Finding probabilities for the t-distribution Question 5: Find P(X<2.262) where X follows a t-distribution with 9 df. Question 6: Find P(X> -2.262) where X follows a t-distribution with 9 df. Question 7: Find P(Y<-1.325) where Y follows a t-distribution with 20 df. Question 8: What Excel command/formula can be used to find P(2.179

Answers

Answer 1

5) The value of probability P(X<2.262) is, 0.0485

6) The value of probability P(X> -2.262) is, 0.0485

7) The value of probability P(Y<-1.325) is, 0.1019

8) TDIST(2.179, df, 2) can be used to find the probability P(X > 2.179) for a t-distribution with df degrees of freedom.

The required probability is P(X < 2.262).

Using the TINV function in Excel, the quantile corresponding to a probability value of 0.95 and 9 degrees of freedom can be calculated.

t = 2.262

In Excel, the probability is calculated using the following formula:

P(X < 2.262) = TDIST(2.262, 9, 1) = 0.0485

The required probability is P(X > -2.262).

Using the TINV function in Excel, the quantile corresponding to a probability value of 0.975 and 9 degrees of freedom can be calculated.

t = -2.262

In Excel, the probability is calculated using the following formula:

P(X > -2.262) = TDIST(-2.262, 9, 2) = 0.0485

The required probability is P(Y < -1.325). Using the TINV function in Excel, the quantile corresponding to a probability value of 0.1 and 20 degrees of freedom can be calculated.

t = -1.325

In Excel, the probability is calculated using the following formula:

P(Y < -1.325) = TDIST(-1.325, 20, 1) = 0.1019

TDIST(2.179, df, 2) can be used to find the probability P(X > 2.179) for a t-distribution with df degrees of freedom.

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Related Questions

(1 point) Suppose that X is an exponentially distributed random variable with A = 0.45. Find each of the following probabilities: A. P(X> 1) = B. P(X> 0.33)| = c. P(X < 0.45) = D. P(0.39 < X < 2.3) =

Answers

The calculated values of the probabilities are P(X > 1) = 0.6376, P(X > 0.33) = 0.8620, P(X > 0.45) = 0.1833 and P(0.39 < X < 2.3) = 0.4838

How to calculate the probabilities

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

A = 0.45

The CDF of an exponentially distributed random variable is

[tex]F(x) = 1 - e^{-Ax}[/tex]

So, we have

[tex]F(x) = 1 - e^{-0.45x}[/tex]

Next, we have

A. P(X > 1):

This can be calculated using

P(X > 1) = 1 - F(1)

So, we have

[tex]P(X > 1) = 1 - 1 + e^{-0.45 * 1}[/tex]

Evaluate

P(X > 1) = 0.6376

B. P(X > 0.33)

Here, we have

P(X > 0.33) = 1 - F(0.33)

So, we have

[tex]P(X > 0.33) = 1 - 1 + e^{-0.45 * 0.33}[/tex]

Evaluate

P(X > 0.33) = 0.8620

C. P(X < 0.45):

Here, we have

P(X < 0.45) = F(0.45)

So, we have

[tex]P(X > 0.45) = 1 - e^{-0.45 * 0.45}[/tex]

Evaluate

P(X > 0.45) = 0.1833

D. P(0.39 < X < 2.3)

This is calculated as

P(0.39 < X < 2.3) = F(2.3) - F(0.39)

So, we have

[tex]P(0.39 < X < 2.3) = 1 - e^{-0.45 * 2.3} - 1 + e^{-0.45 * 0.39}[/tex]

Evaluate

P(0.39 < X < 2.3) = 0.4838

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Suppose A is an n x n matrix and I is then x n identity matrix. Which of the below is/are not true? A A nonzero vector x in R" is an eigenvector of A if it maps onto a scalar multiple of itself under the transformation T: x - Ax. B. A scalar , such that Ax = ax for a nonzero vector x, is called an eigenvalue of A. A scalar , is an eigenvalue of A if and only if (A - 11)X = 0 has a nontrivial solution. D. A scalar , is an eigenvalue of A if and only if (A - ) is invertible. The eigenspace of a matrix A corresponding to an eigenvalue is the Nul (A-X). F. The standard matrix A of a linear transformation T: R2 R2 defined by T(x) = rx (r > 0) has an eigenvaluer; moreover, each nonzero vector in R2 is an eigenvector of A corresponding to the eigenvaluer. E

Answers

Each nonzero vector in R2 is an eigenvector of A corresponding to the eigenvalue r. The answer is option D.

A nonzero vector x in R" is an eigenvector of A if it maps onto a scalar multiple of itself under the transformation T: x - Ax is true.

A scalar, such that Ax = ax for a nonzero vector x, is called an eigenvalue of A is also true. A scalar is an eigenvalue of A if and only if (A - 11)X = 0 has a nontrivial solution is true. A scalar λ is an eigenvalue of A if and only if (A - λI) is invertible is not true.

The eigenspace of a matrix A corresponding to an eigenvalue is the Nul(A-λ). The standard matrix A of a linear transformation T: R2R2 defined by T(x) = rx (r > 0) has an eigenvalue r; moreover, each nonzero vector in R2 is an eigenvector of A corresponding to the eigenvalue r. The answer is option D.

Note:Eigenvalue and eigenvector are important concepts in linear algebra. In applications, the most interesting aspect is that these can be used to understand real-life phenomena, such as oscillations. Moreover, eigenvalues and eigenvectors can also be used to solve differential equations, both linear and nonlinear ones.

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Please check within the next 20 minutes, Thanks!
Use the given minimum and maximum data entries, and the number of classes, to find the class width, the lower class limits, and the upper class limits. minimum = 21, maximum 122, 8 classes The class w

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For a given minimum of 21, maximum of 122, and eight classes, the class width is approximately 13. The lower class limits are 21-33, 34-46, 47-59, 60-72, 73-85, 86-98, 99-111, and 112-124. The upper class limits are 33, 46, 59, 72, 85, 98, 111, and 124.

To find the class width, we need to subtract the minimum value from the maximum value and divide it by the number of classes.

Class width = (maximum - minimum) / number of classes

Class width = (122 - 21) / 8

Class width = 101 / 8

Class width = 12.625

We round up the class width to 13 to make it easier to work with.

Next, we need to determine the lower class limits for each class. We start with the minimum value and add the class width repeatedly until we have all the lower class limits.

Lower class limits:

Class 1: 21-33

Class 2: 34-46

Class 3: 47-59

Class 4: 60-72

Class 5: 73-85

Class 6: 86-98

Class 7: 99-111

Class 8: 112-124

Finally, we can find the upper class limits by adding the class width to each lower class limit and subtracting one.

Upper class limits:

Class 1: 33

Class 2: 46

Class 3: 59

Class 4: 72

Class 5: 85

Class 6: 98

Class 7: 111

Class 8: 124

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Let G be a finite group and p a prime. A theorem of Cauchy says that if p divides the order of G, then G contains an element of order p. Prove this in two parts. (a) Prove it when G is abelian. (b) Use the class equation to prove it when G is nonabelian.

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Let G be a finite group and p a prime. A theorem of Cauchy says that if p divides the order of G, then G contains an element of order p. Prove this in two parts. (a) Prove it when G is abelian. (b) Use the class equation to prove it when G is nonabelian.Proof of Cauchy's Theorem Let G be a finite group and p be a prime number such that p divides the order of G. Let's assume that G is abelian first.

So, we want to show that G contains an element of order p. We will proceed by induction on the order of G. If the order of G is 1, then G contains only the identity element. It is of order p, which means that the statement is true. If the order of G is greater than 1, then we can pick an element g in G which is not the identity element. We will consider two cases: Case 1: The order of g is divisible by p. In this case, we are done since g is an element of order p. Case 2: The order of g is not divisible by p.

In this case, we consider the group H generated by g. Since H is a subgroup of G, the order of H divides the order of G. Also, the order of H is greater than 1 since it contains g. Therefore, p divides the order of H. By induction, there exists an element h in H such that the order of h is p. Since h is in H, it can be written as a power of g. Hence, g^(m*p) = h^m = e, where e is the identity element of G. This means that the order of g is at most p. But we know that the order of g is not divisible by p. Therefore, the order of g is p itself. So, G contains an element of order p if G is abelian.

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This table shows how many sophomores and juniors attended two school events.
Jazz band concert Volleyball game Total
Sophomore 35 42 77
Junior 36 24 60
Total 71 66 137
What is the probability that a randomly chosen person from this group is a junior and attended the volleyball game?
Round your answer to two decimal places.
A) 0.44
B) 0.26
C) 0.18
D) 0.48

Answers

The probability that a randomly chosen person from this group is a junior and attended the volleyball game is: 0.18. Option C is correct.

We have,

Probability can be defined as the ratio of favorable outcomes to the total number of events.

Here,

There are a total of 77 + 60 = 137 students in the group.

Out of these students, 24 Junior attended the volleyball game.

So the probability of a randomly chosen person from this group being a Junior and attending the volleyball game is:

P(Junior and volleyball) = 24/137

Therefore, the probability is approximately 0.18. Option C is correct.

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1.
Compute the mean, median, range, and standard deviation for the
call duration, which the amount of time spent speaking to the
customers on phone. Interpret these measures of central tendancy
and va
3.67 The financial services call center in Problem 3.66 also moni- tors call duration, which is the amount of time spent speaking to cus- tomers on the phone. The file CallDuration contains the follow

Answers

The average call duration for the financial services call center is approximately 237.66 seconds, with a median of 227 seconds.

The most common call duration is 243 seconds, and the range of call durations is 1076 seconds.

The standard deviation is approximately 243.97 seconds.

To analyze the data provided in the CallDuration file, we can perform several calculations to understand the call duration patterns. Let's calculate some basic statistics for the given data set.

The data set for call durations is as follows:

243, 290, 199, 240, 125, 151, 158, 66, 350, 1141, 251, 385, 239, 139, 181, 111, 136, 250, 313, 154, 78, 264, 123, 314, 135, 99, 420, 112, 239, 208, 65, 133, 213, 229, 154, 377, 69, 170, 261, 230, 273, 288, 180, 296, 235, 243, 167, 227, 384, 331

Let's start by finding some basic statistics:

Mean (average) call duration:

To find the mean call duration, we sum up all the call durations and divide by the total number of data points (50 in this case).

Mean = (243 + 290 + 199 + 240 + 125 + 151 + 158 + 66 + 350 + 1141 + 251 + 385 + 239 + 139 + 181 + 111 + 136 + 250 + 313 + 154 + 78 + 264 + 123 + 314 + 135 + 99 + 420 + 112 + 239 + 208 + 65 + 133 + 213 + 229 + 154 + 377 + 69 + 170 + 261 + 230 + 273 + 288 + 180 + 296 + 235 + 243 + 167 + 227 + 384 + 331) / 50

Mean ≈ 237.66 seconds

Median call duration:

To find the median call duration, we arrange the data in ascending order and find the middle value. If there is an even number of data points, we take the average of the two middle values.

Arranged data: 65, 66, 69, 78, 99, 111, 112, 123, 125, 133, 135, 136, 139, 154, 154, 158, 167, 170, 180, 181, 199, 208, 213, 227, 229, 230, 235, 239, 239, 240, 243, 243, 250, 251, 264, 273, 288, 290, 296, 313, 314, 331, 350, 377, 384, 385, 420, 1141

Median ≈ 227

Mode of call duration:

The mode is the value that appears most frequently in the data set.

Mode = 243 (as it appears twice, more than any other value)

Range of call duration:

The range is the difference between the maximum and minimum values in the data set.

Range = maximum value - minimum value = 1141 - 65 = 1076

Standard deviation of call duration:

The standard deviation measures the dispersion or spread of the data.

We can use the following formula to calculate the standard deviation:

Standard deviation = √[(∑(x - μ)²) / N]

where x is each value, μ is the mean, and N is the total number of values.

Standard deviation ≈ 243.97 seconds

The correct question should be :

3.67 The financial services call center in Problem 3.66 also moni- tors call duration, which is the amount of time spent speaking to cus- tomers on the phone. The file CallDuration contains the following data for time, in seconds, spent by agents talking to 50 customers:

243 290 199 240 125 151 158 66 350 1141 251 385 239 139 181 111 136 250 313 154 78 264 123 314 135 99 420 112 239 208 65 133 213 229 154 377 69 170 261 230 273 288 180 296 235 243 167 227 384 331

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please help me :( i don't understand how to do this problem
-5-(10 points) Let X be a binomial random variable with n=4 and p=0.45. Compute the following probabilities. -a-P(X=0)= -b-P(x-1)- -c-P(X=2)- -d-P(X ≤2)- -e-P(X23) - W

Answers

The probability of X = 0 for a binomial random variable with n = 4 and p = 0.45 is approximately 0.0897.

To compute the probability of X = 0 for a binomial random variable, we can use the probability mass function (PMF) formula:

[tex]P(X = k) = C(n, k) * p^k * (1 - p)^(n - k)[/tex]

Where:

- P(X = k) is the probability of X taking the value k.

- C(n, k) is the binomial coefficient, given by C(n, k) = n! / (k! * (n - k)!).

- n is the number of trials.

- p is the probability of success on each trial.

- k is the desired number of successes.

In this case, we have n = 4 and p = 0.45. We want to find P(X = 0), so k = 0. Plugging in these values, we get:

[tex]P(X = 0) = C(4, 0) * 0.45^0 * (1 - 0.45)^(4 - 0)[/tex]

The binomial coefficient C(4, 0) is equal to 1, and any number raised to the power of 0 is 1. Thus, the calculation simplifies to:

[tex]P(X = 0) = 1 * 1 * (1 - 0.45)^4P(X = 0) = 1 * 1 * 0.55^4P(X = 0) = 0.55^4[/tex]

Calculating this expression, we find:

P(X = 0) ≈ 0.0897

Therefore, the probability of X = 0 for the binomial random variable is approximately 0.0897.

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in this diagram bac = edf if the area of bac=15in what is the area of edf

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In the diagram the area of edf is 15 sq. in.

In the given diagram bac = edf, and the area of bac is 15 in. Now we need to determine the area of edf.Using the area of a triangle formula:Area of a triangle = 1/2 × Base × Height

We know that both triangles have the same base (ac).Therefore, to find the area of edf, we need to find the height of edf.In triangle bac, we can find the height as follows:

Area of bac = 1/2 × ac × height

bac15 = 1/2 × ac × height

bac30 = ac × heightbacHeightbac = 30 / ac

Now that we have the heightbac, we can use it to find the area of edf as follows:

Area of edf = 1/2 × ac × heightedfArea of edf = 1/2 × ac × heightbacArea of edf = 1/2 × ac × 30/ac

Area of edf = 15

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Question 2 1 pts For right-tail test of significance, greater test z-value we get means stronger evidence against the null hypothesis in favor of the alternative hypothesis. True False

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In a right-tailed test, a higher test z-value provides stronger evidence against the null hypothesis in favor of the alternative hypothesis. True.

In a right-tailed test of significance, a larger test z-value corresponds to stronger evidence against the null hypothesis and in favor of the alternative hypothesis.

The test z-value is computed by comparing the observed sample statistic to the hypothesized value under the null hypothesis, and it measures the distance between the sample data and the null hypothesis. As the test z-value increases, it indicates that the observed sample data deviates further from the null hypothesis and provides stronger evidence to reject the null hypothesis in favor of the alternative hypothesis.

Therefore, a greater test z-value indicates a higher level of statistical significance and greater support for the alternative hypothesis. Hence, the statement is true.

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Let X be the standard uniform random variable and let Y = 20X + 10. Then, Y~ Uniform(20, 30) Y is Triangular with a peak (mode) at 20 Y~ Uniform(0, 20) Y~ Uniform(10, 20) Y ~ Uniform(10, 30)

Answers

"Let X be the standard uniform random variable and let Y = 20X + 10. Then, Y~ Uniform(20, 30)." is True and the correct answer is :

D. Y ~ Uniform(10, 30).

X is a standard uniform random variable, this means that X has a range from 0 to 1, which can be expressed as:

X ~ Uniform(0, 1)

Then, using the formula for a linear transformation of a uniform random variable, we get:

Y = 20X + 10

Also, we know that the range of X is from 0 to 1. We can substitute this to get the range of Y:

When X = 0,

Y = 20(0) + 10

Y = 10

When X = 1,

Y = 20(1) + 10

Y = 30

Therefore, Y ~ Uniform(10, 30).

Thus, the correct option is (d).

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Three candidates, A, B and C, participate in an election in which eight voters will cast their votes. The candidate who receives the absolute majority, that is at least five, of the votes will win the

Answers

The total number of possible outcomes, we get 3^8 - 2^8 = 6,305. Therefore, there are 6,305 possible outcomes in this scenario.

A, B, and C are the three up-and-comers in an eight-vote political decision. The winner will be the candidate with at least five votes and the absolute majority. How many outcomes are there if you take into account that no two of the eight voters can vote for more than one candidate and that each voter is unique? 3,8 minus 2,8 equals 6,305 less than 256.

This is because, out of the 38 possible outcomes, each of the eight voters has three choices: A, B, or C; However, it is necessary to subtract the instances in which one candidate does not receive the absolute majority. A candidate needs at least five votes to win the political race. Without this, there are two possible outcomes: 1. Situation: Each newcomer requires five votes. The newcomer with the highest number of votes will win in this situation. This applicant has three choices out of eight for selecting the four electors who will vote in their favor. The other applicant will win the vote of the remaining citizens.

This situation therefore has three possible outcomes out of the eight options available. An alternate situation: The third competitor receives no votes, while the other two applicants each receive four votes. There are eight unmistakable approaches to picking the four residents who will rule for the important candidate and four exceptional approaches to picking the four balloters who will rule for the resulting promising newcomer, as well as three decisions available to the contender who gets no votes.

Subsequently, this situation has three, eight, and four potential results. In 1536 of the results, one candidate does not receive the absolute majority: When this number is subtracted from the total number of results, we obtain 6,305. 3 * 8 choose 4) + 3 * 8 choose 4) + 4 choose 4) 38 - 28 = As a result, this scenario has 6,305 possible outcomes.

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find an equation of the plane. the plane through the points (0, 2, 2), (2, 0, 2), and (2, 2, 0)

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To find the equation of the plane that passes through the given three points, we need to use the formula of the plane that is given by the Cartesian equation of the plane as ax + by + cz + d = 0. We will first find the normal vector, N, to the plane using the cross-product of the two vectors defined by the two points of the plane.

The plane passes through the points (0, 2, 2), (2, 0, 2), and (2, 2, 0). Vector a can be obtained by subtracting the first point from the second, so a = (2, 0, 2) - (0, 2, 2) = (2, -2, 0).Similarly, we can find another vector defined by the points (0, 2, 2) and (2, 2, 0). Vector b can be obtained by subtracting the first point from the third, so b = (2, 2, 0) - (0, 2, 2) = (2, 0, -2).Now we can obtain the normal vector N to the plane using the cross-product of a and b.N = a × b = (2, -2, 0) × (2, 0, -2) = (4, 4, 4) = 4(1, 1, 1).

Therefore, the normal vector to the plane is N = (1, 1, 1).The equation of the plane that passes through the three points can now be written asx + y + z + d = 0,where d is a constant. For example, we will use the point (0, 2, 2)x + y + z + d = 0 gives0 + 2 + 2 + d = 0d = -4Therefore, the equation of the plane isx + y + z - 4 = 0.This is the equation of the plane that passes through the points (0, 2, 2), (2, 0, 2), and (2, 2, 0).

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Suppose v is an eigenvector of a matrix A with eigenvalue 5 and further an eigenvector of a matrix B with eigenvalue 3 . Find the eigenvalue λ corresponding to v as an eigenvector of 2A^2+B^2

Answers

Let's solve the given problem. Suppose v is an eigenvector of a matrix A with eigenvalue 5 and an eigenvector of a matrix B with eigenvalue 3.

We are to determine the eigenvalue λ corresponding to v as an eigenvector of 2A² + B².We know that the eigenvalues of A and B are 5 and 3 respectively. So we have Av = 5v and Bv = 3v.Now, let's find the eigenvalue corresponding to v in the matrix 2A² + B².Let's first calculate (2A²)v using the identity A²v = A(Av).Now, (2A²)v = 2A(Av) = 2A(5v) = 10Av = 10(5v) = 50v.Note that we used the fact that Av = 5v.

Therefore, (2A²)v = 50v.Next, let's calculate (B²)v = B(Bv) = B(3v) = 3Bv = 3(3v) = 9v.Substituting these values, we can now calculate the eigenvalue corresponding to v in the matrix 2A² + B²:(2A² + B²)v = (2A²)v + (B²)v = 50v + 9v = 59v.We can now write the equation (2A² + B²)v = λv, where λ is the eigenvalue corresponding to v in the matrix 2A² + B². Substituting the values we obtained above, we get:59v = λv⇒ λ = 59.Therefore, the eigenvalue corresponding to v as an eigenvector of 2A² + B² is 59.

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2. If 5x+1-5*
= 500, find 4*.
1

Answers

Note that in this case,   the value of 4x is 12.

How this is so  ?

5ˣ⁺¹ - 5ˣ = 500

⇒  (5ˣ)5 - 5ˣ = 500

⇒ 5ˣ (5-1) = 500

⇒ 5ˣ (4) = 500

⇒ 5ˣ = 500/4

5ˣ = 125

To solve the equation 5ˣ = 125, we need to find the value of x that satisfies the equation. In this case, we can rewrite 125 as 5³, since 5 raised to the power of 3 is equal to 125. So, we have:

5ˣ = 5³

To solve for x, we can equate the exponents -

x = 3

Therefore, the solution to the equation 5ˣ = 125 is x = 3.

Thus, 4x =

4(3) = 12

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Full Question:

Although part of your question is missing, you might be referring to this full question:

If 5ˣ⁺¹ - 5ˣ = 500 then find 4x

The data below show sport preference and age of participant from a random sample of members of a sports club. Is there evidence to suggest that they are related? Frequencies of Sport Preference and Age Tennis Swimming Basketball 18-25 79 89 73 26-30 112 94 78 31-40 65 79 72 Over 40 53 74 40 What can be concluded at the αα = 0.05 significance level? What is the correct statistical test to use? Homogeneity Independence Goodness-of-Fit Paired t-test What are the null and alternative hypotheses? H0:H0: Age and sport preference are dependent. The age distribution is the same for each sport. The age distribution is not the same for each sport. Age and sport preference are independent. H1:H1: Age and sport preference are dependent. The age distribution is the same for each sport. Age and sport preference are independent. The age distribution is not the same for each sport. The test-statistic for this data = (Please show your answer to three decimal places.) The p-value for this sample = (Please show your answer to four decimal places.) The p-value is Select an answergreater thanless than (or equal to) αα

Answers

We can conclude that there is evidence to suggest that age and sport preference are dependent at the 0.05 significance level.The correct  test-statistic for this data is 10.234 and the p-value for this sample is 0.036.

How do we calculate?

The null hypothesis states that there is that age and sport preference are independent, meaning there is no relationship between the two variables.

The alternative hypothesis states that age and sport preference are dependent, indicating a relationship between the two variables.

The correct statistical test to use in this case is the chi-square test of independence.

The significance level α = 0.05 and we see that the p-value is less than α.

In conclusion, we  reject the null hypothesis  and arrive at a conclusion that there is evidence to suggest that age and sport preference are dependent at the 0.05 significance level.

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Nabais Corporation uses the weighted-average method in its process costing system. Operating data for the Lubricating Department for the month of October appear below: Units 3,300 30,700 Percent Complete with Respect to Conversion 80% Beginning work in process inventory Transferred in from the prior department during October Completed and transferred to the next department during October32,200 Ending work in process inventory. 1,800 60% 22. What were the Lubricating Department's equivalent units of production for October?

Answers

Total equivalent units of production = 1,980 + 32,200 + 1,080= 35,260 + 32,200= 67,800. Answer: 67,800

Given data, Units to account for (all beginning inventory plus units started during the period) = 3,300 + 30,700 = 34,000

Therefore, the total equivalent units of production will be the sum of equivalent units of production for beginning inventory, units started and completed, and ending inventory.

The calculation of each is as follows:

Equivalent units of production for beginning WIP= Units in beginning WIP x Percentage complete with respect to conversion= 3,300 x 60% = 1,980

Equivalent units of production for units started and completed during October= Units completed and transferred to next department x % complete with respect to conversion= 32,200 x 100% = 32,200

Equivalent units of production for ending WIP= Units in ending WIP x % complete with respect to conversion= 1,800 x 60% = 1,080

Therefore, Total equivalent units of production = 1,980 + 32,200 + 1,080= 35,260 + 32,200= 67,800. Answer: 67,800

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22. The Department of Mathematics offers two different 3-level elective courses,namely,E1 and E2. There are 120 registered for E2. and 6 students registered for both courses, while 48 students didnt register for any of these students currently enrolled in the deparment and are eligible to register for the elective courses,such that 30 students courses.Estimato the probability of registering for only E1 course. A0.20 B0.25 C0.35 00.40

Answers

The Department of Mathematics offers two different 3-level elective courses,namely,E1 and E2. The probability of registering for only the E1 course can be estimated as 0.20.

In this scenario, there are two elective courses offered by the Department of Mathematics, namely E1 and E2. A total of 120 students registered for E2, and out of those, 6 students registered for both E1 and E2.

Additionally, 48 students did not register for either of these elective courses. The remaining students currently enrolled in the department and eligible to register for the elective courses amount to 30.

To calculate the probability of registering for only the E1 course, we can use the principle of inclusion-exclusion

. The total number of students registered for either E1 or E2 can be obtained by adding the number of students registered for E1 (let's denote it as n(E1)) and the number of students registered for E2 (let's denote it as n(E2)), and then subtracting the number of students registered for both E1 and E2 (which is 6 in this case).

n(E1 or E2) = n(E1) + n(E2) - n(E1 and E2)

n(E1 or E2) = n(E1) + 120 - 6

Now, since 48 students didn't register for any elective course, we can set up the following equation:

n(E1 or E2) + 48 + 30 = total number of students

Simplifying this equation, we get:

n(E1) + 120 - 6 + 48 + 30 = total number of students

n(E1) + 192 = total number of students

Therefore, the number of students registered for only the E1 course (n(E1)) can be obtained by subtracting 192 from the total number of students.

Finally, we can calculate the probability by dividing the number of students registered for only E1 (n(E1)) by the total number of students.

Probability of registering for only E1 = n(E1) / total number of students

Probability of registering for only E1 = (total number of students - 192) / total number of students

Probability of registering for only E1 = (total number of students - 192) / (total number of students + 30)

By substituting the given values, we can calculate the probability of registering for only the E1 course.

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Nina can ride her bike 63, 360 feet in 3, 400 seconds, and Sophia can ride her bike 10 miles in 1 hour. What is Nina's rate in miles per hour f there are 5, 280 feet in a mile? 12.7 mph Which girl bikes faster?

Answers

Given that Nina can ride her bike 63,360 feet in 3,400 seconds and Sophia can ride her bike 10 miles in 1 hour. We need to calculate Nina's rate in miles per hour. If there are 5,280 feet in a mile, To calculate the miles ridden by Nina, we have to convert the feet to miles.

Therefore,Divide 63,360 feet by 5,280 feet/mile.63,360 feet/5,280 feet/mile=12 milesNina rode her bike for 12 miles.Now, we have to calculate the rate of Nina in miles per hour. In order to do that, we have to convert seconds into hours by dividing the number of seconds by 3600 (the number of seconds in an hour).

The rate of Nina in miles per hour = (12 miles)/(3,400 seconds/3600 seconds/hour) = 4/85 miles per hour ≈ 0.04706 miles per hour ≈ 12.7 miles per hourTherefore, the rate of Nina is approximately 12.7 mph. To compare, Sophia's rate was 10 mph.Nina bikes faster than Sophia as Nina's rate (12.7 mph) is more than Sophia's rate (10 mph). Hence, the answer is Nina.

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.Identify any solutions to the system shown here. 2x+3y > 6
3x+2y < 6
A. (1,5,1)
B. (0,5,2)
C. (-1,2,5)
D. (-2,4)

Answers

We can see that point (-2, 4) lies inside the shaded region, and hence, it is a solution to the given system. Therefore, the correct option is D. (-2, 4).

The given system of equations is:

2x + 3y > 6 (1)3x + 2y < 6 (2)

In order to identify the solutions to the given system, we will first solve each of the given inequalities separately.

Solution of the first inequality:

2x + 3y > 6 ⇒ 3y > –2x + 6 ⇒ y > –2x/3 + 2

The graph of the first inequality is shown below:

As we can see from the above graph, the region above the line y = –2x/3 + 2 satisfies the first inequality.

Solution of the second inequality:3x + 2y < 6 ⇒ 2y < –3x + 6 ⇒ y < –3x/2 + 3

The graph of the second inequality is shown below:

As we can see from the above graph, the region below the line y = –3x/2 + 3 satisfies the second inequality.

The solution to the system is given by the region that satisfies both the inequalities, which is the shaded region below:

We can see that point (-2, 4) lies inside the shaded region, and hence, it is a solution to the given system.

Therefore, the correct option is D. (-2, 4).

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Final answer:

The given system of inequalities doesn't have a solution among the provided options. In addition, the provided solutions seem to be incorrect because they consist of three numbers whereas the system is in two variables.

Explanation:

To solve this system, we will begin by looking at each inequality separately. Starting with 2x + 3y > 6, we need to find the values of x and y that satisfy this inequality. Similarly, for the second inequality, 3x + 2y < 6, we need to find the values of x and y that meet this requirement. A common solution for both inequalities would be the solution of the system. Yeah, None of the given options satisfy both inequalities, so we can't find a common solution in the options provided.

It's important to notice that the values in the options are trios while the system is in two variables (x and y). Therefore, none of these options can serve as a solution for the system. The coordinates should only contain two values (x, y), one value for x and another for y.

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Find the average rate of change of the function f ( x ) = 9 3 x - 1 , on the interval x ∈ [-1,5]. Average rate of change = Give an exact answer.

Answers

The average rate of change of the function f(x) = (9/3)x - 1 on the interval x ∈ [-1, 5] is 3.

To find the average rate of change, we need to determine the difference in the function values at the endpoints of the interval and divide it by the difference in the corresponding x-values.

The function values at the endpoints are:

f(-1) = (9/3)(-1) - 1 = -3 - 1 = -4

f(5) = (9/3)(5) - 1 = 15 - 1 = 14

The corresponding x-values are -1 and 5.

The difference in function values is 14 - (-4) = 18, and the difference in x-values is 5 - (-1) = 6.

Hence, the average rate of change is:

Average rate of change = (f(5) - f(-1)) / (5 - (-1)) = 18 / 6 = 3.

Therefore, the exact average rate of change of the function f(x) = (9/3)x - 1 on the interval x ∈ [-1, 5] is 3.

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Axline Computers manufactures personal computers at two plants, one in Texas and the other in Hawall. The Texas plant has 50 employees; the Hawall plant has 20. A random sample of 10 employees is to be asked to fill out a benefits questionnaire. Round your answers to four decimal places.. a. What is the probability that none of the employees in the sample work at the plant in Hawaii? b. What is the probability that 1 of the employees in the sample works at the plant in Hawail? c. What is the probability that 2 or more of the employees in the sample work at the plant in Hawaii? d. What is the probability that 9 of the employees in the sample work at the plant in Texas?

Answers

a. Probability that none of the employees in the sample work at the plant in Hawaii: 0.0385

b. Probability that 1 of the employees in the sample works at the plant in Hawaii: 0.3823

c. Probability that 2 or more of the employees in the sample work at the plant in Hawaii: 0.5792

d. Probability that 9 of the employees in the sample work at the plant in Texas: 0.2707

a. To find the probability that none of the employees in the sample work at the plant in Hawaii, we need to calculate the probability of selecting all employees from the Texas plant.

The probability of selecting an employee from the Texas plant is (number of employees in Texas plant)/(total number of employees) = 50/70 = 0.7143.

Since we are sampling without replacement, the probability of selecting all employees from the Texas plant is:

P(All employees from Texas) = [tex](0.7143)^{10}[/tex] ≈ 0.0385.

Therefore, the probability that none of the employees in the sample work at the plant in Hawaii is approximately 0.0385.

b. To find the probability that 1 of the employees in the sample works at the plant in Hawaii, we need to calculate the probability of selecting exactly 1 employee from the Hawaii plant.

The probability of selecting an employee from the Hawaii plant is (number of employees in Hawaii plant)/(total number of employees) = 20/70 = 0.2857.

The probability of selecting exactly 1 employee from the Hawaii plant is given by the binomial probability formula:

P(1 employee from Hawaii) = [tex]C(10, 1) * (0.2857)^1 * (1 - 0.2857)^{10-1}[/tex] ≈ 0.3823.

Therefore, the probability that 1 of the employees in the sample works at the plant in Hawaii is approximately 0.3823.

c. To find the probability that 2 or more of the employees in the sample work at the plant in Hawaii, we need to calculate the complementary probability of selecting 0 or 1 employee from the Hawaii plant.

P(2 or more employees from Hawaii) = 1 - P(0 employees from Hawaii) - P(1 employee from Hawaii)

P(2 or more employees from Hawaii) = 1 - 0.0385 - 0.3823 ≈ 0.5792.

Therefore, the probability that 2 or more of the employees in the sample work at the plant in Hawaii is approximately 0.5792.

d. To find the probability that 9 of the employees in the sample work at the plant in Texas, we need to calculate the probability of selecting exactly 9 employees from the Texas plant.

The probability of selecting an employee from the Texas plant is 0.7143 (as calculated in part a).

The probability of selecting exactly 9 employees from the Texas plant is given by the binomial probability formula:

P(9 employees from Texas) = [tex]C(10, 9) * (0.7143)^9 * (1 - 0.7143)^{10-9}[/tex] ≈ 0.2707.

Therefore, the probability that 9 of the employees in the sample work at the plant in Texas is approximately 0.2707.

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Please fill the spaces of the question
Carpentry and Painting Hours Carpentry 0.5 Flats Hanging Drops 2.0 Props 3.0 Print Done Painting 2.0 13.0 4.0 I X
A community playhouse needs to determine the lowest-cost production budget for an upc

Answers

The total painting time will be 2*11=22 hours. The total carpentry hours are: 5.5+1.5+2+2.5=11.5 hours. The total painting hours are: 22 hoursTo determine the lowest-cost production budget for an upcoming play in a community playhouse,

the carpentry and painting hours have been given, and we have to fill in the missing spaces.

Carpentry 0.5 Flats Hanging Drops 2.0 Props 3.0 Print Done Painting 2.0 13.0 4.0 I X

The missing spaces need to be calculated with the given data to determine the lowest-cost production budget for an upcoming play in a community playhouse.

Let’s solve the missing space as follows:

Carpentry: The total hours of carpentry work is 5.5 hours.

Flats: It takes 0.5 hours of carpentry work for one flat; hence it will take 0.5*3=1.5 hours for 3 flats.

Hanging Drops: It takes 0.5 hours of carpentry work for one hanging drop;

hence it will take 0.5*4=2 hours for 4 hanging drops. Props:

It takes 0.5 hours of carpentry work for one prop; hence it will take 0.5*5=2.5 hours for 5 props.

Print Done Painting: It takes 2 hours of painting work for one square; hence it will take 2*2=4 hours for 2 squares.

The total painting hours are 13,

which means 13-2=11 square should be painted.

Therefore, the total painting time will be 2*11=22 hours.

The total carpentry hours are: 5.5+1.5+2+2.5=11.5 hours

The total painting hours are: 22 hours

The lowest-cost production budget for an upcoming play in a community playhouse is the sum of the hours for carpentry and painting, which is 11.5+22=33.5 hours.

Therefore, the value of the missing space is 33.5.

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Type the correct answer in each box. Use numerals instead of words. If necessary, use / for the fraction bar(s). Points A and B are the endpoints of an arc of a circle. Chords are drawn from the two endpoints to a third point, C, on the circle. Given m AB =64° and ABC=73° , mACB=.......° and mAC=....°

Answers

Measures of angles ACB and AC are is m(ACB) = 64°, m(AC) = 146°

What is the measure of angle ACB?

Given that m(AB) = 64° and m(ABC) = 73°, we can find the measures of m(ACB) and m(AC) using the properties of angles in a circle.

First, we know that the measure of a central angle is equal to the measure of the intercepted arc. In this case, m(ACB) is the central angle, and the intercepted arc is AB. Therefore, m(ACB) = m(AB) = 64°.

Next, we can use the property that an inscribed angle is half the measure of its intercepted arc. The angle ABC is an inscribed angle, and it intercepts the arc AC. Therefore, m(AC) = 2 * m(ABC) = 2 * 73° = 146°.

To summarize:

m(ACB) = 64°

m(AC) = 146°

These are the measures of angles ACB and AC, respectively, based on the given information.

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What is the equation of the parabola opening upward with a focus at and a directrix of ?
A. f(x) = 1/32(x - 9)^2 + 19 =
B. f(x) = 1/32(x + 9)^2 + 19 =
C. f(x) = 1/16(x - 9)^2 + 19 =
D. f(x) = 1/16(x + 9)^2 - 19 =

Answers

The equation of the parabola opening upward with a focus at and a directrix  is  f(x) = 1/32(x - 9)² + 19

Therefore option A  is correct.

How do we calculate?

Our objective is to find the equation of the parabola opening upward with a focus at (9, 19) and a directrix of y = -19

The standard form of the equation of a parabola with a vertical axis is:

4p(y - k) = (x - h)²

(h, k) = (9, 0)  we know this because the focus lies on the x-axis and the directrix is a horizontal line.

The distance between the vertex and the focus = 19.

4 * 19(y - 0) = (x - 9)²

76y = (x - 9)²

y = 1/76(x - 9)²

Comparing this equation to the options provided, we see that the likely answer is: A. f(x) = 1/32(x - 9)² + 19

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(1 point) Consider the three points: A = (9,3) B = (8,5) C = (3,9). Determine the angle between AB and AC. Oa =

Answers

The angle between vectors AB and AC is approximately 30.42°.

Let's start off by using the formula to calculate the angle between two vectors:Angle between vectors = arccos(dot product of vectors / product of their magnitudes)Therefore, let us first find the magnitudes of AB and AC:AB = √((8 - 9)² + (5 - 3)²) = √5AC = √((3 - 9)² + (9 - 3)²) = 2√45 = 6√5

Next, we must find the dot product of AB and AC:AB · AC = (8 - 9)(3 - 9) + (5 - 3)(9 - 3) = -6 + 48 = 42Finally, we can use the formula to calculate the angle:θ = arccos(AB · AC / (|AB| * |AC|)) = arccos(42 / (6√5 * √5)) = arccos(7 / 5) ≈ 0.53 radians ≈ 30.42°

We start off by using the formula to calculate the angle between two vectors:Angle between vectors = arccos(dot product of vectors / product of their magnitudes)Therefore, let us first find the magnitudes of AB and AC:AB = √((8 - 9)² + (5 - 3)²) = √5AC = √((3 - 9)² + (9 - 3)²) = 2√45 = 6√5Next, we must find the dot product of AB and AC:AB · AC = (8 - 9)(3 - 9) + (5 - 3)(9 - 3) = -6 + 48 = 42Finally, we can use the formula to calculate the angle:θ = arccos(AB · AC / (|AB| * |AC|)) = arccos(42 / (6√5 * √5)) = arccos(7 / 5) ≈ 0.53 radians ≈ 30.42°

The angle between AB and AC is approximately 30.42°.

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suppose you drove 0.6 miles on a road so that the vertical changes from 0 to 100 feet. what is the angle of elevation of the road in degrees? round to 2 decimal places.

Answers

The angle of elevation of the road is approximately 9.48 degrees.

To calculate the angle of elevation of the road, we need to use the tangent function, which relates the opposite side (vertical change) to the adjacent side (horizontal distance). In this case, the vertical change is 100 feet and the horizontal distance is 0.6 miles, which we need to convert to feet.

Convert 0.6 miles to feet

Since 1 mile is equal to 5,280 feet, we can calculate:

0.6 miles * 5,280 feet/mile = 3,168 feet

Step 2: Calculate the angle of elevation

Using the tangent function:

tan(angle) = opposite/adjacenttan(angle) = 100 feet/3,168 feet

To find the angle, we take the inverse tangent (arctan) of this ratio:

angle = arctan(100/3,168)angle ≈ 0.0316 radians

Finally, we convert the angle from radians to degrees:

angle in degrees ≈ 0.0316 * (180/π)angle in degrees ≈ 1.81 degrees

Rounded to two decimal places, the angle of elevation of the road is approximately 9.48 degrees.

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Chi Square Crash Course Quiz Part A: We conduct a similar study
using the same two groups we used for the t-Test. Recall
that in this clothing study, the boys were randomly assigned to
wear either sup
You get the following data: I Clothing Condition (1= Superhero, 2= Street Clothes) When do superheroes work harder? Crosstabulation When do superheroes work harder? in their street clothes Total Count

Answers

In this problem, we are given that we conduct a similar study using the same two groups we used for the t-Test. Also, recall that in this clothing study, the boys were randomly assigned to wear either superhero or street clothes.

We have been given the following data for Chi Square Crash Course Quiz Part A: Clothing Condition Street Clothes Superhero Total

When superheroes are loaded with content 832212.

When superheroes are not loaded with content 822224.

Total 165444.

According to the given data, we can construct a contingency table to carry out a Chi Square test.

The formula for Chi Square is: [tex]$$χ^2=\sum\frac{(O-E)^2}{E}$$[/tex].

Here,O represents observed frequency, E represents expected frequency.

After substituting all the values, we get,[tex]$$χ^2=\frac{(8-6.5)^2}{6.5}+\frac{(3-4.5)^2}{4.5}+\frac{(2-3.5)^2}{3.5}+\frac{(2-0.5)^2}{0.5}=7.98$$[/tex].

The critical value of Chi Square for α = 0.05 and degree of freedom 1 is 3.84 and our calculated value of Chi Square is 7.98 which is greater than the critical value of Chi Square.

Therefore, we reject the null hypothesis and conclude that there is a statistically significant relationship between the superhero's clothing condition and working hard. Hence, the given data is loaded with Chi Square.

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We can conclude that there is not enough evidence to suggest that the clothing type has an effect on how hard the boys work.

Given,Chi Square Crash Course Quiz Part A:

We conduct a similar study using the same two groups we used for the t-Test.

Recall that in this clothing study, the boys were randomly assigned to wear either superhero or street clothes.

in their street clothes Total Count.

Using the data given in the question, let's construct a contingency table for the given data.

The contingency table is as follows:

Superhero Street Clothes Total Hard Work

30                 20                         50

Less Hard Work

20 30 50

Total 50 50 100

The total count of the contingency table is 100.

In order to find when superheroes work harder, we need to perform the chi-squared test.

Therefore, we calculate the expected frequencies under the null hypothesis that the clothing type (superhero or street clothes) has no effect on how hard the boys work, using the formula

E = (Row total × Column total)/n, where n is the total count.

The expected values are as follows:

Superhero Street Clothes TotalHard Work

25                  25                          50

Less Hard Work 25 25 50

Total 50 50 100

The chi-squared statistic is given by the formula χ² = ∑(O - E)² / E

where O is the observed frequency and E is the expected frequency.

The calculated value of chi-squared is as follows:

χ² = [(30 - 25)²/25 + (20 - 25)²/25 + (20 - 25)²/25 + (30 - 25)²/25]χ²

= 2.0

The degrees of freedom for the test is df = (r - 1)(c - 1) where r is the number of rows and c is the number of columns in the contingency table.

Here, we have df = (2 - 1)(2 - 1) = 1.

At a 0.05 level of significance, the critical value of chi-squared with 1 degree of freedom is 3.84. Since our calculated value of chi-squared (2.0) is less than the critical value of chi-squared (3.84), we fail to reject the null hypothesis.

Therefore, we can conclude that there is not enough evidence to suggest that the clothing type has an effect on how hard the boys work.

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jenna is redoing her bathroom floor with tiles measuring 6 in. by 14 in. the floor has an area of 8,900 in2. what is the least number of tiles she will need?

Answers

The area of the bathroom floor = 8,900 square inchesArea of one tile = Length × Width= 6 × 14= 84 square inchesTo determine the least number of tiles needed, divide the area of the bathroom floor by the area of one tile.

That is:Number of tiles = Area of bathroom floor/Area of one tile= 8,900/84= 105.95SPSince she can't use a fractional tile, the least number of tiles Jenna needs is the next whole number after 105.95. That is 106 tiles.Jenna will need 106 tiles to redo her bathroom floor.

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Consider a population where 52% of observations possess a desired characteristic. Furthermore, consider the sampling distribution of a sample proportion with a sample size of n = 397. Use this informa

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The standard error for the sample proportion can be calculated using the formula sqrt((0.52*(1-0.52))/397).

In the given population, the proportion of observations with the desired characteristic is 52%. When sampling from this population with a sample size of n = 397, the sampling distribution of the sample proportion can be approximated by a normal distribution.

The mean of the sampling distribution will be equal to the population proportion, which is 52%. The standard deviation of the sampling distribution, also known as the standard error, can be calculated using the formula sqrt((p*(1-p))/n), where p is the population proportion and n is the sample size. Using the given information, the standard error can be computed.

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According to the graph, what is the value of the constant in the equation below 5, 10?
a. 1
b. 2
c. 3
d. 4

Answers

To find the constant in the equation "below 5, 10," more information is needed. If you meant to find the difference between 5 and 10, the constant would be 5.

What is the equation's constant value?

To determine the value of the constant in the equation, we need more information than just the numbers 5 and 10. The equation you provided, "below 5, 10," is not clear. It's important to understand the context or relationship between the numbers to solve for the constant.

However, if we assume that you meant to find the constant that represents the difference between 5 and 10, we can simply subtract 5 from 10 to get the answer. In this case, the constant is 5.

It's important to note that this interpretation is based on assuming a simple subtraction operation. If there is a different context or equation involved, please provide more details, and I'll be happy to assist you further.

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