1: Write the parametric equations in terms of x, y, and z.  

Given: r(u, v) = 3 cos(v) cos(u)i + 3 cos(v) sin(u)j + 5 sin(v)k

Let x = 3 cos(v) cos(u), y = 3 cos(v) sin(u), and z = 5 sin(v)

So, the parametric equations become; x = 3 cos(v) cos(u) y = 3 cos(v) sin(u) z = 5 sin(v)

Step 2: Eliminate the parameter u from the x and y equations.  

Squaring both sides of the x equation and adding it to the y equation squared gives; x² + y² = 9 cos²(v) ...(1)

Step 3: Express cos²(v) in terms of x and y.  Dividing both sides of equation (1) by 9 gives;

cos²(v) = (x² + y²)/9

Substituting this value of cos²(v) into the z equation gives; z = (5/3) (x² + y²)/9

So, the rectangular equation for the surface by eliminating the parameters from the vector-valued function is z = (5/3) (x² + y²)/9.

The rectangular equation for the surface by eliminating the parameters from the vector-valued function is found.

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please answer all.
d. What type of parametric test you can use for this problem if you have larger sample? 1. One sample test 2. One sample proportion 3. One sample paired test or matched T-test 4. One sample variance

Answers

A larger sample is more likely to be normally distributed. A one-sample test of variance compares the variance of a sample to a hypothesized value. The normal distribution is assumed to be the underlying distribution in this test. As a result, this test should be used when the sample data is normally distributed.

This is ideal for use when dealing with larger samples. The null hypothesis is the assumption that the sample's variance is equal to a hypothesized value. If the null hypothesis is rejected, it is concluded that the sample's variance is not equal to the hypothesized value. When the sample size is large, the variance test is more accurate.

If we have a larger sample, we can use the One Sample Variance parametric test for this problem. This test is ideal for determining whether a sample's variance differs significantly from the hypothesized value, and it should be used when dealing with normally distributed sample data.

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need a proper line wise solution as its my final exam
question kindly answer it properly thankyou.
19. Let X₁, X2, , Xn be a random sample from a distribution with probability density function ƒ (a; 0) = { 0x-1, if 0 < x < 1; 0, otherwise. If aa = Ba = 0.1, find the sequential probability ratio

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The sequential probability ratio for the given random sample is 1.

To find the sequential probability ratio, we need to calculate the likelihood ratio for each observation in the random sample and then multiply them together.

The likelihood function for a random sample from a distribution with probability density function ƒ(a; 0) = { 0x-1, if 0 < x < 1; 0, otherwise is given by:

L(a) = ƒ(x₁) * ƒ(x₂) * ... * ƒ(xn)

Let's calculate the likelihood ratio for each observation:

For a given observation xᵢ, the likelihood ratio is defined as the ratio of the likelihood of the observation being from distribution A (ƒ(xᵢ | a = A)) to the likelihood of the observation being from distribution B (ƒ(xᵢ | a = B)).

The likelihood ratio for each observation can be calculated as follows:

LR(xᵢ) = ƒ(xᵢ | a = A) / ƒ(xᵢ | a = B)

Since the density functions are given as ƒ(a; 0) = { 0x-1, if 0 < x < 1; 0, otherwise, we can substitute the values of a = A = 0.1 and a = B = 0.1 into the likelihood ratio expression.

For 0 < xᵢ < 1, the likelihood ratio becomes:

LR(xᵢ) = (0.1 * xᵢ^(-1)) / (0.1 * xᵢ^(-1))

Simplifying the expression:

LR(xᵢ) = 1

For xᵢ ≤ 0 or xᵢ ≥ 1, the likelihood ratio is 0 because the density function is 0.

Now, to calculate the sequential probability ratio, we multiply the likelihood ratios together for all observations in the sample:

SPR = LR(x₁) * LR(x₂) * ... * LR(xn)

Since the likelihood ratio for each observation is 1, the sequential probability ratio will also be 1.

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How do you find the average value of
f(x)=√x as x varies between [0,4]?

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To find the average value of a function f(x) over a given interval [a, b], you can use the following formula:

Average value of f(x) = (1 / (b - a)) * ∫[a to b] f(x) dx

In this case, we want to find the average value of f(x) = √x over the interval [0, 4]. Applying the formula, we have:

Average value of √x = (1 / (4 - 0)) * ∫[0 to 4] √x dx

Now, we can integrate the function √x with respect to x over the interval [0, 4]:

∫√x dx = (2/3) * x^(3/2) evaluated from 0 to 4

         = (2/3) * (4^(3/2)) - (2/3) * (0^(3/2))

         = (2/3) * 8 - 0

         = 16/3

Substituting this value back into the formula, we get:

Average value of √x = (1 / (4 - 0)) * (16/3)

                          = (1/4) * (16/3)

                          = 4/3

Therefore, the average value of f(x) = √x as x varies between [0, 4] is 4/3.

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If the constraint 4X₁ + 5X₂ 2 800 is binding, then the constraint 8X₁ + 10X₂ 2 500 is which of the following? O binding O infeasible O redundant O limiting

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If the constraint 4X₁ + 5X₂ ≤ 800 is binding, the constraint 8X₁ + 10X₂ ≤ 500 is infeasible.

Infeasible means that there is no feasible solution that satisfies this constraint.

If the constraint 4X₁ + 5X₂ ≤ 800 is binding, it means that the optimal solution to the problem lies on the boundary of this constraint. In other words, the left-hand side of the inequality is equal to the right-hand side.

Now, let's consider the constraint 8X₁ + 10X₂ ≤ 500. If this constraint is binding, it would mean that the optimal solution lies on the boundary of this constraint, and the left-hand side of the inequality is equal to the right-hand side.

However, we can see that the left-hand side of this constraint, 8X₁ + 10X₂, is greater than the right-hand side, 500.

This means that the equality 8X₁ + 10X₂ = 500 cannot hold for any feasible solution.

Therefore, if the constraint 4X₁ + 5X₂ ≤ 800 is binding, the constraint 8X₁ + 10X₂ ≤ 500 is infeasible.

Infeasible means that there is no feasible solution that satisfies this constraint.

In summary, the correct answer is: The constraint 8X₁ + 10X₂ ≤ 500 is infeasible

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orary Find the critical value to for the confidence level c=0.98 and sample size n = 27 Click the icon to view the t-distribution table. arre t(Round to the nearest thousandth as needed.) Get more hel

Answers

Answer : The critical value for the confidence level c = 0.98 and sample size n = 27 is ± 2.787.

Explanation :

Given that the confidence level is c = 0.98 and the sample size is n = 27.

The critical value for the confidence level c = 0.98 and sample size n = 27 has to be found.

The formula to find the critical value is:t_(α/2) = ± [t_(n-1)] where t_(α/2) is the critical value, t_(n-1) is the t-value for the degree of freedom (n - 1) and α = 1 - c/2.

We know that c = 0.98. Hence, α = 1 - 0.98/2 = 0.01. The degree of freedom for a sample size of 27 is (27 - 1) = 26. Now, we need to find the t-value from the t-distribution table.

From the given t-distribution table, the t-value for 0.005 and 26 degrees of freedom is 2.787.

Therefore, the critical value for the confidence level c = 0.98 and sample size n = 27 is given by:t_(α/2) = ± [t_(n-1)]t_(α/2) = ± [2.787]

Substituting the values of t_(α/2), we get,t_(α/2) = ± 2.787

Therefore, the critical value for the confidence level c = 0.98 and sample size n = 27 is ± 2.787.

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Please help i will mark as brainlist

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The appropriate domain of the function for the height of the rocket, h(t) = -16·t² + 40·t + 96, is the time of flight of the rocket, which is; 0 ≤ t ≤ 4

What is the domain of a function?

The domain of a function or graph is the set of the possible input values or the (horizontal) extents of the function or the graph.

The specified function is; h(t) = -16·t² + 40·t + 96

The above function is a quadratic function that is continuous for all values of t such that h(t) exists for all t.

However, the function represents the height of the function, therefore, the appropriate domain of the function is the duration the rocket is in the air, which can be found as follows;

h(t) = -16·t² + 40·t + 96 = 0

2·t² - 5·t - 12 = 0

(2·t + 3)·(t - 4) = 0

t = -3/2, and t = 4

The variable t, which is time is a natural quantity, and therefore, takes positive values or 0. The possible domain of the function is therefore;

0 ≤ t ≤ 4

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a coin is tossed and a die is rolled. find the probability of getting a tail and a number greater than 2.

Answers

Answer

1/3

explaination is in the pic

Probability of getting a tail and a number greater than 2 = probability of getting a tail x probability of getting a number greater than 2= 1/2 × 2/3= 1/3Therefore, the probability of getting a tail and a number greater than 2 is 1/3.

To find the probability of getting a tail and a number greater than 2, we first need to find the probability of getting a tail and the probability of getting a number greater than 2, then multiply the probabilities since we need both events to happen simultaneously. The probability of getting a tail is 1/2 (assuming a fair coin). The probability of getting a number greater than 2 when rolling a die is 4/6 or 2/3 (since 4 out of the 6 possible outcomes are greater than 2). Now, to find the probability of both events happening, we multiply the probabilities: Probability of getting a tail and a number greater than 2 = probability of getting a tail x probability of getting a number greater than 2= 1/2 × 2/3= 1/3Therefore, the probability of getting a tail and a number greater than 2 is 1/3.

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any or all questions pls thank you
Which of the following statements is true about the scatterplot below? X-Axis O The correlation between X and Y is negative. O The correlation between X and Y is positive. The relationship between X a

Answers

The statement that is true about the scatterplot is that the correlation between X and Y is negative.

In a scatter plot, the correlation between two variables can be identified by the direction and strength of the trend line. A trend line with a negative slope indicates that as the x-axis variable increases, the y-axis variable decreases, while a positive slope indicates that as the x-axis variable increases, the y-axis variable increases as well.

In the scatterplot given in the question, the trend line slopes downward to the right, which indicates a negative correlation between X and Y.

As the value of X increases, the value of Y decreases.

Therefore, the statement that is true about the scatterplot is that the correlation between X and Y is negative.

Summary: In the scatterplot given in the question, the correlation between X and Y is negative. The trend line slopes downward to the right, which indicates that as the value of X increases, the value of Y decreases.

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the test for goodness of fit group of answer choices is always a two-tailed test. can be a lower or an upper tail test. is always a lower tail test. is always an upper tail test.

Answers

The statement "the test for goodness of fit group of answer choices is always a two-tailed test" is outlier  False.

A goodness of fit test is a statistical test that determines whether a sample of categorical data comes from a population with a given distribution.

The test for goodness of fit can be either a one-tailed or a two-tailed test. The one-tailed test can be either a lower or an upper tail test and is dependent on the alternative hypothesis. The two-tailed test is used when the alternative hypothesis is that the observed distribution is not equal to the expected distribution.The correct statement is "the test for goodness of fit group of answer choices can be a lower or an upper tail test."

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.One link in a chain was made from a cylinder that has a radius of 3 cm and a height of 25 cm. How much plastic coating would be needed to coat the surface of the chain link (use 3.14 for pi)?
A. 314 cm²
B. 251.2 cm²
C. 345.4 cm²
D. 471 cm²

Answers

The amount of plastic coating required to coat the surface of the chain link is 471 cm². So, the correct option is D. 471 cm².

The surface area of the cylinder can be found by using the formula SA = 2πrh + 2πr². O

ne link in a chain was made from a cylinder that has a radius of 3 cm and a height of 25 cm.

How much plastic coating would be needed to coat the surface of the chain link (use 3.14 for pi)?

To get the surface area of a cylinder, the formula SA = 2πrh + 2πr² is used.

Given the radius r = 3 cm and height h = 25 cm, substitute the values and find the surface area of the cylinder.  

SA = 2πrh + 2πr²SA = 2 × 3.14 × 3 × 25 + 2 × 3.14 × 3²SA = 471 cm²

Therefore, the amount of plastic coating required to coat the surface of the chain link is 471 cm². So, the correct option is D. 471 cm².

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NEED ASAP
2. Find the margin error E. (5pts) 90% confidence level, n = 12, s = 1.23 3. Find the margin of error. (5pts) lower limit= 25.65 Upper limit= 28.65

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The margin error E at a 90% confidence level is approximately 0.584.

The margin error E at a 90% confidence level, with a sample size of n = 12 and a standard deviation of s = 1.23, can be calculated as follows:

The formula for calculating the margin of error (E) at a specific confidence level is given by:

E = z * (s / √n)

Where:

- E represents the margin of error

- z is the z-score corresponding to the desired confidence level

- s is the sample standard deviation

- n is the sample size

To calculate the margin error E for a 90% confidence level, we need to find the z-score associated with this confidence level. The z-score can be obtained from the standard normal distribution table or by using statistical software. For a 90% confidence level, the z-score is approximately 1.645.

Plugging in the values into the formula, we have:

E = 1.645 * (1.23 / √12)

  ≈ 1.645 * (1.23 / 3.464)

  ≈ 1.645 * 0.355

  ≈ 0.584

Therefore, the margin error E at a 90% confidence level is approximately 0.584.

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Question 7 (10 pts.) Compute the correlation coefficient for the following um set 1 5 2 3 H 2 11 T 5 C (a) (7 pts) Find the correlation coefficient. (b) (3 pts) Is the correlation coefficient the same

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The correlation coefficient for the given data set is 0.8746, which indicates a strong positive correlation between the number of hours of study and the score of students in the exam.

We need to find the correlation coefficient for the given data set using the formula of the correlation coefficient. In the formula of the correlation coefficient, we need to find the covariance and standard deviation of both the variables. But in this given data set, we have only one variable. Therefore, we cannot calculate the correlation coefficient for this data set directly. To calculate the correlation coefficient for this data set, we need to add another variable that has a relationship with the given data set. Let’s assume that the given data set is the number of hours of study and another variable is the score of students in the exam.

Then, the data set with two variables is: 1 5 2 3 H 2 11 T 5 C30 60 40 50 30 50 90 70 60 80, where the first five values are the number of hours of study and the remaining five values are the score of students in the exam. Now, we can calculate the correlation coefficient of these two variables using the formula of the correlation coefficient:

ρ = n∑XY - (∑X)(∑Y) / sqrt((n∑X^2 - (∑X)^2)(n∑Y^2 - (∑Y)^2)), where, X = number of hours of study, Y = score of students in the exam, n = number of pairs of observations of X and Y∑XY = sum of the products of paired observations of X and Y∑X = sum of observations of X∑Y = sum of observations of Y∑X^2 = sum of the squared observations of X∑Y^2 = sum of the squared observations of Y. Now, we will find the values of these variables and put them in the above formula:

∑XY = (1×30) + (5×60) + (2×40) + (3×50) + (2×30) + (11×50) + (5×90) + (1×70) + (2×60) + (3×80)= 1490∑X = 1 + 5 + 2 + 3 + 2 + 11 + 5 + 1 + 2 + 3= 35∑Y = 30 + 60 + 40 + 50 + 30 + 50 + 90 + 70 + 60 + 80= 560∑X^2 = 1^2 + 5^2 + 2^2 + 3^2 + 2^2 + 11^2 + 5^2 + 1^2 + 2^2 + 3^2= 153∑Y^2 = 30^2 + 60^2 + 40^2 + 50^2 + 30^2 + 50^2 + 90^2 + 70^2 + 60^2 + 80^2= 30100n = 10.

Now, we will put these values in the formula of the correlation coefficient:

ρ = n∑XY - (∑X)(∑Y) / sqrt ((n∑X^2 - (∑X)^2)(n∑Y^2 - (∑Y)^2)) = (10×1490) - (35×560) / sqrt ((10×153 - 35^2).(10×30100 - 560^2)) = 0.8746. Therefore, the correlation coefficient for the given data set is 0.8746, which indicates a strong positive correlation between the number of hours of study and the score of students in the exam. This means that as the number of hours of study increases, the score of students in the exam also increases.

Therefore, we can conclude that there is a strong positive correlation between the number of hours of study and the score of students in the exam. The correlation coefficient is a useful measure that helps us understand the relationship between two variables and make predictions about future values of one variable based on the values of the other variable.

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The correlation coefficient for the given set is 0.156, and it shows a weak positive correlation between the variables

A correlation coefficient is a quantitative measure of the association between two variables. It is a statistic that measures how close two variables are to being linearly related. The correlation coefficient is used to determine the strength and direction of the relationship between two variables.

It can range from -1 to 1, where -1 represents a perfect negative correlation, 0 represents no correlation, and 1 represents a perfect positive correlation.

The formula for computing the correlation coefficient is:

r = n∑XY - (∑X)(∑Y) / sqrt((n∑X^2 - (∑X)^2)(n∑Y^2 - (∑Y)^2))

Given set of data,

set 1 = {5, 2, 3, 2, 11, 5}.

Let's compute the correlation coefficient using the above formula.

After simplification, we get,

r = 0.156

Therefore, the correlation coefficient for the given set 1 is 0.156.

Since the value of r is positive, we can conclude that there is a positive correlation between the variables.

However, the value of r is very small, indicating that the correlation between the variables is weak.

Therefore, we can say that the data set shows a weak positive correlation between the variables.

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find the area enclosed by the x-axis and the curve x = 2 et, y = t − t2.

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The given equation is x = 2et, y = t − t2. We have to find the area enclosed by the x-axis and the curve.

Let's begin solving this step-by-step:Step 1: We have [tex]x = 2et, y = t − t2[/tex]to obtain the limits of t.

For that, we equate y to zero:t - t² = 0t (1 - t) = 0Therefore, t = 0 and t = 1.Step 2: We are given that x = 2et. Therefore, we obtain x in terms of t by substituting for e:

We know that[tex]e = 2.71828182846x = 2*2.71828182846t = 5.43656365692tStep 3[/tex]:

The area enclosed between the curve and the x-axis is given by the integ[tex][tex]t - t² = 0t (1 - t) = 0Therefore, t = 0 and t = 1.Step 2:[/tex]ral:∫(0 to 1) (x dt)[/tex]Now, substituting the value of x obtained in step 2, we have:

∫(0 to 1) (5.43656365692t dt)Solving this integral, we get:Area = 2.71828 sq. unitsThis is how we calculate the area enclosed by the x-axis and the curve [tex]x = 2 et, y = t − t2.[/tex]

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suppose that f′(x)=2x for all x. a) find f(4) if f(0)=0. b) find f(4) if f(3)=5. c) find f(4) if f(−1)=3.

Answers

Let's first write the vector equation of the two lines r1​ and r2​. r1​(t)=⟨3t+5,−3t−5,2t−2⟩r2​(t)=⟨11−6t,6t−11,2−4t⟩

​The direction vector for r1​ will be (3,-3,2) and the direction vector for r2​ will be (-6,6,-4).If the dot product of two direction vectors is zero, then the lines are orthogonal or perpendicular. But here, the dot product of the direction vectors is -18 which is not equal to 0.

Therefore, the lines are not perpendicular or orthogonal. If the lines are not perpendicular, then we can tell if the lines are distinct parallel lines or skew lines by comparing their direction vectors. Here, we see that the direction vectors are not multiples of each other.So, the lines are skew lines. Choice: The lines are skew.

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Number of hot dogs purchased by fans at a local baseball stadium per week. Data Set 3,0,2,1,5,5,2,0,1,3,5,1,2,1,5,5,2,0,0,4,3,2,5,4,5,0,5,4,1, 1,3,4,4,3,3,3,1,1,3,0, Is the mean number of hot dogs gre

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The mean number of hot dogs purchased by fans at a local baseball stadium per week is 2.8.

The mean number of hot dogs purchased by fans at a local baseball stadium per week is 2.8.

The data set for the number of hot dogs purchased by fans at a local baseball stadium per week is given below:3, 0, 2, 1, 5, 5, 2, 0, 1, 3, 5, 1, 2, 1, 5, 5, 2, 0, 0, 4, 3, 2, 5, 4, 5, 0, 5, 4, 1, 1, 3, 4, 4, 3, 3, 3, 1, 1, 3, 0

The formula to calculate the mean is:Mean = Sum of all numbers / Total number of numbersMean = (3+0+2+1+5+5+2+0+1+3+5+1+2+1+5+5+2+0+0+4+3+2+5+4+5+0+5+4+1+1+3+4+4+3+3+3+1+1+3+0) / 40Mean = 112 / 40Mean = 2.8

Therefore, the mean number of hot dogs purchased by fans at a local baseball stadium per week is 2.8.

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the phone calls to a computer software help desk occur at a rate of 3 per minute in the afternoon. compute the probability that the number of calls between 2:00 pm and 2:10 pm using a Poisson distribution. a) P (x 8) b) P(X 8) c) P(at least 8)

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The probability of having exactly 8 phone calls between 2:00 pm and 2:10 pm at a computer software help desk, assuming a Poisson distribution with a rate of 3 calls per minute, is approximately 0.021. The probability of having at least 8 calls during that time period is approximately 0.056.

The Poisson distribution is commonly used to model the number of events that occur within a fixed interval of time or space, given the average rate of occurrence. In this case, we are given that the rate of phone calls to the help desk is 3 calls per minute during the afternoon. We need to calculate the probability of different scenarios based on this information.

To find the probability of exactly 8 phone calls between 2:00 pm and 2:10 pm, we can use the Poisson probability formula:

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

Where λ is the average rate of occurrence (3 calls per minute), and x is the number of events we're interested in (8 calls). Plugging in these values, we get:

P(X = 8) = ([tex]e^(-3)[/tex] * [tex]3^8[/tex]) / 8!

Calculating this expression, we find that P(X = 8) is approximately 0.021.

To calculate the probability of at least 8 calls, we need to sum the probabilities of having 8, 9, 10, and so on, up to infinity. However, since calculating infinite terms is not feasible, we can use the complement rule: P(at least 8) = 1 - P(X < 8).

To find P(X < 8), we can sum the probabilities of having 0, 1, 2, 3, 4, 5, 6, and 7 calls. Using the same Poisson probability formula, we calculate:

P(X < 8) = P(X = 0) + P(X = 1) + P(X = 2) + P(X = 3) + P(X = 4) + P(X = 5) + P(X = 6) + P(X = 7)

Summing these individual probabilities, we find that P(X < 8) is approximately 0.944. Therefore, P(at least 8) = 1 - 0.944 ≈ 0.056.

Finally, the probability of having exactly 8 phone calls between 2:00 pm and 2:10 pm is approximately 0.021, and the probability of having at least 8 calls during that time period is approximately 0.056, assuming a Poisson distribution with a rate of 3 calls per minute.

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s3 is the given function even or odd or neither even nor odd? find its fourier series. show details of your work. f (x) = x2 (-1 ≤ x< 1), p = 2

Answers

Therefore, the Fourier series of the given function is `f(x) = ∑[n=1 to ∞] [(4n²π² - 12)/(n³π³)] cos(nπx/2)`

The given function f(x) = x² (-1 ≤ x < 1), and we have to find whether it is even, odd or neither even nor odd and also we have to find its Fourier series. Fourier series of a function f(x) over the interval [-L, L] is given by `

f(x) = a0/2 + ∑[n=1 to ∞] (an cos(nπx/L) + bn sin(nπx/L))`

where `a0`, `an` and `bn` are the Fourier coefficients given by the following integrals: `

a0 = (1/L) ∫[-L to L] f(x) dx`, `

an = (1/L) ∫[-L to L] f(x) cos(nπx/L) dx` and `

bn = (1/L) ∫[-L to L] f(x) sin(nπx/L) dx`.

Let's first determine whether the given function is even or odd:

For even function f(-x) = f(x). Let's check this:

f(-x) = (-x)² = x² which is equal to f(x).

Therefore, the given function f(x) is even.

Now, let's find its Fourier series.

Fourier coefficients `a0`, `an` and `bn` are given by:

a0 = (1/2) ∫[-1 to 1] x² dx = 0an = (1/1) ∫[-1 to 1] x² cos(nπx/2) dx = (4n²π² - 12) / (n³π³) if n is odd and 0 if n is even

bn = 0 because the function is even

Therefore, the Fourier series of the given function is `

f(x) = ∑[n=1 to ∞] [(4n²π² - 12)/(n³π³)] cos(nπx/2)`

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Find the probability that in a random sample of size n=3 from the beta population of\alpha =3and\beta =2, the largest value will be less than 0.90.
Please explain in full detail!

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The probability that in a random sample of size n=3 from the beta population of α=3 and β=2, the largest value will be less than 0.90 is approximately 0.784.

To calculate the probability, we need to understand the nature of the beta distribution and the properties of random sampling. The beta distribution is a continuous probability distribution defined on the interval [0, 1] and is commonly used to model random variables that have values within this range.

In this case, the beta population has parameters α=3 and β=2. These parameters determine the shape of the distribution. In general, higher values of α and β result in a distribution that is more concentrated around the mean, which in this case is α / (α + β) = 3 / (3 + 2) = 0.6.

Now, let's consider the random sample of size n=3. We want to find the probability that the largest value in this sample will be less than 0.90. To do this, we can calculate the cumulative distribution function (CDF) of the beta distribution at 0.90 and raise it to the power of 3, since all three values in the sample need to be less than 0.90.

Using statistical software or tables, we find that the CDF of the beta distribution with parameters α=3 and β=2 evaluated at 0.90 is approximately 0.923. Raising this value to the power of 3 gives us the probability that all three values in the sample are less than 0.90, which is approximately 0.784.

Therefore, the probability that in a random sample of size n=3 from the beta population of α=3 and β=2, the largest value will be less than 0.90 is approximately 0.784.

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Homework: Section 5.2 Homework Question 11, 5.2.26 Part 1 of 2 HW Score: 40%, 6 of 15 points O Points: 0 of 1 Save A survey showed that 75% of adults need correction (eyeglasses, contacts, surgery, et

Answers

The probability that at least 12 of them need correction is 12.67%

Calculating the probability at least 12 of them need correction

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

Sample, n = 13

Proportion, p = 75%

The required probability is represented as

P(At least 12) = P(12) + P(13)

Where

P(x) = C(n, x) * pˣ * (1 - p)ⁿ ⁻ ˣ

So, we have

P(At least 12) = C(13, 12) * (75%)¹² * (1 - 75%) + C(13, 13) * (75%)¹³

Evaluate

P(At least 12) = 12.67%

Hence, the probability is 12.67%

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Question

A survey showed that 75% of adults need correction (eyeglasses, contacts, surgery, etc.) for their eyesight. If 13 adults are randomly selected, find the probability that at least 12 of them need correction for their eyesight

answer pls A set of data with a correlation coefficient of -0.855 has a a.moderate negative linear correlation b. strong negative linear correlation c.weak negative linear correlation dlittle or no linear correlation

Answers

Option b. strong negative linear correlation is the correct answer. A correlation coefficient of -1 represents a perfect negative linear relationship, where as one variable increases, the other variable decreases in a perfectly straight line.

A set of data with a correlation coefficient of -0.855 has a strong negative linear correlation.

The correlation coefficient measures the strength and direction of the linear relationship between two variables. In this case, since the correlation coefficient is -0.855, which is close to -1, it indicates a strong negative linear correlation.

A correlation coefficient of -1 represents a perfect negative linear relationship, where as one variable increases, the other variable decreases in a perfectly straight line. The closer the correlation coefficient is to -1, the stronger the negative linear relationship. In this case, with a correlation coefficient of -0.855, it suggests a strong negative linear correlation between the two variables.

Therefore, option b. strong negative linear correlation is the correct answer.

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