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Bingel [31]
3 years ago
7

PLSSS HELP IF YOU TURLY KNOW THISS

Mathematics
2 answers:
Natalija [7]3 years ago
4 0

Hello there!

11⁶/11²=11/⁴ because when we divide numbers with the same base, we subtract the powers.

11⁴*11⁵=11⁹ because we add the powers when multiplying numbers with the same base.

I hope this helps you!

~Just an emotional teen who listens to her favorite songs

SilentNature

Delvig [45]3 years ago
3 0

for these you have to know that dividing is subtracting and multiplying is adding.

Therefore, you forget about the 11 and focus on the small numbers. Since the first is divide, you subtract 2 from 6. 6-2=4. Then you times which is actually adding. so you do 4 plus 5 which is 9. Then you just add the answer onto 11 making the answer. 11 to the power of 9

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Answer:

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2 years ago
Which set of numbers has the largest variance?
trasher [3.6K]

Answer:

1) (1,3,4.7)

2) 6.8

3) the square root of the variance

4) has the same units as the underlying data

5) It has predictive power.

Step-by-step explanation:

From question one, it is possible to use an excel formula to calculate the variance of the set of numbers.

Now, to calculate the variance in an Excel sheet:

Make sure your data is in a single range of cells in Excel.  

If your data represents the entire population, enter the formula as "=VAR. P(A1:A4). Since, we were given four variables  

The variance for your data will be displayed in the cell.  

i.e for set of numbers (7, 8, 9, 10)

variance = (VAR. P(A1:A4))

= 1.25

for set of numbers (1, 3, 4, 7)

variance = (VAR. P(A1:A4))

= 4.69

for set of numbers (4,2,1, 0)

variance = (VAR. P(A1:A4))

= 2.19

for set of numbers (1, 0, 2, 4)

variance = (VAR. P(A1:A4))

= 2.19

The set of numbers (1,3,4.7) indicates the largest variance from the foregoing.

2) What is the population variance of the following set of numbers: 3, 5, 8, 9, 10?  

Using the same method explained in question 1, the population variance of the following set of numbers 3,5,8,9,10 can be calculated as:

For the set of numbers (3, 5, 8, 9, 10)

Variance = (VAR. P(A1:A5)) since it contains five sets.

= 6.8

3) Variance can be defined as the average of the squared differences from the Mean. Therefore, Standard deviation is the square root of the variance which is given as:

S= \sqrt{\frac{E^N_i(x_i-x)}{N-1} }

where;

s = sample standard deviation

N = the number of observations

x_i = the observed values of a sample item.

x= the mean value of the observations

4) Standard deviation is useful because it has the same units as the underlying data

5)  Of all the characteristics of Standard deviation when relating to finance,  Standard deviation  do not possess  predictive power.

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3 years ago
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