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fenix001 [56]
3 years ago
12

Write the quadratic equation that has a Vertex at -4, negative 1 includes the point -2, 1​

Mathematics
1 answer:
Zolol [24]3 years ago
7 0
Answer:
y = (1/2)(x + 4)^2 - 1

Explanation:

Start with the general quadratic equation in vertex form:
y = a(x - h)^2 + k

The vertex is at (h, k).
* Remember that -h is shown in the equation.


Substitute the information from the question into the general equation.
x = -2
y = 1
h = -4
k = -1

y = a(x - h)^2 + k
1 = a(-2 - (-4))^2 + (-1)

Simplify and isolate “a”
1 = a(-2 + 4)^2 - 1
1 = a(2)^2 - 1
1 = 4a - 1
4a = 2
a = 2/4
a = 1/2

Rewrite the general equation with values for “a”, “h” and “k”.
y = a(x - h)^2 + k
y = (1/2)(x + 4)^2 – 1
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Quadrilateral ABCD is similiar to quadrilateral EFGH. The lengths of the three longest sides in quadrilateral ABCD are 60 feet,
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Answer:

15 feet

Step-by-step explanation:

Quadrilateral ABCD has a scale facter of 2.5 over the quadrilateral EFGH. The order of ABCD is 60, 40, 30, and x, EFGH has y, z, 12, and 6.

6 times the scale factor of 2.5 is 15, the answer.

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What does y=5x+4 look like on slope intercept form?
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Hi, I was doing a problem to review for my semester exam in geometry, and I came across a problem that didn't make sense. I know
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Identify the linear and quadratic factor(s) of the function f(x):
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Answer:

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7 0
2 years ago
The rates of return on the investments in a large portfolio had mound shapeddistribution, with a mean of 20% and a standard devi
Scilla [17]

Answer:

a) 68% of the investments had a return of between 10% and 30%.

b) 32% of investments had a return that was either less than 10% or morethan 30%.

Step-by-step explanation:

We can use the Empirical Rule to solve this question:

The Empirical Rule states that, for a normally distributed random variable:

68% of the measures are within 1 standard deviation of the mean. This also means that 32% of the measures are more than 1 standard deviation from the mean.

95% of the measures are within 2 standard deviation of the mean. This also means that 5% of the measures are more than 2 standard deviations from the mean.

99.7% of the measures are within 3 standard deviations of the mean. This also means that 0.3% of the measures are more than 3 standard deviations from the mean.

In this problem, we have that:

Mean = 20%.

Standard deviation = 10%.

a. What proportion of the investments had a return of between 10% and 30%?

10 is the mean subtracted by 1 one standard deviation

30 is one standard deviation added to the mean.

So 10 and 30 are within 1 standard deviation of the mean. So 68% of the investments had a return of between 10% and 30%.

b. What proportion of investments had a return that was either less than 10% or morethan 30%?

This is the proportion of investments that were farther than one standard deviation of the mean.

By the Empirical Rule, 32% of investments had a return that was either less than 10% or morethan 30%.

6 0
3 years ago
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