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asambeis [7]
3 years ago
13

Use zero product property to solve. F(x)=3x(2x-6)

Mathematics
2 answers:
elena-14-01-66 [18.8K]3 years ago
8 0

Answer:

x = 0 or x = 3

Step-by-step explanation:

Set the output to 0

0 = 3x(2x-6)

Set factors equal to 0.

3x = 0

x = 0

2x - 6 = 0

2x = 6

x = 3

kirill115 [55]3 years ago
7 0

Answer:

x=0    x=3

Step-by-step explanation:

F(x)=3x(2x-6)

Set equal to zero

0 =3x(2x-6)

Using the zero product property

3x =0   2x-6 =0

x =0     2x = 6

             x = 6/2

             x = 3

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xxTIMURxx [149]
12 jasjjsisiaiaiiiiiiiiiiii it’s wrong oops
4 0
2 years ago
Which vector matrix represents the reflection of the vector <-1,5> across the line x = y
Arturiano [62]

Answer:

V = \left[\begin{array}{ccc}5&-1\end{array}\right]

Step-by-step explanation:

We want to reflect this 2x1 vector on the line y = x.

To make this reflection we must use the following matrix:

R=\left[\begin{array}{cc}0&1\\1&0\\\end{array}\right]

Where R is known as the reflection matrix on the line x = y

Now perform the product of the vector <-1,5> x R.

\left[\begin{array}{ccc}-1\\5\end{array}\right]x\left[\begin{array}{ccc}0&1\\1&0\end{array}\right]\\\\\\\left[\begin{array}{ccc}-1(0) +5(1)&-1(1)+5(0)\end{array}\right]\\\\\\\left[\begin{array}{ccc}5&-1\end{array}\right]

The vector matrix that represents the reflection of the vector <-1,5> across the line x = y is:

V = \left[\begin{array}{ccc}5&-1\end{array}\right]

6 0
3 years ago
Risk taking is an important part of investing. In order to make suitable investment decisions on behalf of their customers, port
GrogVix [38]

Answer:

a=49.5 -1.28*15=30.3

So the value of height that separates the bottom 10% of data from the top 90% is 30.3.  

If the score is lower than 30.3 we consider this score as risk averse

Step-by-step explanation:

Previous concepts

Normal distribution, is a "probability distribution that is symmetric about the mean, showing that data near the mean are more frequent in occurrence than data far from the mean".

The Z-score is "a numerical measurement used in statistics of a value's relationship to the mean (average) of a group of values, measured in terms of standard deviations from the mean".  

Solution to the problem

Let X the random variable that represent the scores of a population, and for this case we know the distribution for X is given by:

X \sim N(49.5,15)  

Where \mu=49.5 and \sigma=15

We are interested in the bottom 10% of the data.

For this part we want to find a value a, such that we satisfy this condition:

P(X>a)=0.9   (a)

P(X   (b)

Both conditions are equivalent on this case. We can use the z score again in order to find the value a.  

As we can see on the figure attached the z value that satisfy the condition with 0.1 of the area on the left and 0.9 of the area on the right it's z=-1.28. On this case P(Z<-1.28)=0.1 and P(z>-1.28)=0.9

If we use condition (b) from previous we have this:

P(X  

P(z

But we know which value of z satisfy the previous equation so then we can do this:

z=-1.28

And if we solve for a we got

a=49.5 -1.28*15=30.3

So the value of height that separates the bottom 10% of data from the top 90% is 30.3.  

If the score is lower than 30.3 we consider this score as risk averse

7 0
3 years ago
Triangle JKL is shown below.
Artyom0805 [142]
Where are the answer choices ?
5 0
3 years ago
If it doesn't give me the perimeter, how do i find x from this? thank you!​
Mariulka [41]

The way the angles are labeled tell you that they are all congruent. The two triangles you see here also share the side that joins them. Then by the angle-side-angle postulate, the two triangles are congruent, so x + 23 = 13, or x = -10.

6 0
2 years ago
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