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Anit [1.1K]
3 years ago
8

NEED ASAP, graph it: y = 7/4x - 3; y = 4

Mathematics
1 answer:
pychu [463]3 years ago
6 0

Answer:

you should go to desmos graphing and type in your equation, it graphs it for you.

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What are the factors of 20​
Nesterboy [21]

Answer:

1,2,4,5,10,20

Step-by-step explanation:

1*20

2*10

4*5

These are the factors of 20

5 0
3 years ago
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Note: if your not in high school don’t do the problem..
Sunny_sXe [5.5K]

2+5-(3-3)

2+5-0

7-0

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hope this helps

4 0
3 years ago
What is the definition of area of a kite
viktelen [127]

Answer:

The diagonal * the other diagonal, all divided by two.

Step-by-step explanation:

A kite in other words is a rhombus. To find the area of a rhombus we need to multiply 1/2 * p * q

Where p is one diagonal and q is the other.

6 0
4 years ago
A cannon launches a cannonball from a height of 3 feet with an upward velocity of 40 feet per second. The function h=-16t^2+40t+
gavmur [86]
A)  We want to know when h=10 so

10=-16t^2+40t+3

16t^2-40t+7=0

Using the quadratic formula:

t=(40±√1152)/32 

t≈0.189 and 2.311 seconds

So it is at 10 ft twice, about 2/10 of a second when it is rising and at 2 3/10 of a second when it is falling...

b.

The maximum height of the ball is when velocity is equal to zero, or dh/dt=0

dh/dt=-32t+40, dh/dt=0 when 32t=40, t=40/32=5/4=1.25 seconds

h(1.25)=28ft

So the maximum height of the ball occurs after 1.25 seconds and reaches a height of 28 feet.
3 0
3 years ago
Read 2 more answers
A bank is reviewing its risk management policies with regards to mortgages. To minimize the risk of lending, the bank wants to c
agasfer [191]

1. μ = 306,500

2.σ = 24,500

3. n = 150

4. μ_x = $306,500

5. σ_x = $2000

<h3>What is Standard deviation?</h3>

The standard deviation serves as a gauge for the degree of variation or dispersion among a group of numbers. While a high standard deviation suggests that the values are dispersed throughout a wider range, a low standard deviation suggests that the values tend to be close to the mean of the collection.

With a standard deviation of $24,500 and an average mortgage debt of $306,500, Americans have a median mortgage debt.

<h3>According to the given information:</h3>

The population's average is

μ = 306,500

Standard deviation for the general population is

σ = 24500

Imagine 150 Americans are chosen at random for the sample.

n= 150

The sample mean is roughly normally distributed as a result of the high sample size, which is supported by the central limit theorem.

The population mean and sample mean would be the same,

μ_n = μ =306,500

Here is how to calculate the sample standard deviation:

\sigma_{x}=\frac{\sigma}{\sqrt{n}}

the sample size is n, and is the population standard deviation.

\begin{aligned}&\sigma_{x}=\frac{24,500}{\sqrt{150}} \\&\sigma_{x}=\$ 2,000\end{aligned}

The necessary conditions are thus:

1. μ = 306,500

2.σ = 24,500

3. n = 150

4. μ_x = $306,500

5. σ_x = $2000

To know more about Standard deviation visit:

brainly.com/question/16965372

#SPJ4

I understand that the question you are looking for is :

A bank is reviewing its risk management policies with regards to mortgages. To minimize the risk of lending, the bank wants to compare the typical mortgage owed by their clients against other homebuyers. The average mortgage owed by Americans is $306,500, with a standard deviation of $24,500. Suppose a random sample of 150 Americans is selected. Identify each of the following, rounding your answers to the nearest cent when appropriate:

1.1.  $mu=?\\2. $sigma=?\\3. $=n=$\\4. $mu_{overlinex}=$x=?\\5. $sigma_{overlinex}=$x=?

4 0
2 years ago
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