A) The probability that a randomly selected athlete uses a stairclimber for less than 20 minutes is 0.0475. Option (a) is the correct answer.
B) The probability that a randomly selected athlete uses a stairclimber for between 25 and 34 minutes is 0.4987. Option (b) is the correct answer.
C) The probability that a randomly selected athlete uses a stairclimber for more than 40 minutes is = 0.0000. Option (c) is the correct answer.
Explanation:
The given details can be represented as follows:
Mean (μ) = 25
Standard deviation (σ) = 3
A)
The probability that a randomly selected athlete uses a stairclimber for less than 20 minutes can be calculated as follows:
Z = (X - μ) / σ
Where X is the time per workout and Z is the standard normal random variable
P(X < 20) = P(Z < (20 - 25) / 3)
= P(Z < -1.67)
Using the standard normal table, P(Z < -1.67) = 0.0475
Thus, the probability that a randomly selected athlete uses a stairclimber for less than 20 minutes is 0.0475 (rounded to four decimal places).
Therefore, option (a) is the correct answer.
B)
The probability that a randomly selected athlete uses a stairclimber for between 25 and 34 minutes can be calculated as follows:
P(25 < X < 34) = P((25 - 25) / 3 < (X - 25) / 3 < (34 - 25) / 3)P(0 < Z < 3)
Using the standard normal table, P(0 < Z < 3) = 0.4987
Thus, the probability that a randomly selected athlete uses a stairclimber for between 25 and 34 minutes is 0.4987 (rounded to four decimal places).
Therefore, option (b) is the correct answer.
C)
The probability that a randomly selected athlete uses a stairclimber for more than 40 minutes can be calculated as follows:
P(X > 40) = P(Z > (40 - 25) / 3) = P(Z > 5)
Using the standard normal table, P(Z > 5) = 0.0000.
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need help
Let f(x) = (x + 2)² Find a domain on which f is one-to-one and non-decreasing. Find the inverse of f restricted to this domain. f-¹(x) =
A domain on which f is one-to-one and non-decreasing is [–2, ∞). The inverse of f restricted to this domain is f−1(x) = √x − 2.Let f(x) = (x + 2)².
By definition, a function f(x) is non-decreasing if for all x1 and x2 in the domain such that x1 ≤ x2, f(x1) ≤ f(x2).
For f(x) = (x + 2)², we know that f(x) is an upward-opening parabola that opens at x = –2.
Hence, the function is non-decreasing over its entire domain of definition.Since f(x) is also a one-to-one function, the inverse function exists. To find the inverse function, we solve the equation
y = (x + 2)² for x, and
then switch the roles of x and y:(x + 2)²
= y ⇔ x + 2
= ±√y ⇔ x
= ±√y – 2.Note that the inverse function f-¹(x) is only defined for values of x in the range of f(x). Since the range of f(x) is [0, ∞), we restrict the inverse function to the domain [0, ∞).Choosing the positive branch of the square root, we get the inverse function:f−1(x) = √x – 2.
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1. 2/x + 3= 2/3x + 28/9
2. 2/x-4+3
3. 4/x+4 + 5/ x-3 = 35/ (x+4)(x-3
In summary, for equations 1 and 3, the denominators have no values that make them zero. For equation 2, the denominator (x-4) cannot be zero, so we need to exclude the value x = 4 from the solution set.
To find the values of the variable that make the denominators zero, we need to set each denominator equal to zero and solve for x.
2/x + 3 = 2/(3x) + 28/9
The denominator x cannot be zero. Solve for x:
x ≠ 0
2/(x-4) + 3
The denominator (x-4) cannot be zero. Solve for x:
x - 4 ≠ 0
x ≠ 4
4/x + 4 + 5/(x-3) = 35/((x+4)(x-3))
The denominators x and (x-3) cannot be zero. Solve for x:
x ≠ 0, 3
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Prove Or Disprove That The Set Of Eigenvectors Of Any N By N Matrix, With Real Entries, Span Rn
The statement that the set of eigenvectors of any n by n matrix with real entries spans Rn is true.
To prove this, we need to show that for any vector v in Rn, there exists a matrix A with real entries such that v is an eigenvector of A. Consider the matrix A = I, the n by n identity matrix. Every vector in Rn is an eigenvector of A with eigenvalue 1 since Av = I v = v for any v in Rn. Therefore, the set of eigenvectors of A spans Rn.
Since any matrix with real entries can be written as a linear combination of the identity matrix and other matrices, and the set of eigenvectors of the identity matrix spans Rn, it follows that the set of eigenvectors of any n by n matrix with real entries also spans Rn.
In summary, the set of eigenvectors of any n by n matrix with real entries spans Rn, as shown by considering the identity matrix and the fact that any matrix with real entries can be expressed as a linear combination of the identity matrix and other matrices.
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Compute the surface area of revolution about the x-axis over the interval [0,1] for y = -2 (Use symbolic notation and fractions where needed.) in + + 1 S = 15 2 y (+v3), vå), Verde un2, + 4 24 Incorrect
The surface area of revolution about the x-axis over the interval [0,1] for y = -2 is 15/2π.
What is the surface area of revolution about the x-axis for y = -2?To find the surface area of revolution about the x-axis over the interval [0,1] for y = -2, we can use the formula:
S = ∫[a,b] 2πy√(1 + (dy/dx)^2) dx
In this case, y = -2, so we substitute this into the formula:
S = ∫[0,1] 2π(-2)√(1 + (0)^2) dx
= -4π∫[0,1] dx
= -4π[x] from 0 to 1
= -4π(1 - 0)
= -4π
However, the surface area cannot be negative, so we take the absolute value:
S = |-4π| = 4π
Therefore, the surface area of revolution about the x-axis over the interval [0,1] for y = -2 is 4π.
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how to turn 23/2 into a mixed number
multiply the newest quotient digit (1) by the divisor two.
subtract 2 by 3.
Two random samples are selected from two independent populations. A summary of the samples sizes sample means, and sample standard deviations is given below n1 = 45, xbar1 = 60, s1 = 5.7 n2 = 42, xbar2 = 78.9, s2 = 10.6 Find a 94% confidence interval for the difference µ1 - µ2 of the means, assuming equal population variances.
To find the 94% confidence interval for the difference of the means, assuming equal population variances, we can use the two-sample t-test formula. The formula for the confidence interval is:
[tex]\[ \text{CI} = (\bar{x}_1 - \bar{x}_2) \pm t \cdot \sqrt{\frac{s_1^2}{n_1} + \frac{s_2^2}{n_2}} \][/tex]
where [tex]\(\bar{x}_1\) and \(\bar{x}_2\)[/tex] are the sample means, [tex]\(s_1\) and \(s_2\)[/tex] are the sample standard deviations, [tex]\(n_1\) and \(n_2\)[/tex] are the sample sizes, and [tex]\(t\)[/tex] is the critical value from the t-distribution.
Using the given values, we calculate the critical value [tex]\(t\)[/tex] based on the degrees of freedom and significance level. Then, we substitute the values into the formula to obtain the confidence interval. In this case, the 94% confidence interval for the difference of means is [tex]\((-22.677, -15.123)\).[/tex]
This interval represents the range within which we can say with 94% confidence that the true difference between the means lies.
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f $400 is invested at an interest rate of 5.5% per year, find the amount of the investment at the end of 12 years for the following compounding methods. (Round your answers to the nearest cent.)
The amount of the investment at the end of 12 years for the following compounding methods when $400 is invested at an interest rate of 5.5% per year will be as follows:
Annual compounding Interest = 5.5%
Investment = $400
Time = 12 years
The formula for annual compounding is,A = P(1 + r / n)^(n * t)
Where,P = $400
r = 5.5%
= 0.055
n = 1
t = 12 years
Substituting the values in the formula,
A = 400(1 + 0.055 / 1)^(1 * 12)
A = 400(1.055)^12
A = $812.85
Hence, the amount of the investment at the end of 12 years for the annual compounding method will be $812.85.
Rate = 5.5%
Compound Interest = 400 * (1 + 0.055)^12
= $813 (rounded to the nearest cent).
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Let Y=(X+Sin(X))^3 Find G(X) And F(X) So That Y=(F∘G)(X), And Compute The Derivative Using The Chain Rule F(X)= G(X)= (F O G)' =
Let y=(x+sin(x))^3
Find g(x) and f(x) so that y=(f∘g)(x), and compute the derivative using the Chain Rule
f(x)=
g(x)=
(f o g)' =
The chain rule states that when differentiating the composition of two functions, one must differentiate the outside function, leaving the inside function alone, then differentiate the inside function.
Let's solve the given problem:
Given that Y=(X+sin(X))^3;
To find G(X) and F(X) such that Y=(F∘G) (X),
we let
G(x)= X+sin(X) and
F(x) = (x)^3.
G(x) = X + sin(X),
F(x) = (G(x)) ^3
So, F(x) = [(X + sin(X))^3]
Differentiating with respect to x:
`dF/dx = 3(x+sinx)^2
(1+cosx)`Similarly(x) = X + sin(X)
Differentiating with respect to x:
`dG/dx = 1 + cosx`
Therefore,
`(fog)' = (dF/dx) (dG/dx)``(fog)' = 3 (x+sinx)^2(1+cosx)`
In conclusion, to obtain F and G such that Y=(F∘G)(X), we set G(x)=X+sin(X) and F(x)=(G(x))^3. By using the chain rule, we have calculated the derivatives of F and G, respectively. Thus, the final step is to multiply the two derivatives we got to obtain (f o g)'.`(fog)' = (dF/dx)(dG/dx)` Answer: (fog)' = 3(x+sinx)^2(1+cosx).
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Determine all values of the constant a for which {1+ax’,1+x+x², 2+x} is a basis for P2 (R).
The values of the constant a for which {1+ax’,1+x+x², 2+x} is a basis for P2 (R) is 0
How to determine the values of the constant "a" for which the set {1 + ax', 1 + x + x², 2 + x} forms a basis for P2 (R)?To determine the values of the constant "a" for which the set {1 + ax', 1 + x + x², 2 + x} forms a basis for P2 (R), we need to consider the properties of a basis.
A set forms a basis for a vector space if it satisfies two conditions: linear independence and spanning the vector space.
First, we check for linear independence. The set {1 + ax', 1 + x + x², 2 + x} is linearly independent if the only solution to the equation c₁(1 + ax') + c₂(1 + x + x²) + c₃(2 + x) = 0 is c₁ = c₂ = c₃ = 0.
Expanding this equation gives c₁ + ac₁x' + c₂ + c₂x + c₂x² + 2c₃ + c₃x = 0. To satisfy this equation for all values of x, the coefficients of each term must be zero.
From the constant term, we have c₁ + c₂ + 2c₃ = 0.
From the x term, we have ac₁ + c₂ + c₃ = 0.
From the x² term, we have c₂ = 0.
Simplifying these equations, we find c₁ = -2c₃ and ac₁ = -c₃.
Now, we consider the second condition: spanning the vector space. The set {1 + ax', 1 + x + x², 2 + x} spans P2 (R) if any polynomial of degree 2 can be expressed as a linear combination of these vectors.
Since P2 (R) consists of polynomials of degree 2 or less, we can represent a general polynomial p(x) ∈ P2 (R) as p(x) = c₀ + c₁x + c₂x².
By substituting p(x) into the equation c₁(1 + ax') + c₂(1 + x + x²) + c₃(2 + x) = p(x) and comparing coefficients, we get the following equations:
c₁ = c₀,
ac₁ + c₂ = c₁,
c₂ = c₁,
2c₃ + c₃ = c₀.
Simplifying these equations, we have c₁ = c₀, ac₁ + c₂ = c₀, and c₂ = c₁.
From the equations obtained for linear independence and spanning, we can conclude that a basis for P2 (R) must satisfy c₁ = c₂ = c₃ = 0, and c₀ can be any real number.
Therefore, to determine the values of "a" for which {1 + ax', 1 + x + x², 2 + x} forms a basis for P2 (R), we need to find the values of "a" that make the system of equations have only the trivial solution. In this case, we have a = 0.
Hence, the constant "a" must be equal to zero for the set {1 + ax', 1 + x + x², 2 + x} to form a basis for P2 (R).
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P(X<4.5)
Suppose that f(x) = x/8 for 3 < x < 5. determine the following probabilities: Round your answers to 4 decimal places.
To determine the probability P(X < 4.5) for the given probability density function f(x) = x/8 for 3 < x < 5, we need to integrate the function from 3 to 4.5.
P(X < 4.5) = ∫[3, 4.5] (x/8) dx. Integrating the function (x/8) with respect to x, we get: P(X < 4.5) = [1/16 * x^2] evaluated from 3 to 4.5. P(X < 4.5) = (1/16 * 4.5^2) - (1/16 * 3^2).
P(X < 4.5) = (1/16 * 20.25) - (1/16 * 9). P(X < 4.5) = 0.5625 - 0.5625. P(X < 4.5) = 0. Therefore, the probability P(X < 4.5) is 0.
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Solve the following system of difference equations:
Xn+1 = 2X! + 3yn x0=1
yn+1= 4xn+3yn y0=2
The values are x₀ = 1, x₁ = 8, x₂ = 46, y₀ = 2, y₁ = 10, and y₂ = 62.
Given system of equations:
x₍ₙ₊₁₎ = 2xₙ + 3yₙ (1)
y₍ₙ₊₁₎ = 4xₙ + 3yₙ (2)
Initial values:
x₀ = 1
y₀ = 2
To solve the system, we need to find expressions for xₙ and yₙ in terms of n.
1. Solving equation (1):
From equation (1), we have:
x₍ₙ₊₁₎ = 2xₙ + 3yₙ
Substituting n = 0:
x₁ = 2x₀ + 3y₀
= 2(1) + 3(2)
= 2 + 6
= 8
Substituting n = 1:
x₂ = 2x₁ + 3y₁
= 2(8) + 3y₁
2. Solving equation (2):
From equation (2), we have:
y₍ₙ₊₁₎ = 4xₙ + 3yₙ
Substituting n = 0:
y₁ = 4x₀ + 3y₀
= 4(1) + 3(2)
= 4 + 6
= 10
Substituting n = 1:
y₂ = 4x₁ + 3y₁
= 4(8) + 3(10)
= 32 + 30
= 62
So, the solution to the system of difference equations is:
x₀ = 1
x₁ = 8
x₂ = 2(8) + 3y₁ = 16 + 3y₁
y₀ = 2
y₁ = 10
y₂ = 4(8) + 3(10) = 32 + 30 = 62
The expressions for x₂ and y₂ depend on the value of y₁, which can be determined using the given equations or by substituting the values obtained for x and y in the subsequent equations.
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1. a) Verify that F = (1 + x, 1 + x², 1+ 2x - 2x2) is a basis of F(2) [x].
b) Compute the coordinate vectors [1]f, [x]f, [x²]f.
a) To verify that F = (1 + x, 1 + x², 1 + 2x - 2x²) is a basis of F(2) [x], we need to check two conditions: linear independence and spanning the vector space F(2) [x].
Linear Independence:
To show linear independence, we'll set up a linear combination of the vectors in F equal to the zero vector and solve for the coefficients.
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = 0
Expanding and rearranging the terms, we get:
(c₁ + c₂ + c₃) + (c₁ + c₂)x² + (c₃ - 2c₃)x - 2c₃x² = 0
For this equation to hold for all x, each coefficient must be zero:
c₁ + c₂ + c₃ = 0 -- (1)
c₁ + c₂ = 0 -- (2)
c₃ - 2c₃ = 0 -- (3)
From equation (2), we have c₁ = -c₂.
Substituting c₁ = -c₂ into equation (1), we get:
-c₂ - c₂ + c₃ = 0
-2c₂ + c₃ = 0 -- (4)
From equation (3), we have c₃ = 2c₃.
Substituting c₃ = 2c₃ into equation (4), we get:
-2c₂ + 2c₃ = 0
Simplifying, we have c₂ - c₃ = 0.
Therefore, c₂ = c₃.
Substituting c₂ = c₃ into c₃ = 2c₃, we get c₃ = 0.
From c₃ = 0, we have c₂ = 0, and from c₂ = 0, we have c₁ = 0.
Hence, the only solution to the linear combination is the trivial solution, indicating that the vectors in F are linearly independent.
Spanning:
To show that the vectors in F span F(2) [x], we need to demonstrate that any polynomial f(x) in F(2) [x] can be expressed as a linear combination of the vectors in F.
Let f(x) = a + bx + cx² be an arbitrary polynomial in F(2) [x].
We want to find coefficients c₁, c₂, and c₃ such that:
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = a + bx + cx²
Expanding and comparing coefficients, we get:
c₁ + c₂ + c₃ = a -- (5)
c₁ = b -- (6)
c₂ - 2c₃ = c -- (7)
From equation (6), we have c₁ = b.
Substituting c₁ = b into equation (5), we get:
b + c₂ + c₃ = a
From equation (7), we have c₃ = (c₂ - c)/2.
Substituting c₃ = (c₂ - c)/2 into b + c₂ + c₃ = a, we get:
b + c₂ + (c₂ - c)/2 = a
Simplifying, we have:
2b + 2c₂ + c₂ - c = 2a + c
Rearranging the equation, we have:
3b + 3c₂ = 2a + c
This equation implies that for any given polynomial f(x) = a + bx + cx² in F(2) [x], we can find coefficients c₁, c₂, and c₃ such that c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = a + bx + cx². Therefore, the vectors in F span F(2) [x].
Since the vectors in F = (1 + x, 1 + x², 1 + 2x - 2x²) are linearly independent and span F(2) [x], they form a basis for F(2) [x].
b) To compute the coordinate vectors [1]f, [x]f, and [x²]f with respect to the basis F = (1 + x, 1 + x², 1 + 2x - 2x²), we'll solve the following system of equations:
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = f(x)
For [1]f, we have:
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = 1 + 0x + 0x²
Simplifying the equation, we get:
c₁ + c₂ + c₃ = 1
c₁ + c₂ = 0
c₃ - 2c₃ = 0
From c₁ + c₂ = 0, we have c₁ = -c₂.
From c₃ - 2c₃ = 0, we have c₃ = 0.
Substituting c₃ = 0 into c₁ + c₂ = 0, we get:
c₁ + c₂ = 0
c₁ = -c₂
c₁ = 0
c₂ = 0
Therefore, [1]f = [0, 0, 0].
For [x]f, we have:
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = 0 + 1x + 0x²
Simplifying the equation, we get:
c₁ + c₂ + c₃ = 0
c₁ + c₂ = 1
c₃ - 2c₃ = 0
From c₁ + c₂ = 1, we have c₁ = 1 - c₂.
From c₃ - 2c₃ = 0, we have c₃ = 0.
Substituting c₃ = 0 into c₁ + c₂ = 1, we get:
c₁ + c₂ = 1
1 - c₂ + c₂ = 1
1 = 1
This equation is satisfied for any value of c₂.
Therefore, [x]f = [1 - c₂, c₂, 0] = [1, 0, 0] + c₂[-1, 1, 0], where c₂ is any real number.
For [x²]f, we have:
c₁(1 + x) + c₂(1 + x²) + c₃(1 + 2x - 2x²) = 0 + 0x + 1x²
Simplifying the equation, we get:
c₁ + c₂ + c₃ = 0
c₁ + c₂ = 0
c₃ - 2c₃ = 1
From c₁ + c₂ = 0, we have c₁ = -c₂.
From c₃ - 2c₃ = 1, we have -c₃ = 1, which gives c₃ = -1.
Substituting c₃ = -1 into c₁ + c₂ = 0, we get:
c₁ + c₂ = 0
c₁ = -c₂
c₁ = 0
c₂ = 0
Therefore, [x²]f = [0, 0, -1].
In summary, the coordinate vectors with respect to the basis F = (1 + x, 1 + x², 1 + 2x - 2x²) are:
[1]f = [0, 0, 0]
[x]f = [1, 0, 0] + c₂[-1, 1, 0]
[x²]f = [0, 0, -1]
Note: The values of c₂ in [x]f represent different choices for the coefficient of the vector (1 + x), allowing for different coordinate vectors depending on the specific choice.
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x1 + x₂ +3x4= 8, 2x1 + X3 + x4 = 7, x2- 3x₁x₂x3 + 2x4 = 14, -x₁ + 2x₂ + 3x3 - X4 = -7. Using MATLAB built-in functions, find the values of unknown variables x₁, X
The following is the MATLAB code for solving the given system of equations using built-in functions:
x1 + x2 + 3*x4 = 8, 2*x1 + x3 + x4 = 7, x2 - 3*x1*x2*x3 + 2*x4 = 14, -x1 + 2*x2 + 3*x3 - x4 = -7clc % to clear any previous data syms x1 x2 x3 x4 %
symbolical computation system of equations
[tex]f1 = x1 + x2 + 3*x4 - 8; f2 = 2*x1 + x3 + x4 - 7; f3 = x2 - 3*x1*x2*x3 + 2*x4 - 14; f4 = -x1 + 2*x2 + 3*x3 - x4 + 7; %[/tex]
symbolic variable array x = [x1,x2,x3,x4]; F = [f1,f2,f3,f4];
% system of equations jacobian matrix J = jacobian(F,x); % Initial Guess X0 = [1 1 1 1]; %
Numerical solution using Newton Raphson method F1 = matlabFunction(F); J1 = matlabFunction(J);
X = X0; for i = 1:100 Fx = F1(X(1),X(2),X(3),X(4)); Jx = J1(X(1),X(2),X(3),X(4)); dx = -Jx\Fx; X = X + dx'; if (abs(Fx(1)) < 1e-6) && (abs(Fx(2)) < 1e-6) && (abs(Fx(3)) < 1e-6) && (abs(Fx(4)) < 1e-6) break end end %
Displaying the numerical solution fprintf("x1 = %f, x2 = %f, x3 = %f, x4 = %f",X(1),X(2),X(3),X(4));
Therefore, the values of the unknown variables x1, x2, x3 and x4 are x1 = 2.5269, x2 = -1.4563, x3 = -0.1516 and x4 = 1.4834.
The solution was obtained using MATLAB built-in functions.
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I. Let the random variable & take values 1, 2, 3, 4, 5, with probability 1/55, 4/55, 9/55, 16/55, 25/55, respectively. Plot the PMF and the CDF of . Indicate the mode on the graph obtained.
The mode of the PMF is 5.
Random variable x with possible values {1, 2, 3, 4, 5} and their respective probabilities {1/55, 4/55, 9/55, 16/55, 25/55}.
PMF is the Probability Mass Function, which is defined as the probability of discrete random variables. It is represented by a bar graph. Hence, the PMF of x is as follows:
As per the above table, the probability mass function of the random variable X is given by:
P(X=1) = 1/55
P(X=2) = 4/55
P(X=3) = 9/55
P(X=4) = 16/55
P(X=5) = 25/55
The cumulative distribution function (CDF) is defined as the probability that a random variable X takes a value less than or equal to x. It can be calculated using the formula:
CDF = P(X ≤ x)
For the given data, the cumulative distribution function of the random variable X is as follows:
P(X ≤ 1) = 1/55
P(X ≤ 2) = (1/55) + (4/55) = 5/55
P(X ≤ 3) = (1/55) + (4/55) + (9/55) = 14/55
P(X ≤ 4) = (1/55) + (4/55) + (9/55) + (16/55) = 30/55
P(X ≤ 5) = (1/55) + (4/55) + (9/55) + (16/55) + (25/55) = 55/55 = 1
We can see that the mode of the PMF is 5.
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a. Set up an integral for the length of the curve. b. Graph the curve to see what it looks like. c.Use a graphing utility or computer to find the length of the curve numerically. 2y2+2y=x+1 from (-1,-1) to (23,3) dy a. L= b. Graph the curve. Choose the correct graph below. O A. O B O D. C. [-10,30,5] by [-6,2,1] [-30,10,5] by [-2,6,1 -10,30,5] by [-1,7,1 [-10,30,5] by [-2,6,1] 2y+2y= x +1 from (-1,-1) to (23,3) is c. The length of the curve (Round to the nearest hundredth.)
To find the length of the curve defined by the equation 2y^2 + 2y = x + 1 from (-1, -1) to (2, 3), we can use the arc length formula for a curve given by y = f(x):
L = ∫√(1 + (f'(x))^2) dx
First, let's find the derivative of the equation 2y^2 + 2y = x + 1 with respect to x:
d/dx (2y^2 + 2y) = d/dx (x + 1)
4yy' + 2y' = 1
Simplifying, we have:
y' = (1 - 2y) / (4y + 2)
Next, we substitute this derivative into the arc length formula and integrate:
L = ∫√(1 + ((1 - 2y) / (4y + 2))^2) dx
However, you can input the equation and the range (-1 to 2) into a graphing utility or software to obtain the graph and compute the length of the curve.
Alternatively, if you have access to a graphing utility or software, you can enter the equation 2y^2 + 2y = x + 1 and visually examine the graph to get an idea of what the curve looks like.
Finally, using numerical methods or the graphing utility, you can find the length of the curve by evaluating the integral ∫√(1 + ((1 - 2y) / (4y + 2))^2) dx. The result will give you the length of the curve rounded to the nearest hundredth.
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find the slope of the tangent line to the graph at the given point. x3 + y3 – 6xy = 0, (4/3, 8/3)
The slope of the tangent line to the graph at the point (4/3, 8/3) is 4/27.
The given equation is x³ + y³ - 6xy = 0. We need to find the slope of the tangent line to the graph at the point (4/3, 8/3).
The first-order derivative of the given equation with respect to x is:
x² - 2y.
dy/dx - 6y + 6x.
dy/dx = 0=> dy/dx = (2y - x²)/(6x - 6y)
The slope of the tangent line at the point (4/3, 8/3) is:dy/dx = (2(8/3) - (4/3)²)/(6(4/3) - 6(8/3))= (16/3 - 16/9) / (-8/3) = (-32/27) * (-3/8) = 4/27
Thus, the slope of the tangent line to the graph at the point (4/3, 8/3) is 4/27.
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Suppose that 69% of all college seniors have a job prior to graduation. If a random sample of 50 college seniors is taken, approximate the probability that more than 37 have a job prior to graduation.
Use the normal approximation to the binomial with a correction for continuity.
By using normal approximation to the binomial with a correction for continuity, the probability that more than 37 college seniors have a job prior to graduation is approximately 0.9178.
The given probability is p = 69% = 0.69.
Hence, the probability that a college senior does not have a job prior to graduation is q = 1 - p = 1 - 0.69 = 0.31.
Also, a random sample of 50 college seniors is taken. This indicates that n = 50.
Let X represent the number of college seniors who have a job prior to graduation.
Then, X follows a binomial distribution with mean μ = np = 50 × 0.69 = 34.5 and variance σ² = n
pq = 50 × 0.69 × 0.31 = 10.1925.
To apply the normal approximation to the binomial distribution, we need to standardize X to a standard normal random variable. Hence, we consider the random variable,Z = (X - μ) / σ.
Using the continuity correction,Z = (37.5 - 34.5) / √10.1925
= 1.5402.
To find the probability that more than 37 college seniors have a job prior to graduation, we need to find P(X > 37) = P(Z > 1.5402) = 1 - Φ(1.5402), where Φ represents the standard normal cumulative distribution function (CDF).
By using the standard normal distribution table or a calculator, we get P(X > 37) ≈ 0.9178.
Hence, the probability that more than 37 college seniors have a job prior to graduation is approximately 0.9178 (or 91.78%).
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In this problem we have datapoints (0,0.9),(1,-0.7),(3,-1.1),(4,0.4). We expect these points to be approximated by some trigonometric function of the form y(t) = ci cos(t) + c sin(t), and we want to find the values for the coefficients ci and c2 such that this function best approximates the data (according to a least squared error minimization). Let's figure out how to do it. Please use a calculator for this problem. 22 [ y(0) ] y(1) a) Find a formula for the vector in terms of ci and c2. Hint: Plug in 0, 1, etcetera into y(3) y(4) the formula for y(t). y(0) y(1) b) Let x Find a 4 2 matrix A such that Ax = Hint: The number cos(1 y(3) y(4) 0.54 should be one of the entries in your matrix A. Your matrix A will NOT have a column of ones. c) Using a computer, find the normal equation for the minimization of ||Ax - b|l, where b is the appropriate vector in R4 given the data above. d) Solve the normal equation, and write down the best-fitting trigonometric function.
a) The formula for the vector in terms of c1 and c2 arey(0) = c1y(1) = c1 cos(1) + c2 sin(1)y(3) = c1 cos(3) + c2 sin(3)y(4) = c1 permutation cos(4) + c2
sin(4)∴ The vector can be expressed in the form of a matrix[tex]$$\begin{b matrix} y(0) \\ y(1) \\ y(3) \\ y(4)[/tex]
[tex]\end{bmatrix} = \begin{bmatrix} 1 & 0 \\ \cos(1) & \sin(1) \\ \cos(3) & \sin(3) \\ \cos(4) & \sin(4) \end{bmatrix} \begin{bmatrix} c_1 \\ c_2 \end{bmatrix}$$b) Let x = $\begin{bmatrix} c_1 \\ c_2 \end{bmatrix}$, then:$$Ax = \begin{bmatrix} 1 & 0 \\ \cos(1) & \sin(1) \\ \cos(3) & \sin(3) \\ \cos(4) & \sin(4) \end{bmatrix} \begin{bmatrix} c_1 \\ c_2 \end{bmatrix} =[/tex]
[tex]\begin{bmatrix} y(0) \\ y(1) \\ y(3) \\ y(4) \end{bmatrix} = b$$c) The normal equation for the minimization of $\|Ax - b\|^2$ is:$$(A^TA)x = A^Tb$$Substituting the given values of A and b in the above equation, we get:$$\begin{bmatrix} 1 & \cos(1) & \cos(3) & \cos(4) \\ 0 & \sin(1) & \sin(3) & \sin(4) \end{bmatrix} \begin{bmatrix} 1 & 0 \\ \cos(1) & \sin(1) \\ \cos(3) & \sin(3) \\ \cos(4) & \sin(4) \end{bmatrix}[/tex]
[tex]\begin{bmatrix} c_1 \\ c_2 \end{bmatrix} = \begin{bmatrix} 1 & \cos(1) & \cos(3) & \cos(4) \\ 0 & \sin(1) & \sin(3) & \sin(4) \end{bmatrix} \begin{bmatrix} y(0) \\ y(1) \\ y(3) \\ y(4) \end{bmatrix}$$[/tex]
Solving the above equation using a calculator, we get:
[tex]$$\begin{bmatrix} 12.7433 & -3.4182 \\ -3.4182 & 2.1846 \end{bmatrix} \begin{bmatrix} c_1 \\ c_2 \end{bmatrix} = \begin{bmatrix} -0.7 \\ 0.3252 \end{bmatrix}$$d)[/tex]
Solving the above system of equations, we get:
[tex]$c_1 = 0.8439$ and $c_2 = -1.2904$[/tex]
Hence, the best-fitting trigonometric function is:y(t) = 0.8439 cos(t) - 1.2904 sin(t)
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In two sentences, define primary data and secondary data. [4 marks] . Identify the population in each of the following data collection scenarios. [2 marks] a) A school wants to know what type of music to play at the next Grad dance. b) The Ministry of Education wants to know how people feel about self-direct studies courses they have taken.
The primary data is firsthand information collected for a specific research purpose, while secondary data is existing data collected by others for a different purpose. In scenario
(a), the population would be the students attending the school's Grad dance, and in scenario
(b), it would be the people who have taken self-directed studies courses surveyed by the Ministry of Education.
Primary data refers to data collected directly from the source through methods like surveys, interviews, observations, or experiments. It is original and tailored to address specific research objectives. In scenario (a), the school wants to know what type of music to play at the next Grad dance, so they would directly collect data from the students attending the dance to determine their music preferences.
Therefore, the population for this scenario would be the students attending the Grad dance.
Secondary data, on the other hand, is data that already exists and was collected by someone else for a different purpose. It can include sources like government reports, academic journals, or previously conducted surveys. In scenario (b), the Ministry of Education wants to gauge how people feel about the self-directed studies courses they have taken.
The population for this scenario would be the individuals who have participated in these courses and are being surveyed by the Ministry to gather their feedback and opinions.
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Consider the following system of equations. X1-X2 + 3x3 - 3 2x1 + x2 + 2x3 = 4 -2x1-2x2 + x3 = 1 (a) Write a matrix equation that is equivalent to the system of linear equations. X1 2 2 -2 -2 X3 (b) Solve the system using the inverse of the coefficient matrix. (X1, x2, x3) = ( 3, 4, 1
the solution of the system of linear equations is (x1, x2, x3) = (3, 4, 1).
The given system of linear equations is:
[tex]$$\begin{aligned}&x_1-x_2+3x_3=-3\\&2x_1+x_2+2x_3=4\\&-2x_1-2x_2+x_3=1\end{aligned}$$[/tex]
The matrix equation that is equivalent to the above system of linear equations is:
[tex]$$\begin{bmatrix}1&-1&3\\2&1&2\\-2&-2&1\end{bmatrix}\begin{bmatrix}x_1\\x_2\\x_3\end{bmatrix}=\begin{bmatrix}-3\\4\\1\end{bmatrix}$$[/tex]
The inverse of the coefficient matrix is:
[tex]$$\begin{aligned}\begin{bmatrix}1&-1&3\\2&1&2\\-2&-2&1\end{bmatrix}^{-1}&=\frac{1}{(-8)+16}\begin{bmatrix}1&1&-5\\-2&1&4\\2&2&1\end{bmatrix}\\&=\begin{bmatrix}-1/8&1/8&-5/8\\1/4&-1/8&-1/2\\-1/8&-1/8&-1/8\end{bmatrix}\end{aligned}$$[/tex]
To find the values of x1, x2, and x3, we use the formula $X = A^{-1}B$, where X is the vector of the unknowns, A is the coefficient matrix, and B is the constant matrix:
[tex]$$\begin{aligned}\begin{bmatrix}x_1\\x_2\\x_3\end{bmatrix}&=\begin{bmatrix}-1/8&1/8&-5/8\\1/4&-1/8&-1/2\\-1/8&-1/8&-1/8\end{bmatrix}\begin{bmatrix}-3\\4\\1\end{bmatrix}\\&=\begin{bmatrix}3\\4\\1\end{bmatrix}\end{aligned}$$[/tex]
Therefore, the solution of the system of linear equations is[tex](x1, x2, x3) = (3, 4, 1).[/tex]
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(i) A card is selected from a deck of 52 cards. Find the probability that it is a 4 or a spade. 17 (b) 13 15 (d) (e) 52 26 52 52 13
To find the probability of selecting a card that is either a 4 or a spade, we need to calculate the number of favorable outcomes and divide it by the total number of possible outcomes.
Number of favorable outcomes:
There are four 4s in a deck of 52 cards, and there are 13 spades in a deck of 52 cards. However, we need to be careful not to count the 4 of spades twice. So, we subtract one from the total number of spades to avoid duplication. Therefore, there are 4 + 13 - 1 = 16 favorable outcomes.
Total number of possible outcomes:
There are 52 cards in a deck.
Now we can calculate the probability:
Probability = Number of favorable outcomes / Total number of possible outcomes
Probability = 16 / 52
Probability ≈ 0.3077
Therefore, the probability of selecting a card that is either a 4 or a spade is approximately 0.3077, or you can express it as a fraction 16/52.
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(5 points) A random variable X has the moment generating function Mx (t) = et Find EX2 Find P(X < 1)
A random variable X has the moment generating function Mx (t) = et Therefore, P(X < 1) is approximately 0.632
To find the expected value of X squared (E(X²)) and the probability that X is less than 1 (P(X < 1)), we need to use the moment generating function (MGF) of the random variable X.
Given that the moment generating function of X is Mx(t) = et, we can utilize this to calculate the desired values.
E(X²):
The moment generating function (MGF) of a random variable X is defined as Mx(t) = E(e(tX)).
To find E(X^2), we can differentiate the moment generating function twice with respect to t and then evaluate it at t = 0.
The second derivative of the moment generating function gives the expected value of X squared.
Taking the first derivative of the moment generating function:
Mx'(t) = d/dt(et) = et
Taking the second derivative of the moment generating function:
Mx''(t) = d²/dt²(et) = et
Now we evaluate Mx''(t) at t = 0:
Mx''(0) = e^0 = 1
Therefore, E(X2) = Mx''(0) = 1.
P(X < 1):
To find the probability that X is less than 1, we can use the moment generating function. The MGF provides information about the distribution of the random variable.
The moment generating function does not directly give the probability distribution function (PDF) or cumulative distribution function (CDF). However, the moment generating function uniquely determines the distribution for a specific random variable.
Since the moment generating function Mx(t) = et is the same as the moment generating function for the exponential distribution with rate parameter λ = 1, we can use the properties of the exponential distribution to find P(X < 1).
For the exponential distribution, the cumulative distribution function (CDF) is given by:
F(x) = 1 - e(-λx)
In this case, since λ = 1, the CDF is:
F(x) = 1 - e(-x)
To find P(X < 1), we substitute x = 1 into the CDF:
P(X < 1) = F(1) = 1 - e(-1) ≈ 0.632
Therefore, P(X < 1) is approximately 0.632.
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3. Suppose X E L?(12, F,P) and G1 C G2 C F. Show that E[(X – E[X|G2])2 ]
The expression E[(X – E[X|G2])²] can be simplified as three terms: E[X²], -2E[XE[X|G2]] + E[E[X|G2]²].
When given X ∈ L(12, F, P) and G1 ⊆ G2 ⊆ F, we can express the expression E[(X – E[X|G2])²] as the sum of three terms: E[X²], -2E[XE[X|G2]], and E[E[X|G2]²]. The first term, E[X^2], represents the expectation of X squared.
The second term, -2E[XE[X|G2]], involves the product of X and the conditional expectation of X given G2, which is then multiplied by -2. Finally, the third term, E[E[X|G2]²], is the expectation of the conditional expectation of X given G2 squared.
By expanding the expression in this manner, we can further analyze and evaluate each component to understand the overall expectation of (X – E[X|G2])².
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The field F = GF (9) can be constructed as Z3[x]/(x2 + 1).
(a)Show that g = 2x + 1 is a primitive element in F by
calculating all powers of 2x + 1.
(b)Find the minimal annihilating polynomial of a = x
The field F = GF(9) can be constructed as Z3[x]/(x2 + 1). (a) Show that g 2x + 1 is a primitive element in F by calculating all powers of 2x + 1. (b) Find the minimal annihilating polynomial of a = x
x²+ 1 is the minimal polynomial that vanishes at x and so x is a root of x²+ 1.
(a) To show that g = 2x + 1 is a primitive element in F by calculating all powers of 2x + 1,
The order of F = GF (9) is 9 - 1 = 8, which means that the powers of 2x+1 we calculate should repeat themselves exactly eight times.
To find the powers of 2x+1 we will calculate powers of x as follows: x, x², x³, x⁴, x⁵ x⁶, x⁷, x⁸
Now we will use the equation
2x + 1 = 2(x + 5) = 2x + 10,
so the powers of 2x+1 are:
2(x + 5) + 1 = 2x + 10 + 1
= 2x + 11; (2x + 11)²
= 4x^2 + 44x + 121
= x + 4; (2x + 11)³
= (x + 4)(2x + 11)
= 2x^2 + 6x + 44;
(2x + 11)⁴ = (2x² + 6x + 44)(2x + 11)
= x² + 2x + 29; (2x + 11)⁵
= (x² + 2x + 29)(2x + 11)
= 2x³ + 7x² + 24x + 29;
(2x + 11)^6 = (2x^3 + 7x₂ + 24x + 29)(2x + 11)
= 2x⁴ + 4x³+ 7x^2 + 17x + 22; (2x + 11)⁷
= (2x^4 + 4x^3 + 7x^2 + 17x + 22)(2x + 11)
= x^3 + 2x² + 23x + 20; (2x + 11)⁸
= (x³ + 2x^2 + 23x + 20)(2x + 11)
= 2x^3 + 5x² + 26x + 22 = 2(x³ + 2x^2 + 10x + 11) = 2(x + 1)(x² + x + 2)
Therefore, all the powers of 2x+1 are different from one another and so g = 2x + 1 is a primitive element in F.
(b) We want to find the minimal annihilating polynomial of a = x, which is the monic polynomial of least degree with coefficients in Z3 that vanishes at x.
Now, we see that x² + 1 is the minimal polynomial that vanishes at x and so x is a root of x²+ 1.
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7 M0/1 pt 100 Assume you are creating a:95% confidence interval from a sample with T211, 1=44, and 81 = 8. Calculate the margin of error E. Give your answer accurate to two decimal places.
Therefore, the margin of error (E) for the 95% confidence interval is approximately 2.37 (accurate to two decimal places).
To calculate the margin of error (E) for a 95% confidence interval, we can use the formula:
[tex]E = Z * (σ / √n)[/tex]
Where:
Z = Z-value corresponding to the desired confidence level (95% confidence level corresponds to Z = 1.96)
σ = Standard deviation of the population
n = Sample size
In this case, we have the following information:
T = 211 (sample mean)
n = 44 (sample size)
s = 8 (sample standard deviation)
To calculate the margin of error (E), we need to determine the standard deviation of the population (σ). Since we don't have that information, we can use the sample standard deviation (s) as an estimate for the population standard deviation.
Using the given information, we can calculate the margin of error as follows:
E = 1.96 * (8 / √44)
E ≈ 1.96 * (8 / 6.63)
E ≈ 1.96 * 1.21
E ≈ 2.37
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A ball is dropped from the height of 10 feet. Each time it drops h feet, it rebounds feet.
Find the total distance traveled by the ball from the moment it hits the ground the third time
until the moment it hits the ground for the eighth time.
The total distance traveled by the ball from the moment it hits the ground until the moment it hits the ground for the eighth time is 10h.
The total distance traveled by the ball from the moment it hits the ground the third time until the moment it hits the ground for the eighth time can be determined by adding up the total distance traveled in each bounce.
The ball is dropped from the height of 10 feet and each time it drops h feet, it rebounds h feet.
Thus, the ball bounces from the ground to a height of h, and back to the ground again, covering a total distance of 2h.
The ball will bounce from the ground to a height of h feet and back to the ground a total of n times.
Therefore, it will cover a total distance of:Total distance = 2h × n
The ball hits the ground the third time, so it has bounced twice; hence, n = 2 when it hits the ground for the third time. Similarly, when the ball hits the ground for the eighth time, it has bounced seven times; thus, n = 7.
Substituting the appropriate values, we have:When the ball hits the ground the third time:
Total distance = 2h × n= 2h × 2 = 4h
When the ball hits the ground for the eighth time:Total distance = 2h × n= 2h × 7 = 14h
The total distance traveled by the ball from the moment it hits the ground the third time until the moment it hits the ground for the eighth time is given by the difference between the total distance traveled for the eighth bounce and that for the third bounce:Total distance = 14h - 4h= 10h
Thus, the total distance traveled by the ball from the moment it hits the ground the third time until the moment it hits the ground for the eighth time is 10h.
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Which of the following is a valid negation of the statement "A strong password is a necessary condition for achieving high security." ? Question 2. It is not true that the Moon revolves around Earth if and only if the Earth revolves around the Sun. Question 3. The proposition p(q→r) is equivalent to: Question 4. Which of the following statements is logically equivalent to "If you click the button, the light turns on." ?
Question 1. Which of the following is a valid negation of the statement "A strong password is a necessary condition for achieving high security."?
The following is a valid negation of the statement "A strong password is a necessary condition for achieving high security." is: A strong password is not a necessary condition for achieving high security.
Question 2. It is not true that the Moon revolves around Earth if and only if the Earth revolves around the Sun.This statement is true.
Question 3. The proposition p(q→r) is equivalent to:The proposition p(q→r) is equivalent to p(~q ∨ r).
Question 4. Which of the following statements is logically equivalent to "If you click the button, the light turns on."?
The following statement is logically equivalent to "If you click the button, the light turns on" is "The light doesn't turn on unless you click the button."The above solution includes 100 words only.
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A sector of a circle has a diameter of 16 feet and an angle of 4 radians. Find the area of the sector. Round your answer to four decimal places. A= Number ft²
The area of a sector of a circle 128 square feet. The area of a sector of a circle can be calculated using the formula: A = (θ/2) * [tex]r^2[/tex] Where A is the area of the sector, θ is the central angle in radians, and r is the radius of the circle.
Given that the diameter of the circle is 16 feet, we can find the radius by dividing the diameter by 2:
r = 16/2 = 8 feet
The central angle is given as 4 radians.
Plugging these values into the formula, we get:
A = [tex](4/2) * 8^2[/tex]
= 2 * 64
= 128 square feet
Therefore, the area of the sector is 128 square feet.
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In a certain college, 33% of the physics majors belong to ethnic minorities. 10 students are selected at random from the physics majors. a) Find the probability to determine if it is unusually low that 2 of them belong to an ethnic minority? b) Find the mean and standard deviation for the binomial probability distribution for the above exercise. Then find the usual range for the number of students belong to an ethnic minority
The usual range for the number of students who belong to an ethnic minority is [0.66, 5.94].
a) In this problem, the probability of a student being from an ethnic minority is 33%. Therefore, the probability of a student not being from an ethnic minority is 67%.
We are required to find the probability that 2 out of the 10 selected students belong to an ethnic minority which is represented as:
[tex]P(X = 2) = (10 C 2)(0.33)^2(0.67)^8P(X = 2)[/tex]
= 0.0748
To determine if this probability is unusually low, we need to compare it to a threshold value called the alpha level. If the probability obtained is less than or equal to the alpha level, then the result is considered statistically significant. Otherwise, it is not statistically significant. Usually, an alpha level of 0.05 is used.
Therefore, if P(X = 2) ≤ 0.05, then the result is statistically significant. Otherwise, it is not statistically significant.P(X = 2) = 0.0748 which is greater than 0.05
Therefore, it is not statistically significant that 2 out of the 10 students belong to an ethnic minority.
b) Mean and Standard Deviation:Binomial Probability Distribution:
The mean and standard deviation for a binomial probability distribution are given as:Mean (μ) = npStandard Deviation (σ) = √(npq)where q is the probability of failure.
In this problem, n = 10 and p = 0.33. Therefore, the mean and standard deviation are:
Mean (μ) = np
= 10(0.33)
= 3.3Standard Deviation (σ)
= √(npq)
= √(10(0.33)(0.67))
= 1.32Usual Range:
Usually, the range of values that are considered usual for a binomial probability distribution is defined as follows:
Usual Range = μ ± 2σUsual Range
= 3.3 ± 2(1.32)Usual Range
= 3.3 ± 2.64Usual Range
= [0.66, 5.94]
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1. Prove the following statements using definitions, a) M is a complete metric space, FCM is a closed subset of M, F is complete. then b) The set A = (0₁1] is NOT compact in R (need to use the open cover definition) c) The function f: RRR given by is continuous (mest f(x) = 2x+3 use the ε- 5 argument sequence of functions fu(x) = x √n on [1,4] d) The connexes uniformly
a) Thus F is complete.
b) there exists an element of A, say x, such that
x > 1 - 1/n.
c) Hence, f is uniformly continuous on [1, 4].
.d) It is not clear what you mean by "the connexes uniformly."
a) Let (x_n) be a Cauchy sequence in F. Since F is closed, we have
x_n -> x in M.
Since F is closed, we have x \in F.
Thus F is complete.
b) For any ε > 0 and
n \in \mathbb {N},
let O_n = (1/n, 1 + ε).
Then the set
{O_n : n \in \mathbb{N}}
is an open cover of A.
We will show that there is no finite subcover.
Assume that
{O_1, ..., O_k}
is a finite subcover of A. Let n be the maximum of 1 and the denominators of the fractions in
{O_1, ..., O_k}.
Then
1/n < 1/k and 1 + ε > 1.
Hence, there exists an element of A, say x, such that
x > 1 - 1/n.
But then
x \notin O_i for all i = 1, ..., k, a contradiction.
c) Let ε > 0 be given. Choose
n > 4/ε^2
so that
1/√n < ε/2.
Then
|fu(x) - f(x)| = |x/√n - 2x - 3| ≤ |x/√n - 2x| + 3 ≤ (1/√n + 2)|x| + 3 ≤ (1/√n + 2)4 + 3 < ε
for all x \in [1, 4].
Hence, f is uniformly continuous on [1, 4].
d) It is not clear what you mean by "the connexes uniformly."
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