Answer:
Step-by-step explanation:
mean:8x
median: 4x and 6x
mode: 3x
Tell whether the line for each pair of equations is parallel, perpendicular, or neither y = 1/4 x + 10
-2x + 8y = 6
10.4 For the following situation. fal determine which evatuation nethod is probably the cusiese and lasitest (o apply hy hand and hy eomputer in order 10 selece from the five allematives, and (h) thst
Based on the provided question, it seems like you are asking about the most efficient evaluation method, either by hand or using a computer. To determine which method is the most suitable, you need to consider the complexity of the evaluation process and the number of alternatives.
Using a computer is generally faster and more accurate when dealing with large datasets or complex calculations. On the other hand, evaluating by hand may be more suitable for smaller datasets or simpler calculations. It can provide a more hands-on approach, allowing for a deeper understanding of the evaluation process. However, this method is generally more time-consuming and prone to human error.
To select the most appropriate evaluation method, consider the complexity of the task and the available resources. If the evaluation involves a large amount of data or complex calculations, using a computer would likely be the most efficient choice. However, if the task is relatively simple or involves a smaller dataset, evaluating by hand may suffice. In conclusion, the choice between evaluating by hand or using a computer depends on the complexity of the task and the available resources. Consider these factors to determine the most suitable method.
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What is the length of the Hypotenuse?
Answer:
It is 5
Step-by-step explanation:
prove me wrong |•-•|
Can someone please help me with this question I am a little confused, and I would love to know how to do it! Please and thank you.
Explanation:
Use the pythagorean theorem.
a = x
b = x
c = 10
So,
\(a^2+b^2 = c^2\\\\x^2+x^2 = 10^2\\\\2x^2 = 100\\\\x^2 = 100/2\\\\x^2 = 50\\\\x = \sqrt{50}\\\\x \approx 7.0710678\\\\x \approx 7.1\\\\\)
please answer these questions! i’ll give brainliest to the first person who finishes!!
9Answer:
1. √25 = 5, √100 = 10
2. 5² = 25
3. 11² = 121
4. 9² = 81
5. √100 = 10
6. √144 = 12
7. √49 = 7
8. 1
9. 144
10. 4
11. 5
12. 35² = 1225
13. 56² = 3136
14. 64² = 4096
15. √289 = 17
16. √400 = 20
17. √500 = 22.36067977
18. 28
19. 10
20. 49
Linda can clean 72 rooms in 6 days.
How many rooms can Linda clean in 9 days?
Answer:
108
Step-by-step explanation:
72/ 6 = 12
12 x 9 = 108
ILL SEND EXTRA POINTS JUST
PLEASE HELP
Answer: A = P + 0.2P
Step-by-step explanation:
r = 0.04, t = 5
Original equation:
A = P + Prt
A = P + P(0.04)(5)
A = P + P(0.2)
What are the 3 important POST-implementation activities?
The three important post-implementation activities are evaluation and review, training and support, and maintenance and optimization.
After the implementation of a project or system, several important activities need to be carried out to ensure its success and ongoing effectiveness.
Evaluation and Review: This activity involves assessing the outcomes and performance of the implemented project or system. It includes gathering feedback from users, stakeholders, and other relevant parties to evaluate its functionality, efficiency, and user satisfaction. The evaluation helps identify any issues, shortcomings, or areas for improvement.
Training and Support: Post-implementation, providing adequate training and support to users is crucial. This involves conducting training sessions to familiarize users with the system's features, functionalities, and best practices. Ongoing technical support and assistance should be available to address user queries, troubleshoot issues, and ensure smooth operations.
Maintenance and Optimization: Regular maintenance is necessary to ensure the continued functioning and stability of the implemented project or system. This includes activities such as bug fixing, software updates, security patches, and performance optimizations. Monitoring system performance, collecting user feedback, and implementing necessary changes or enhancements contribute to the system's long-term success and efficiency.
By engaging in these post-implementation activities, organizations can effectively evaluate, support, and maintain the implemented project or system, maximizing its benefits and addressing any challenges that may arise.
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Question 8 of 10
Floyd's brick house is located in the suburbs. If his building property
insurance is $652.50 per year, how much is his house worth?
Annual Premium per $100 of coverage
Brick
Steel
Area
rating
Building Contents
Building Contents
City
0.39
0 43
Suburb 0.45
0.52
Rural 0.6
0.69
OA. $185,000
OB. $145,000
OC. $125,000
O D. $95,000
05
0.56
0.71
0.54
0.63
0.8
Mixed
Building Contents
0.55
0.72
0.89
0.65
0.74
0.91
Wood
Building Contents
0.66
0.83
1
0.76
0.85
1.02
The right answer is (B), which is $145,000, given that his building property insurance costs $652.50 annually.
what is interest ?In mathematics, interest usually refers to the sum of money that is charged or made over the course of a given period of time on a principal sum of money. In finance and economics, interest—which can be basic or compound—is frequently used to calculate borrowing costs and return on investment. The principal sum, the interest rate, and the duration for which the interest is being charged or earned are the three factors used to compute simple interest.
given
We are informed that Floyd's home is situated in a suburban area, where building property insurance costs $0.45 for every $100 of coverage.
Assume Floyd's home is worth x. Then, the yearly payment for his home's building property insurance is:
0.0045x = $652.50
After finding x, we obtain:
x = $652.50 ÷ 0.0045
x ≈ $145,000
Floyd's home is therefore currently worth about $145,000.
The correct response is (B ) $145,000 as his building property insurance is $652.50 per year.
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A snow-cone machine priced at $139 is on sale for 20% off. What is the price of the snow-cone machine after the discount?
Answer:
The answer would be 127. 03
Step-by-step explanation:
Which multiple choice response is true?
O Decreasing on (-*, 0); increasing on (0, *)
O Increasing on (-x, ∞)
O , Increasing on (-*, 0); decreasing on (0, *)
O Decreasing on (-∞, ∞)
True response is that the function represented by the graph is Increasing on (-∞, 0) and decreasing on (0, ∞)
A function is said to be increasing in its domains if the value of its range is increasing in that domain.
Similarly, if the function is decreasing in its domain then it's range must be decreasing with the domain.
When the value of x(domain) is increasing on the left side. The value of y(range) is increasing constantly. But when the value of x increases further after 0, then the value of y is decreasing constantly.
So we can say, the following function represented on the graph is increasing in the interval of ( -∞,0) and decreasing in (0,∞).
As per the situation described in the graph the option third which say increasing on (×,0) and decreasing on (0,×).
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if q is an odd number and the median of q consecutive integers is 120, what is the largest of these integers?
If q is an odd number and the median of q consecutive integers is 120, then the largest of these integers is option (A) (q-1) / 2 + 120
The number q is an odd number
The median of q consecutive integers = 120
Consider the q = 3
Then three consecutive integers will be 119, 120, 121
The largest number = 121
Substitute the value of q in each options
Option A
(q-1) / 2 + 120
Substitute the value of q
(3-1)/2 + 120
Subtract the terms
=2/2 + 120
Divide the terms
= 1 + 120
= 121
Therefore, largest of these integers is (q-1) / 2 + 120
I have answered the question in general, as the given question is incomplete
The complete question is
if q is an odd number and the median of q consecutive integers is 120, what is the largest of these integers?
a) (q-1) / 2 + 120
b) q/2 + 119
c) q/2 + 120
d) (q+119)/2
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Light sample A has a frequency of 4.30×1015 Hz and light sample B has a frequency of 8.70×1018 Hz. What is the wavelength of light sample A in meters? Light sample A has a frequency of 4.30×1015 Hz and light sample B has a frequency of 8.70×1018 Hz. What is the wavelength of light sample B in meters? Light sample A has a frequency of 4.30 ×1015 Hz and light sample B has a frequency of 8.70×1018 Hz. Based on frequency, which set gives the most correct description of the types of light for samples A and B respectively? Light sample A has a frequency of 4.30 ×1015 Hz and light sample B has a frequency of 8.70×1018 Hz. Based on frequency, which set gives the most correct description of the types of light for samples A and B respectively?
1) The wavelength of A is equal to 6.98 × \(10^{-8}\)meters
2) The wavelength of B is equal to 3.45 × \(10^{-11}\) meters
Since we know that the wavelength = speed of light / frequency
The speed of light is 3.00 × \(10^8\) meters per second.
For light sample A with a frequency of 4.30 × 10^15 Hz can be calculated as;
wavelength of A = (3.00 × \(10^8\) m/s) / (4.30 × 10^15 Hz)
wavelength of A = 6.98 × \(10^{-8}\) meters
For light sample B with a frequency of 8.70 × \(10^18\) Hz can be calculated as;
wavelength of B = (3.00 × \(10^8\) m/s) / (8.70 ×\(10^18\) Hz)
wavelength of B = 3.45 × \(10^{-11}\) meters
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please answer these questions please
Answer:
35t 125kg
5120x12=61440 kg
10200+9=10209 kg
Step-by-step explanation:
how is the f-statistic in an anova test calculated?
The ratio of the variation between the group means and the variance within the groups is used to determine the f-statistic in an ANOVA test.
The ratio of variation between group means and variance within groups is used to determine the f-statistic in an ANOVA test. The difference between each group's means is measured, and the average of these differences is used to calculate the variance between the group means. Calculating the variance for each group and then averaging these variances yields the variance within the groups. The f-statistic is determined by dividing the variation between the group means by the variance within the groups. This statistic shows whether or not the variations in group means are noteworthy. The null hypothesis can be rejected if the f-statistic is greater than a predetermined threshold, indicating that the differences between the group means are statistically significant.
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Consider the parametric curve given by x(t)=−5t and y(t)=−t^2
. (a) Sketch this curve on the interval −2≤t≤2 and indicate its orientation. (b) Find the equation of the tangent line to the curve at t=1.
The equation of the tangent line to the curve at t = 1 is y + 2x - 9 = 0.
(a) Sketch the curve and indicate its orientation.
The curve represented by the parametric equations x(t) = -5t and y(t) = -t² has the following graph for -2 ≤ t ≤ 2 and its orientation is in the second and third quadrants:
The curve opens to the left and it passes through the point (-10, 100) when t = 2, and passes through the point (0, 0) when t = 0.
(b) Find the equation of the tangent line to the curve at t=1.
Using the parametric equations of the curve, we can get the first derivative of the curve y'(t) as follows:
y'(t) = dy(t) / dt = -2t
To get the slope of the tangent line to the curve at t = 1, we substitute t = 1 into the derivative of the curve to get:
y'(1) = -2(1) = -2
The slope of the tangent line to the curve at t = 1 is -2.
The point (x(1), y(1)) on the curve corresponding to t = 1 is (x(1), y(1)) = (-5(1), -(1)²) = (-5, -1).
Hence the equation of the tangent line at point (x(1), y(1)) is given by the point-slope form:y - y(1) = m (x - x(1))where m is the slope of the tangent line.
Substituting the slope and the coordinates of the point into the above equation, we have:
y - (-1) = -2(x - (-5))
Simplifying the equation above, we get:y + 2x - 9 = 0
Hence, the equation of the tangent line to the curve at t = 1 is y + 2x - 9 = 0.
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PLEASE HLPE ME ASASP!!!!
The length of UN in triangle FUN is 5
What is length?Length is the horizontal distance between two points.
To calculate the length UN, we use the formula below
Formula:
L = √[(x-x')²+(y-y')²].................... Equation 1Where:
L = The length of UNx = x- co-ordiante of Nx' = x- o-ordiante of Uy = Y- co-ordiante of Ny' = Y- co-ordiante of UFrom the question,
Given:
x = 1y = 2x' = 4y' = -2Substitute these values into equation 1
L = √[(1-4)²+(2(-2))²]L = √(9+16)L = √25L = 5Hence, Length of UN is 5
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A farmer has 220 bushels of wheat to sell at her roadside stand. She sells an average of
16 and three eighths bushels each day. Represent the total change in the number of bushels she has for sale after
7 days.
The volume of sphere is given by V = 4/3 πR3 where R is the radius of sphere. Find the rate of change of volume with respect to R.
The rate of change of volume with respect to R is 4πR².
The rate of change function is defined as the rate at which one quantity is changing with respect to another quantity. In simple terms, in the rate of change, the amount of change in one item is divided by the corresponding amount of change in another. The rate of change formula gives the relationship describing how one quantity changes in relation to the change in another quantity. The rate of change from the coordinates of y to the coordinates of x can be found out as Δy/ Δx = (y2 - y1 )/ (x2 - x1 ). For a linear function, the rate of change m is represented in the slope-intercept form for a line: y=mx+b whereas the rate of change of functions is otherwise defined as, (f(b)-f(a))/ b-a.
The volume of the sphere is:
V = (4π/3)(R³)
Differentiating volume with respect to radius gives:
dV/dR = (4π/3)× (3R²) = 4πR²
Thus, the rate of change of volume with respect to R is 4πR².
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For a certain population of penguins, the distribution of weight is approximately normal with mean 15.1 kilograms (kg) and standard deviation 2.2 kg. Approximately what percent of the penguins from the population have a weight between 13.0 kg and 16.5 kg
Using the normal distribution, it is found that 56.78% of the penguins from the population have a weight between 13.0 kg and 16.5 kg.
Normal Probability DistributionThe z-score of a measure X of a normally distributed variable with mean \(\mu\) and standard deviation \(\sigma\) is given by:
\(Z = \frac{X - \mu}{\sigma}\)
The z-score measures how many standard deviations the measure is above or below the mean. Looking at the z-score table, the p-value associated with this z-score is found, which is the percentile of X.In this problem, the mean and the standard deviation are given, respectively, by \(\mu = 15.1, \sigma = 2.2\).
The proportion of penguins from the population have a weight between 13.0 kg and 16.5 kg is the p-value of Z when X = 16.5 subtracted by the p-value of Z when X = 13.
X = 16.5:
\(Z = \frac{X - \mu}{\sigma}\)
\(Z = \frac{16.5 - 15.1}{2.2}\)
Z = 0.64
Z = 0.64 has a p-value of 0.7389.
X = 13:
\(Z = \frac{X - \mu}{\sigma}\)
\(Z = \frac{13 - 15.1}{2.2}\)
Z = -0.95
Z = -0.95 has a p-value of 0.1711.
0.7389 - 0.1711 = 0.5678.
0.5678 = 56.78% of the penguins from the population have a weight between 13.0 kg and 16.5 kg.
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Suppose the random variables X1 and X 2 have the covariance matrix 2 1 E - ( 1 4 l with the eigenvalues and corresponding eigenvectors given as follows A1 = 4414, el = (0.383,0.924)T, A2 2 1.586, .22 = (0.924, —0.383)T. (a) [1 marks] Use the above eigenvalues and eigenvectors, write down the singular value decomposition expression for E. (b) [3 marks] Explain how to generate random vectors from the multivariate normal distribution N01, 2), where a = (050)1' and E is given above. (c) [2 marks] Use the following four N (0, 1) random numbers —0.626, 0.184, —0.836, 1.5 to generate 2 random vectors (each has the dimension of 2 X 1) from a N(u, E) with it : (0,0)T. ((1) [2 marks] Calculate the factor loadings if we use only the second eigen value and vector (i.e. 62 and A2 ) to perform Factor Analysis. (c) [2 marks] Hence calculate the corresponding specific variances for the two random variables. (f) [2 marks] Using your answers in (d) and (e) express the random vari— ables X1, X2 in terms of the obtained factor loadings.
a) E = UΣV^T, b) Generate a vector of independent standard normal random variables, z = (z1, z2)^T, c) x1 = μ + E^(1/2)z1, x2 = μ + E^(1/2)z2, d) the factor loading is the square root of 1.586 multiplied by the vector (0.924, -0.383), e) 1 - (0.924^2 * 1.586), f) X1 = μ1 + (factor loading for X1) * F1, X2 = μ2 + (factor loading for X2) * F2.
(a) The singular value decomposition (SVD) expression for the covariance matrix E can be written as: E = UΣV^T, where U is an orthogonal matrix consisting of the eigenvectors of E, Σ is a diagonal matrix with the square roots of the eigenvalues of E on the diagonal, and V^T denotes the transpose of the matrix V.
(b) To generate random vectors from the multivariate normal distribution N(0, E), where a = (0, 0)^T and E is given, you can follow these steps:
1. Compute the matrix square root of E, denoted as E^(1/2), by performing the eigenvalue decomposition of E: E = QΛQ^T, where Q is a matrix of the eigenvectors of E and Λ is a diagonal matrix with the eigenvalues of E on the diagonal.
2. Generate a vector of independent standard normal random variables, z = (z1, z2)^T.
3. Compute the random vector x = μ + E^(1/2)z, where μ is the mean vector (0, 0)^T.
(c) Using the provided N(0, 1) random numbers (-0.626, 0.184, -0.836, 1.5), and assuming these correspond to z1, z2, z3, and z4 respectively:
1. Take the first two values (-0.626 and 0.184) as z1 and z2, and compute the random vector x1 = μ + E^(1/2)z1.
2. Take the next two values (-0.836 and 1.5) as z3 and z4, and compute the random vector x2 = μ + E^(1/2)z2.
(d) When using only the second eigenvalue and eigenvector (A2 and e2) for factor analysis, the factor loadings can be calculated as the square root of the eigenvalue multiplied by the corresponding eigenvector. In this case, the factor loading is the square root of 1.586 multiplied by the vector (0.924, -0.383).
(e) The specific variances for the two random variables can be obtained by subtracting the squared factor loadings from their respective eigenvalues. For the first random variable (X1), the specific variance is 4 - (0.383^2 * 1.586). For the second random variable (X2), the specific variance is 1 - (0.924^2 * 1.586).
(f) The random variables X1 and X2 can be expressed in terms of the obtained factor loadings as:
X1 = μ1 + (factor loading for X1) * F1,
X2 = μ2 + (factor loading for X2) * F2,
where μ1 and μ2 are the means of X1 and X2 respectively, and F1 and F2 are the latent factors associated with X1 and X2, respectively.
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what is the best point estimate for the population's standard deviation if the sample standard deviation is 41.2? round your answer to one decimal place, if necessary.
The best point estimate for the population's standard deviation is 1697.
What is Standard Deviation?The term "standard deviation" (or σ) refers to a measurement of the data's dispersion from the mean. A low standard deviation implies that the data are grouped around the mean, whereas a large standard deviation shows that the data are more dispersed.
Given:
Sample standard deviation = 41.2.
So, the standard deviation
S² = (41. 2)²
S² = 1697.44
S² = 1697 ( by rounding off)
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(a) (i) What conditions should be satisfied to use image averaging method for noise reduction? (ii) Using mathematical expressions, characterize the noise in the resultant image when K images are averaged, as K becomes large. (iii) Would you select spatial averaging or temporal image averaging when either method can be used for noise reduction? Explain your selection in detail.
(a)image averaging is a very effective method of reducing noise in images. Image averaging reduces noise by adding multiple images of the same scene together and then dividing by the number of images added.The conditions that must be fulfilled for the image averaging method are as follows:-
(i) The background of the image must not move between each image capture.- The noise present in the image must be random.- The source of the noise must be consistent.
(ii)The mathematical expression that characterizes the noise in the resultant image when K images are averaged, as K becomes large is given by;sigma_n^2/K
Where;sigma_n^2 is the variance of the noise and K is the number of images that have been averaged.
Therefore, as K increases, the variance of the noise in the resultant image reduces, and thus, the noise reduces.When either method can be used for noise reduction, the temporal image averaging method would be the preferred method to select.
(iii)This is because it uses a sequence of images that are taken at different times, usually at high speeds, to produce a single image that is free of noise. This method is best when dealing with fast-moving objects, and it can be used in situations where the camera cannot be stabilized and is experiencing unwanted vibration or shaking.
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can someone find the equation plz and solve it.
i will give brainliest i need u guys to save my math grade lol :(
Answer:
$2 per Chicken and $9 per Duck
Step-by-step explanation:
the equations for the problem are as follows (x = the value of chickens and y = the value of ducks):
5x + 3y = 55
4x + 3y = 53
if you subtract the equations you would get x = 2, which means the chickens are worth $2 each
If we re-input the x that we now know as 2 and solve one of the equations for y, we will get y = 9
Answer:
If you need the cost of each duck and chicken it would be around 6 dollars per duck or chicken.
I'm not completely sure tho sorry.
John put away 36 of 48 shirts in his closet. Don has 84 shirts. If he put away the same percent, how many shirts did Don put in his closet?
Answer:
63
Step-by-step explanation:
John's percentage:
36 and 48 have a common factor of 12 so divide both of them by 12.
36/12= 3 and 48/12=4 therefore
so 36/48= 3/4 which is 75% but we don't need to focus on the percent.
Don's no. of shirts:
we know Don has 84 shirts so we say
3/4 of 84= no. of shirts that Don put in his closet
84/4=21 21x3=63
Don put 63 shirts in his closet.
Hope that helped! Anymore questions just ask! :)
in a short string of holiday lights, when at least one bulb in the string stops working then all of the lights go out. assume that each bulb works or fails independently of the other bulbs, and suppose that each bulb has a 98% chance of working throughout the holiday season. on a string of twelve bulbs, what is the probability that at least one bulb will stop working during the holiday season, making all of the lights go out on the string?
The probability that at least one bulb out of 12 will stop working during holiday season making all of lights go out on string is given by 0.2153.
Number of bulbs working throughout the holiday season = 12
Chance of each bulb working throughout the holiday season = 98%
Let A be the event that at least one bulb stops working during the holiday season, .
Making all of the lights go out, and let B be the event that all bulbs work throughout the holiday season.
Find P(A), the probability of event A.
Use the complement rule to find P(A),
P(A) = 1 - P(B)
To find P(B), we need to calculate the probability that each of the twelve bulbs works throughout the holiday season,
0.98¹² = 0.7847
So, the probability that all bulbs work throughout the holiday season is 0.7847.
This implies,
P(A) = 1 - P(B)
= 1 - 0.7847
= 0.2153
Therefore, probability that at least one bulb will stop working during holiday season, making all of the lights go out on the string is 0.2153.
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7 + r ≥ 18
Which is true?
11
10
9
Answer:
11
Step-by-step explanation:
ez
Answer:
11
Step-by-step explanation:
I do not understand this LOL someone help
Answer:
a reflection over the y axis
Step-by-step explanation:
The table below shows the amount of time a light stays green, red, and yellow (for one cycle) during the day and during the night. Day Night Light is green 2 minutes 3 minutes Light is red 3 minutes 4 minutes Light is yellow 20 seconds 30 seconds Is it more likely for you to have to wait at red light during the day or at night? How much more likely? Show all of your work. WRITER
The table shows that it is more likely to wait at red during daytime by 2.92%.
How to explain the information given?Day
Green = 2 min
Red = 3 min
Yellow = 20 sec = 0.333 min
Total day cycle time= 5.33 min
Night
Green = 3 min
Red = 4 min
Yellow = 30 sec = 0.5 min
Total night cycle time= 7.5 min
Pday= 3 min/5.33 min= 0.5625
Pnight= 4 min/7.5 min= 0.5333
Pdifference= 0.02917 = 2.92%
Therefore it is more likely to wait at red during the daytime by 2.92%.
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What is the product of a number and 14 plus 10, written as an algebraic expression?
10(x + 14)
10x − 14
14 ÷ x − 10
14x + 10
The product of a number and 14 plus 10 is written in an algebraic expression as 4x + 10.
What is the product of a number and 14 plus 10, written as an algebraic expression?Given the phrase in the question;
"The product of a number and 14 plus 10"
Translation
Let the number be represented by 'x'
The product of a number and 14 ⇒ x × 14 = 4x
Plus 10 ⇒ + 10
Now lets combine the terms.
4x + 10
Therefore, the product of a number and 14 plus 10 is written in an algebraic expression as 4x + 10.
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