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Sonja [21]
3 years ago
6

The length of a rectangle is twice its width.

Mathematics
1 answer:
Ronch [10]3 years ago
6 0

Answer:

l = 14 w = 7

Step-by-step explanation:

14 x 2 = 28

7 x 2 - 14

28 + 14 = 42

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Using a white-board with graph paper or graphing technology such as Geogebra be able to perform a reflection for a pre-image ove
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Explanation:

The line of reflection is the perpendicular bisector of the segment joining a point with its reflected image.

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The segment joining a point with its reflection is as short as possible consistent with the requirement that the reflected point be the same distance from the line that the original is. That means it is perpendicular to the line of reflection. Since the distance from that line is the same on either side, the line of reflection bisects the joining segment.

7 0
3 years ago
The height of a stack of DVD cases is proportional to the number of cases in the stack. The height of 6 DVD cases is 114 mm.
Zanzabum
OK so my answer is from what you’ve just explained that means you multiply the six and the 114 is 684 so that means if you have to do that to 13 of them that means 684×13 is what your equation would be in the answer to 684×13 is 8892
8 0
2 years ago
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Marvin invested 65% of his retirement account in stocks and 35% in gold. Marvin believes that the return to stocks over the next
ser-zykov [4K]

Answer:

1)

the mean rate of return is 17 %

the standard deviation of return is 17.06055

2)

the probability that Marvin's portfolio will make at least 20% over the next 12 months is 0.4325

Step-by-step explanation:

Given the data in the question;

1)

For the portfolio, the mean return and standard deviation are computed as follows;

Mean = Return = 0.65 × 10 + 0.35 × 30

= 6.5 + 10.5

= 17 %

Therefore, the mean rate of return is 17 %

Standard deviation will be;

σp = √( 0.65² × 15² + 0.35² × 40² )

= √( 0.4225 × 225 + 0.1225 × 1600 )

= √( 95.0625 + 196 )  

= √291.0625

= 17.06055  

Therefore, the standard deviation of return is 17.06055

2)  

probability that Marvin's portfolio will make at least 20% over the next 12 months.

P( X > 20 )

we convert to a standard normal variable;

Z = \frac{20-17}{17.06055} )

Z = 0.17

from z table, p-value is;

p( X < 20 ) = 0.5675

P( X > 20 ) 1 - 0.5675  = 0.4325

Therefore, the probability that Marvin's portfolio will make at least 20% over the next 12 months is 0.4325

5 0
3 years ago
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padilas [110]

Answer:

Step-by-step explanation:

p+1 +8 = 8p+16

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A cell phone plan charges $15
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I agree the answer is 19.8
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