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Murljashka [212]
3 years ago
5

Plsss answer need help fasttttttttttt

Mathematics
1 answer:
alexgriva [62]3 years ago
7 0
10 1/2 or 10.5

Step by step explanation

8+1/2+2+4
Add the whole fractional parts Separately

(8-2+4)+1/2
calculate

10+1/2
Write as a mixed number
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Write 36 + 60 as a product using the GCF as one of the factors.
Anastasy [175]

Answer:

12(3+5)

Step-by-step explanation:

You factor out 12 because it is the GCF, then you divide 36 and 60 by 12.

7 0
3 years ago
Given the probability distributions shown to the​ right, complete the following parts.
Elan Coil [88]

Answer:

a) Expected Value for distribution A, E(X) = 3.020

Expected Value for distribution B, E(X) = 0.980

b) Standard deviation of distribution A = 1.157

Standard deviation of distribution B = 1.157

c) In distribution A, the bigger values of x have a higher probability of occurring than the values of distribution B (whose smaller values of x have a higher chance of occurring, hence, the expected value for distribution A is more than that of distribution B.

But according to the corresponding distribution of values, the two distributions have the same exact spread, A in ascending order (with higher values with bigger probability) and B in descending order (lower values have higher probabilities). But the same spread regardless, hence, the standard deviation which shows how data values spread around the mean (centre point) of a distribution is the same for the two distributions.

Step-by-step explanation:

Expected values is given as

E(X) = Σ xᵢpᵢ

where xᵢ = each possible sample space

pᵢ = P(X=xᵢ) = probability of each sample space occurring.

Distributions A and B is given by

X P(X) X P(x)

0 0.04 0 0.47

1 0.09 1 0.25

2 0.15 2 0.15

3 0.25 3 0.09

4 0.47 4 0.04

For distribution A

E(X) = Σ xᵢpᵢ = (0×0.04) + (1×0.09) + (2×0.15) + (3×0.25) + (4×0.47) = 3.02

For distribution B

E(X) = Σ xᵢpᵢ = (0×0.47) + (1×0.25) + (2×0.15) + (3×0.09) + (4×0.04) = 0.98

b) Standard deviation = √(variance)

But Variance is given by

Variance = Var(X) = Σx²p − μ²

where μ = E(X)

For distribution A

Σx²p = (0²×0.04) + (1²×0.09) + (2²×0.15) + (3²×0.25) + (4²×0.47) = 10.46

Variance = Var(X) = 10.46 - 3.02² = 1.3396

Standard deviation = √(1.3396) = 1.157

For distribution B

Σx²p = (0²×0.47) + (1²×0.25) + (2²×0.15) + (3²×0.09) + (4²×0.04) = 2.30

Variance = Var(X) = 2.30 - 0.98² = 1.3396

Standard deviation = √(1.3396) = 1.157

c) In distribution A, the bigger values of x have a higher probability of occurring than the values of distribution B (whose smaller values of x have a higher chance of occurring, hence, the expected value for distribution A is more than that of distribution B.

But according to the corresponding distribution of values, the two distributions have the same exact spread, A in ascending order (with higher values with bigger probability) and B in descending order (lower values have higher probabilities). But the same spread regardless, hence, the standard deviation which shows how data values spread around the mean (centre point) of a distribution is the same for the two distributions.

7 0
3 years ago
Is there a simplier way for me to answer these question. This is an algebra class on line and I can't communicate with the instr
AveGali [126]

<u>Answer:</u>

The easiest way is to open your book and study the material.

<u>Step-by-step explanation:</u>

First, find a nice quite place.

Second, open the book.

Third, study you chapters.

Forth, bang head and ask questions on Math forums like Brainly

Fifth, study study study. Math is a contact sport so study every chance you get.

Sixth, close book and get a good night sleep. Sleep is very important.

3 0
4 years ago
PLEASE HELP ME PLEASE!!! Question 2
satela [25.4K]

Answer:

2 so b is the answer

Step-by-step explanation:

6 0
3 years ago
Save You More offers a buy one/get one free item each week. Customers who purchase only one of the items must pay the regular pr
Elis [28]
C because the relation acts as a function no mater the 2 items
3 0
3 years ago
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