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Mumz [18]
4 years ago
8

Cassie drives 165 miles in 3 hour what is this as a unit rate

Mathematics
1 answer:
mash [69]4 years ago
7 0

Hi,

165 miles ... 3 hours

x miles  ......  1 hour.

x = 165·1/3 = 55 miles/hour.

Unit rate is 55 miles/hour.

Green eyes.

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Written as a simplified polynomial in standard form, what is the result when (2x - 7) ^ 2 is subtracted from 1?
zaharov [31]

Answer:

ans: -4( x-3 )( x-4 ) I.e -4( x² + x - 12 )

Step-by-step explanation:

as per question

1- (2x-7)²

= (1 + 2x - 7)(1- 2x + 7)

= ( 2x - 6)(-2x +8)

= -4(x-3)(x+4)

8 0
3 years ago
Two friends Vicky and Micky start a business together. They decided to share their capitals depending up on the variable expendi
elixir [45]

Answer:

a- x = 5/3, or x = -7/2

b- 675

c - 5·x + 2

Step-by-step explanation:

The polynomial representing the capital of the two partners = 6·x² + 11·x - 35

a. The total share is the capital of the two partners together = 6·x² + 11·x - 35

∴ When their total share is equal to 0, we have;

6·x² + 11·x - 35 = 0

Factorizing the above equation with a graphing calculator gives;

(3·x - 5)·(2·x + 7)

Therefore;

x = 5/3, or x = -7/2

b- The total expenditure, when x = 10 is given by substituting the value of <em>x </em>in the polynomial 6·x² + 11·x - 35, as follows;

When x = 10

6·x² + 11·x - 35 = 6 × 10² + 11 × 10 - 35 = 675

The total expenditure of Vicky and Micky when x = 10 is 675

c - The sum of their expenditure is (3·x - 5) + (2·x + 7) = 5·x + 2

7 0
3 years ago
Do bonds reduce the overall risk of an investment portfolio? Let x be a random variable representing annual percent return for t
rjkz [21]

Answer:

COV (all stocks) = 0.55

COV (stocks and bonds) = 0.82

Step-by-step explanation:

Coefficient of Variation is used to measure variability.

It is defined as the ration of standard deviation and the mean.

It can be used to compare variability of two population or two samples.

Formula:

\text{Coefficient of Variation} = \displaystyle\frac{\text{Standard Deviation}}{\text{Mean}}

\text{Standard Deviation} = \sqrt{\displaystyle\frac{\sum (x_i -\bar{x})^2}{n-1}}

where x_i are data points, \bar{x} is the mean and n is the number of observations.

Mean = \displaystyle\frac{\text{Sum of all observations}}{\text{Total number of observation}}

x: 14, 0, 39, 25, 32, 27, 28, 14, 14, 15

Mean = \frac{208}{10} = 20.8

Standard~Deviation = \sqrt{\frac{1169.6}{9} } = 11.39

Coefficient~of~Variation = \frac{11.39}{20.8} = 0.55

y = 6, 2, 29, 17, 26, 17, 17, 2, 3, 5

Mean = \frac{124}{10} = 12.4

Standard~Deviation = \sqrt{\frac{924.4}{9} } = 10.13

Coefficient~of~Variation = \frac{10.13}{12.4} = 0.82%

Since coefficient of variation of x is less compared to y, thus it could be said bonds does not reduce overall risk of an investment portfolio.

6 0
3 years ago
What’s the the value of x
Verizon [17]

Answer:

12.5\sqrt{3}

Step-by-step explanation:

30-60-90 triangles always have the height be    sqrt3 the base.

5 0
2 years ago
Read 2 more answers
A marketing company had a profit of 5625.14 in January a loss of 4250.35. In February and a profit of 1475.55 in March did the c
timofeeve [1]
Jan. profit.....    5625.14
feb..loss...     - 4250.35
march..profit...1475.55

add the profits and subtract the losses...if the result is positive, then the company made a profit....if the result is negative, then the company had a loss.

(5625.14 + 1475.55) - 4250.35 = 7100.69 - 4250.35 = 2850.34.....as u can see, the result ended in a positive number....so, in the 3 month period, the company made a profit of $ 2850.34 <==
5 0
3 years ago
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