The scores of students on the SAT college entrance examinations at a certain high school had a normal distribution with mean u and standard deviation o = 26.5. (a) What is the probability that a single student randomly chosen from all those taking the test scores 549 or higher? ANSWER: For parts (b) through (d), consider a simple random sample (SRS) of 30 students who took the test. (b) What are the mean and standard deviation of the sample mean score ł, of 30 students? The mean of the sampling distribution for ž is: The standard deviation of the sampling distribution for ž is: (c) What z-score corresponds to the mean score 7 of 549?

Answers

Answer 1

The correct value of μ = 549 - (z * 26.5) and (549 - μ) / 26.5 = z

(a) To find the probability that a single student randomly chosen from all those taking the test scores 549 or higher, we need to calculate the z-score and then find the corresponding probability using the standard normal distribution.

The z-score formula is given by:

z = (x - μ) / σ

Where:

x = value we are interested in (549)

μ = mean of the distribution (unknown in this case)

σ = standard deviation of the distribution (26.5)

To find the z-score, we rearrange the formula:

z = (x - μ) / σ

(z * σ) + μ = x

μ = x - (z * σ)

Now we can substitute the values and calculate μ:

μ = 549 - (z * 26.5)

To find the probability, we need to calculate the z-score corresponding to the value 549. Since the distribution is normal, we can use a standard normal distribution table or a calculator to find the probability associated with that z-score.

(b) The mean and standard deviation of the sample mean score, Ł (pronounced "x-bar"), of 30 students can be calculated using the formulas:

Mean of the Sampling Distribution (Ł) = μ

Standard Deviation of the Sampling Distribution (σŁ) = σ / sqrt(n)

Where:

μ = population mean (unknown in this case)

σ = population standard deviation (26.5)

n = sample size (30)

(c) To find the z-score that corresponds to the mean score of 549, we use the same formula as in part (a):

z = (x - μ) / σ

Substituting the values:

z = (549 - μ) / 26.5

Since we are given the mean score and need to find the z-score, we rearrange the formula:

(549 - μ) / 26.5 = z

Now we can solve for z.

Please note that the solution to part (a) will provide the value of μ, which is needed to answer parts (b) and (c).

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Related Questions

Which of the following statements best describes the value of the expression 6x + 7 when x = 5?

Answers

Answer:

? is there a option?

Step-by-step explanation:

Answer:

37

Step-by-step explanation:

6x+7

6(5)+7

37

Help me please! I will give 20 points and Brainliest!

Answers

J. 5a + 8 I think
I just added everything together

Solve the inequality below and identify the correct answer: X - 2<-4

Answers

Answer:

x < -2 ?

Step-by-step explanation:

Rhonda has an extra credit protect to make a rectangular prism whit the volume of at least 24 in*3 . if the area of her base is 6 in*3 , which inequality would represent all the possible heights, h, of her prism in order to meet her teachers requirements

A. h > 4
B. h > 8
C. h < 4
D. h < 8



Answers

A is your answer hope that helps!

What is the surface area of this right rectangular prism glass slab with dimensions of 20 inches by 3 inches by 12 inches?
a.576
b.588
c.672
d.648

Answers

Answer:

C. 672

Step-by-step explanation:

Answer:

C) 672

Step-by-step explanation:








Provide an appropriate response, Compute the standardized test statistic x 2 to test the claim o 2.38.7 it n - 12. 52-32.4, and a -0.05. O 0.492 12.961 18.490 9.209

Answers

The standardized test statistic is 12.961

To test the claim that σ = 2.38.7 with n - 12, a = -0.05 and 52-32.4,

we need to calculate the standardized test statistic.

The appropriate response is 12.961.

So, the standardized test statistic is calculated as follows:

`x = (n - 1)s² / σ²`

Where `n` is the sample size, `s` is the sample standard deviation, and `σ` is the population standard deviation.

`n = 12, s = 52 - 32.4 = 19.6, and σ = 2.38.7`

Then, `x² = (12 - 1)(19.6)² / (2.38.7)² = 12.961`

Therefore, the appropriate response is 12.961`.

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Find the lateral surface area.

Answers

Answer:

Step-by-step explanation:

99 times the sum of v and 9

Answers

Answer:

Step-by-step explanation:

99(v + 9) is all you need here.

A formula of order for approximating the first derivative of a function f gives FO) - 4.50557 for h=1 f(0) - 2.09702 for h=0.5 By using Richardson's extrapolation on the above values, a better approximation of '(0) is: 0.97318 1.00177

Answers

A better approximation of f'(0) using Richardson's extrapolation is -6.91412.

To find a better approximation of f'(0) using Richardson's extrapolation, we can apply the formula:

[tex]R(1,1) = f'(h) + (f'(h) - f'(2h))/((1/2)^1 - 1)[/tex], where h is the step size.

Given the values:

f'(1) = -4.50557 (for h = 1)

f'(0.5) = -2.09702 (for h = 0.5)

Let's calculate R(1,1):

[tex]R(1,1) = f'(1) + (f'(1) - f'(0.5))/((1/2)^1 - 1)\\ = -4.50557 + (-4.50557 - (-2.09702))/(2 - 1)\\ = -4.50557 + (-2.40855)/1\\ = -4.50557 - 2.40855\\ = -6.91412.[/tex]

Therefore, a better approximation of f'(0) using Richardson's extrapolation is -6.91412.

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The answer is 3/4 What could the question be? ​

Answers

Answer:

how many brain cells do you have compared to the average person?

Step-by-step explanation:

PLEASE HELP THIS IS MATHHHHH

Answers

what inequality??????

Recall the set T form part 1 of the test: T = {(z,y) € NxN: 1≤z+y≤ 4, z 21 and y ≥ 1}. Moreover, recall the joint pmf of two discrete random variables X and Y: Pxy (z,y) = P(X = 1, Y = y) = { (1+y), if (r,y) eT 0, otherwise. (a) (1 pt) Briefly explain why X and Y are dependent random variables. (b) (2 pts) Compute E[XY]. (c) (2 pts) Determine the covariance of X and Y. Hint. Use the marginal pmf you obtained from part 1 (along with symmetry between X and Y).

Answers

(a)  Explanation:  In order to prove that X and Y are dependent random variables, we need to show that: pX,Y(x,y)≠pX(x)pY(y) when (x,y) ∈ T which means the joint probability of X and Y is not equal to the product of the marginal probability of X and Y.

For (x,y) ∈ T, pX,Y(x,y) = P (X=1, Y=y) = 1+y

But pX(x) = P(X=1) = Σ pX,Y(1, y) = Σ (1+y)

where the summation is taken over all y for which (1, y) ∈ T. For (1,1) ∈ T,

we get pX,Y(1,1) = 2 and pX(1) = Σ pX,Y(1,y) = 2 + 3 = 5. So, pX,Y(1,1) ≠ pX(1)pY(1) which implies that X and Y are dependent random variables.

(b) E[XY] = Σ Σ xy pX,Y(x,y) where the summation is taken over all x and y for which pX,Y(x,y) > 0.

Substituting the values, we get, E[XY] = Σ Σ xy (1+y) where the summation is taken over all (x,y) ∈ T.

So, E[XY] = (1+1) (1+1) + (1+2) (1+2) + (1+3) (1+3) = 2*2 + 3*4 + 4*6 = 2 + 12 + 24 = 38.

(c) Covariance of X and Y can be determined as follows: Cov(X,Y) = E(XY) - E(X)E(Y)Now, E(X) = Σ x pX(x) and E(Y) = Σ y pY(y)

Substituting the values, we get E(X) = 5/9 and E(Y) = 20/9

Therefore, Cov(X, Y) = E(XY) - E(X)E(Y) = 38 - (5/9) (20/9) = 38 - 100/81 = 998/81.

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The Environmental Protection Agency (EPA) requires that cities monitor over 80 contaminants in their drinking water. Samples from the Lake Huron Water Treatment Plant gave the results shown here. All observations were below the allowable maximum, as shown by the reported range of contaminant levels. (presumably the mean would be the midrange) Allowable Substance Range Detected Maximum Origin of Substance Chromium 0.45 to 8.61 100 Discharge from steel and pulp mills, natural erosion Barium 0.006 to 0.018 2 Discharge from drilling wastes, metal refineries, natu Fluoride 1.04 to 1.14 Natural erosion, water additive, discharge from fertil aluminum factories For each substance, estimate the standard deviation o by assuming uniform distribution and normal distribution shown in Table 8.11 in Section 8.8. (Round your answers to 4 decimal places.) Uniform Distribution Normal Distribution Chromium Barium Fluoride

Answers

(i) The uniform and normal distribution for chromium is 2.4927 and 16.5762. (ii) The uniform and normal distribution for Barium is 0.0031 and 0.3323. (iii) The uniform and normal distribution for Fluoride is 0.0289 and 0.0167

For each substance, the standard deviation o is estimated by assuming uniform distribution and normal distribution. The uniform distribution standard deviation is computed using the formula as follows:

o = (b-a) / √12

where

a is the minimum value,

b is the maximum value.

The normal distribution standard deviation is calculated using the formula as follows:

o = (b - a) / 6.

Estimate the standard deviation o for each substance. Round your answers to 4 decimal places. Substance Chromium Barium Fluoride Uniform Distribution. The range of contaminant levels for chromium is from 0.45 to 8.61. The minimum value is 0.45 and the maximum value is 8.61.

(i) Chromium

Uniform distribution

o = (b-a) / √12

  = (8.61 - 0.45) / √12

  = 2.4927

  ≈ 2.4927 (rounded to 4 decimal places)

Normal Distribution

The maximum value for chromium is 100 and the minimum value is 0.45. Thus, the standard deviation o for chromium using normal distribution is:

o = (b-a) / 6

  = (100 - 0.45) / 6

  = 16.5762

  ≈ 16.5762 (rounded to 4 decimal places)

(ii) Barium

Uniform Distribution

The range of contaminant levels for barium is from 0.006 to 0.018. The minimum value is 0.006 and the maximum value is 0.018.

Thus, the standard deviation o for barium using uniform distribution is:

o = (b-a) / √12

  = (0.018 - 0.006) / √12

  = 0.0031

  ≈ 0.0031 (rounded to 4 decimal places)

Normal Distribution

The maximum value for barium is 2 and the minimum value is 0.006. Thus, the standard deviation o for barium using normal distribution is:

o = (b-a) / 6

  = (2 - 0.006) / 6

  = 0.3323

  ≈ 0.3323 (rounded to 4 decimal places)

(iii) Fluoride

Uniform Distribution  

The range of contaminant levels for fluoride is from 1.04 to 1.14. The minimum value is 1.04 and the maximum value is 1.14. Thus, the standard deviation o for fluoride using uniform distribution is:

o = (b-a) / √12

  = (1.14 - 1.04) / √12

  = 0.0289

  ≈ 0.0289 (rounded to 4 decimal places)

Normal Distribution

The maximum value for fluoride is 1.14 and the minimum value is 1.04. Thus, the standard deviation o for fluoride using normal distribution is:

o = (b-a) / 6

  = (1.14 - 1.04) / 6

  = 0.0167

  ≈ 0.0167 (rounded to 4 decimal places).

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Complete Question:

The Environmental Protection Agency (EPA) requires that cities monitor over 80 contaminants in their drinking water. Samples from the Lake Huron Water Treatment Plant gave the results shown here. Only the range is reported, not the mean.

For each substance, estimate the standard deviation σ by using one of the methods shown in Table 8.11 in section 8.8. (Round your answers to 4 decimal places.)

(i) The uniform and normal distribution is Chromium.  

(ii) The uniform and normal distribution is Barium.  

(iii) The uniform and normal distribution is Fluoride.

e. 15 = 1.5t t=? Solve please

Answers

Answer:

E Z

10

Step-by-step explanation:

15 = 1.5t

so t = 15/1.5

      = 10

Answer: t = 10

1. Switch sides

- 1.5t = 15

2. Multiply both sides by 10

- 15t = 150

3. Divide both sides by 15

4. Simplify

t = 10

can some one please help. 4789658953 round to the nearest 10th
mean =
mean absolute deviation =

Answers

Answer:

i believe your answer is.

4,789,658,950

Step-by-step explanation:

f(x) = 9x-7. If f(x)= -7, find x.​

Answers

Answer: the answer is 56

Step-by-step explanation: since the f(x) is -7 it would be 9 times -7 then minus 7 and get the answer.

Solve X
[tex] {16}^{ \frac{1}{5} } \times {2}^{x} = {8}^{ \frac{3}{4} } [/tex]
I got X= 9/10
am I right?​

Answers

16^1/5 = 2^4/5 .. & .. 8^3/4 = 2^9/4

____________

2^4/5 × 2^x = 2^9/4

2^16/20 × 2^x = 2^45/20

2^[ ( 16/20 ) + x ] = 2^45/20

16/20 + x = 45/20

x = 45/20 - 16/20

x = 29/20

Im not sure how to do this can someone please help me only answer if you know

Answers

Answer:

57%

Step-by-step explanation:

FORMULA:LESS/TOTAL × 100%

=52/92 × 100%

=56.52 %

ROUND OFF TO NEAREST WHOLE NUMBER

56.52%=57%

(because the 5 after the (.) is near 1)

Guided Practice
Fill in the blank.

(z−4)(2z+1)=[tex]2z^{2}[/tex]− ___ z−4


A.
7z


B.
9


C.
7

Answers

Answer:  Gradpoint answer

C.

7

Step-by-step explanation:  Math.way answer

Move all terms to the left side and set equal to zero. Then set each factor equal to zero.

Exact Form:

z = 0 ,  7/ 4

Decimal Form:

z = 0 ,  1.75

Mixed Number Form:

z = 0 ,  1  3/ 4

Answer:

7

Step-by-step explanation:

(z – 4)(2z + 1) = z(2z + 1) – 4(2z + 1) = 2z2 + z – 8z – 4 = 2z2 – 7z – 4

The second term is –7z, so 7 fills in the blank.

Please Answer This, the question is on the picture. it needs to be a fraction
will mark brainllest if its right, no links!

Answers

Answer:

x = 19.5   or 19 1/2

Step-by-step explanation:

cos 41 = 14.7/x

x = 19.5

In a recent year, a research organization found that 300 of the 433 respondents who reported earning less than $30,000 per year said they were social networking users. At the other end of the income scale, 353 of the 546 respondents reporting earnings of $75,000 or more were social networking users. Let any difference refer to subtracting high-income values from low-income values. Complete parts a through d below. Assume that any necessary assumptions and conditions are satisfied.

a) Find the proportions of each income group who are social networking users.
The proportion of the low-income group who are social networking users is ____
The proportion of the high-income group who are social networking users is_____
(Round to four decimal places as needed.)

b) What is the difference in proportions? _____(Round to four decimal places as needed.)
c) What is the standard error of the difference? _____(Round to four decimal places as needed.)
d) Find a 99% confidence interval for the difference between these proportions. _____

Answers

The proportion of the low-income group who are social networking users is approximately 0.6928, and the proportion of the high-income group who are social networking users is approximately 0.6464.

a) To find the proportions, we divide the number of social networking users in each income group by the total number of respondents in that group. For the low-income group, the proportion is 300/433 ≈ 0.6928. For the high-income group, the proportion is 353/546 ≈ 0.6464.

b) The difference in proportions is obtained by subtracting the proportion of the high-income group from the proportion of the low-income group. The difference is approximately 0.6928 - 0.6464 = 0.0464.

c) The standard error of the difference can be calculated using the formula SE = √[(p1(1-p1)/n1) + (p2(1-p2)/n2)], where p1 and p2 are the proportions of social networking users in each group, and n1 and n2 are the sample sizes of each group. Plugging in the values, we get SE ≈ √[(0.6928(1-0.6928)/433) + (0.6464(1-0.6464)/546)] ≈ 0.0348.

d) To construct a confidence interval for the difference between the proportions, we can use the formula CI = (difference ± critical value × SE). For a 99% confidence level, the critical value can be found using a standard normal distribution table, which is approximately 2.576. Plugging in the values, we get the 99% confidence interval ≈ (0.0464 ± 2.576 × 0.0348) ≈ (0.0464 ± 0.0685).

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Use the function f=d+1 to find the value of f when d=5.

Answers

Answer:

f = 6

Step-by-step explanation:

Plug in what you know then solve:

f = d + 1

f = 5 + 1

f = 6

Hi, can someone please help, and possibly explain the answer please.

Answers

Answer:

[tex]x=\frac{-(-2)\±\sqrt{(-2)^2-4(3)(0)} }{2(3)}[/tex]

Step-by-step explanation:

Quadratic formula: [tex]x=\frac{-b\±\sqrt{b^2-4ac} }{2a}[/tex] when the equation is [tex]0=ax^2+bx+c[/tex]

The given equation is [tex]1=-2x+3x^2+1[/tex]. Let's first arrange this so its format looks like [tex]y=ax^2+bx+c[/tex]:

[tex]1=-2x+3x^2+1[/tex]

[tex]1=3x^2-2x+1[/tex]

Subtract 1 from both sides of the equation

[tex]1-1=3x^2-2x+1-1\\0=3x^2-2x+0[/tex]

Now, we can easily identify 3 as a, -2 as b and 0 as c. Plug these into the quadratic formula:

[tex]x=\frac{-b\±\sqrt{b^2-4ac} }{2a}\\x=\frac{-(-2)\±\sqrt{(-2)^2-4(3)(0)} }{2(3)}[/tex]

I hope this helps!  

(1 point) how many different ways can a race with 8 runners be completed? (assume there is no tie.)

Answers

There are 40,320 different ways the race with 8 runners can be completed.

To determine the number of different ways a race with 8 runners can be completed, we can use the concept of permutations.

In a race with no tie, the order in which the runners finish matters. We want to find the number of permutations of 8 runners.

The formula to calculate permutations is given by n!, where n represents the number of items being permuted.

In this case, there are 8 runners, so the number of different ways the race can be completed is:

8! = 8 x 7 x 6 x 5 x 4 x 3 x 2 x 1 = 40,320.

Each permutation represents a unique arrangement of the runners crossing the finish line. By considering the order of finish for each runner, we account for all possible outcomes in the race.

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В обращении находится 250 карандашей по 8 д. ед. за единицу, 500 ручек по 12 д. ед. за единицу, 2000 тетрадей по 10 д. ед. за единицу и 412 дневников по 14 д. ед. за единицу. Найти количество денег необходимых для обращения.

Answers

Answer:

Ты русский? на этом сайте только американцы они тебе не помогут ни чем

Step-by-step explanation:

how many yards are in 1 foot?

correct=brainliest

Answers

Answer:

0.333333

Step-by-step explanation:

0.333 yards are in one foot

NEED HELP PLEASE AND THANK YOU.
40% of my grade
What is the relationship between the angles?!!???

Answers

The angles are supplementary angles

PLSSS HELP IF YOU KNOW THISS:))

Answers

The answer is 428 there you go


What is an outcome variable in a survey project? What
is its purpose?

Answers

In a survey project, an outcome variable refers to the variable that represents the main focus or result of interest in the study.

What is an outcome variable?

In a survey project, the outcome variable, otherwise known as the dependent variable, represents the main focus or result of interest.

It is the variable researchers seek to measure or predict based on the collected data. The purpose of an outcome variable is to provide insights into the specific aspect being studied, enabling researchers to understand relationships between independent variables and the outcome.

Analyzing the outcome variable allows for drawing conclusions, identifying patterns, and determining the impact of various factors. It serves as a crucial metric for evaluating success, making informed decisions, and drawing meaningful conclusions from the survey findings.

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Find the area of the shaded sector.

Answers

The answer would be 8 feet
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