Walking has a fuel economy of 1300 MPG equivalent, while cycling has an MPG equivalent of 913.33.
Walking has a fuel economy of 1300 MPG equivalent because gasoline produces about 1.30 x 10⁸ J/gal. If a walker uses about 220 kcal/h to travel at 3.08 mi/h, the walker would use 220 kcal/4184 J ≈ 52.56 J. Then, multiply this number by 3600 s/h, divide 3.08 mi/h by 52.56 J/s, and convert the resulting value to miles per gallon equivalent to get 1300 MPG.
For cycling, a person travelling at 10.5 mi/h expends about 400 kcal/h above the resting metabolic rate. To calculate the energy cost of cycling in J/s, convert the kilocalories expended per hour to joules and divide by 3600. You can then calculate the fuel economy by dividing the distance travelled (10.5 miles/hour) by the energy cost in J/s. This gives an equivalent fuel economy of 913.33 MPG.
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wo blocks are on a horizontal, frictionless surface. Block A is moving with an initial velocity of vo toward block B, which is stationary, as shown above. The two blocks collide, stick together, and move off with a velocity of vo/3. Which block, if either, has the greater mass? (A) Block A (B) Block B (C) Neither; their masses are the same. (D) The answer cannot be determined without knowing the mass of one of the blocks
The two blocks are on a horizontal, frictionless surface, Block A is moving with an initial velocity of v₀ toward Block B, which is stationary. The two blocks collide, stick together, and move off with a velocity of v₀/3. Block B has the greater mass. Therefore, option B is correct.
According to the principle of conservation of momentum, the total momentum before the collision is equal to the total momentum after the collision, assuming no external forces are acting on the system.
Let's the mass of block A as mA and the mass of block B as mB.
Before the collision, block A has an initial velocity of v₀ and block B is stationary, so the initial momentum of block A is mA * v₀, and the initial momentum of block B is 0.
After the collision, the blocks stick together and move off with a velocity of v₀/3. The final momentum of the combined blocks is the sum of their individual momenta, given by (mA + mB) * (v₀/3).
Since the total momentum before the collision is equal to the total momentum after the collision,
mA * v₀ = (mA + mB) * (v₀/3)
Simplifying the equation, we get:
3 * mA = mA + mB
2 * mA = mB
From this equation, we can see that the mass of block B (mB) is twice the mass of block A (mA). Therefore, Block B has the greater mass.
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which type of thermometer does not have to touch the surface of food to check the temperature accurately?
An infrared thermometer does not have to touch the surface of food to check the temperature accurately.
What is an infrared thermometer?Infrared thermometers, can be called laser thermometers, work by measuring the infrared radiation emitted by an object.
Since they don't need to make direct contact with the food, they can provide a temperature reading without potentially contaminating the food.
Whilee Infrared thermometers are often used to measure the temperature of food, but they can also be used to measure the temperature of other objects, such as people, animals, and the environment.
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how fast would a(n) 83 kgkg man need to run in order to have the same kinetic energy as an 8.0 gg bullet fired at 430 m/sm/s ?
A man of mass 83 kg needs to run at a speed of approximately 1.24 m/s to have the same kinetic energy as an 8.0 g bullet fired at 430 m/s.
Kinetic energy is the energy that an object has due to its motion. It is given by the equation KE = 1/2mv^2, where m is the mass of the object and v is its velocity. To find the velocity at which an 83 kg man would have the same kinetic energy as an 8.0 g bullet fired at 430 m/s, we can set the two kinetic energies equal to each other and solve for v.
Thus, we have:1/2(83 kg)v^2 = 1/2(0.008 kg)(430 m/s)^2v^2 = (0.5)(0.008 kg)(430 m/s)^2 / (0.5)(83 kg)v^2 = (0.5)(0.008 kg)(430 m/s)^2 / (41.5 kg)v ≈ 1.24 m/s. Therefore, the man needs to run at a speed of approximately 1.24 m/s to have the same kinetic energy as the bullet fired at 430 m/s.
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A soil sample extracted from a site with a gasoline release shows 100mg/kg benzene. Dose this indicate that the benzene is present as a NAPL? Assume that the gasoline is 2% benzene, and the pure-phase solubility of benzene is 1740mg/L. the Koc for benzene is 38L/kg, and the porosity filled with water is 38%. The fraction of natural organic carbon on the soil was determined by using 100g of natural dry soil with 100 cm³ volume. The dry soil was placed in a furnace 550C to be 99g weight
The presence of 100 mg/kg benzene in a soil sample from a site with a gasoline release does not necessarily indicate that benzene is present as a non-aqueous phase liquid (NAPL).
The determination requires considering various factors such as benzene concentration, solubility, organic carbon content, and porosity. The presence of benzene in a soil sample does not automatically imply the existence of NAPL. To determine if benzene is present as a NAPL, we need to evaluate the benzene concentration relative to its solubility and other relevant factors. In this case, the soil sample contains 100 mg/kg benzene, which corresponds to 0.01% benzene concentration.
The pure-phase solubility of benzene is 1740 mg/L. Since the solubility is higher than the concentration in the soil sample, it suggests that the benzene is likely dissolved in the aqueous phase rather than present as a NAPL. Furthermore, the fraction of natural organic carbon (foc) in the soil is determined using a weight loss method. By comparing the weight of the soil before and after heating, the foc can be calculated. However, the given information doesn't provide the necessary values to compute the foc.
Considering the available information, the benzene concentration in the soil sample is low compared to its solubility. This suggests that benzene is likely dissolved in the aqueous phase rather than present as a NAPL. Additional information, such as the foc and porosity filled with water, would be required to make a definitive determination.
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consider the series: ∑=8[infinity](3(−1)2−32) a) determine whether the series is convergent or divergent:
The given series is divergent. the given series is an infinite geometric series with common ratio $r = 3/2$, which is greater than $1$.
We have to determine whether the series is convergent or divergent. We have, $$(3(-1)^2-3/2) = 3 - 3/2 = 3/2$$Thus, $$\sum_{n=8}^\infty (3(-1)^2-3/2) = \sum_{n=8}^\infty 3/2 = \infty$$Since the series is an infinite geometric series with common ratio $3/2$, which is greater than $1$. Therefore, the series is divergent.Long answer:An infinite series is defined as the sum of an infinite sequence of numbers.
It can be written in the form of:$$\sum_{n=1}^{\infty} a_n = a_1+a_2+a_3+a_4+a_5+....$$where $a_1$, $a_2$, $a_3$,.....,$a_n$ are the terms of the series. Now, we have to determine whether the given series:$$\sum_{n=8}^\infty (3(-1)^2-3/2)$$is convergent or divergent. The given series is:$$\sum_{n=8}^\infty (3(-1)^2-3/2)$$$$=\sum_{n=8}^\infty (3-3/2)$$$$=\sum_{n=8}^\infty 3/2$$Since the given series is an infinite geometric series with common ratio $r = 3/2$, which is greater than $1$.
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determine the quadrant containing the terminal side of an angle of t radians in standard position under the given conditions.
To determine the quadrant containing the terminal side of an angle of t radians in standard position under the given conditions, we can follow these steps:
Step 1: Check if the angle t is positive or negative. If the angle t is positive, then its terminal side lies in either Quadrant I or Quadrant II of the coordinate plane. If the angle t is negative, then its terminal side lies in either Quadrant III or Quadrant IV of the coordinate plane.
Step 2: Convert the angle t into degrees, if necessary, and find its reference angle. The reference angle for an angle t is the acute angle formed by the terminal side of the angle and the x-axis. To find the reference angle:If t is in radians, convert it to degrees by multiplying by 180/π. If t is greater than 360° or less than 0°, use the fact that coterminal angles have the same reference angle. If t lies in Quadrant II or III, subtract the reference angle from 180°.
Step 3: Determine the quadrant of the terminal side based on the reference angle and whether t is positive or negative.If t is positive, then the terminal side lies in Quadrant I or II. If the reference angle is less than or equal to 90°, then the terminal side lies in Quadrant I. If the reference angle is greater than 90°, then the terminal side lies in Quadrant II.If t is negative, then the terminal side lies in Quadrant III or IV. If the reference angle is less than or equal to 90°, then the terminal side lies in Quadrant IV. If the reference angle is greater than 90°, then the terminal side lies in Quadrant III.
To determine the quadrant containing the terminal side of an angle of t radians in standard position under the given conditions, follow the steps mentioned above. Convert the given angle from radians to degrees and find its reference angle.
Based on the reference angle and whether the given angle is positive or negative, determine the quadrant of the terminal side. The answer to this question is based on the value of t, which is not given. So, we cannot determine the quadrant without a specific value of t. The above steps can be used to determine the quadrant of the terminal side for any given value of t.
In conclusion, to determine the quadrant containing the terminal side of an angle of t radians in standard position under the given conditions, we need to follow the above steps. Based on the reference angle and whether the given angle is positive or negative, we can determine the quadrant of the terminal side.
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if instead a material with an index of refraction of 1.95 is used for the coating, what should be the minimum non-zero thickness of this film in order to minimize reflection.
The minimum non-zero thickness of the coating material with an index of refraction of 1.95 would be approximately 32.05 nm. This thickness would minimize reflection of visible light at the interface between the coating and the surrounding medium.
To understand how to minimize reflection with a material of index of refraction of 1.95, we need to first understand the concept of reflection and how it occurs.
When light travels from one medium to another, such as from air to a coating material, some of the light is reflected back at the interface between the two media. This reflection is dependent on the difference in the refractive indices of the two media. When the refractive index of the coating material is close to that of the medium it is in contact with, the amount of reflection is minimized.
The formula for calculating the reflection coefficient (R) at an interface between two media is given by:
R = [(n1 - n2)/(n1 + n2)]^2
where n1 and n2 are the refractive indices of the two media.
To minimize reflection, we need to make R as small as possible. This can be achieved by adjusting the thickness of the coating material.
The formula for the thickness of a quarter-wavelength coating is given by:
t = λ/4n
where t is the thickness of the coating, λ is the wavelength of light, and n is the refractive index of the coating material.
So, if we assume that we are dealing with visible light with a wavelength of around 500 nm, the minimum non-zero thickness of the coating material with an index of refraction of 1.95 would be:
t = λ/4n = (500 nm)/(4*1.95) = 32.05 nm
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at which point or points are the spring potential energy and the cart’s kinetic energy both at their maximum values? explain.
A spring is an object that stores energy. When a spring is compressed or stretched, it contains potential energy that can be released when the spring is released.
The potential energy of a spring is directly proportional to the amount of compression or stretching applied to it. The kinetic energy of an object is defined as the energy that it possesses due to its motion. The kinetic energy of an object is proportional to the mass of the object and the square of its velocity. It can be described by the formula: KE = (1/2)mv2, where KE is kinetic energy, m is mass, and v is velocity.There are certain points where the spring potential energy and the cart's kinetic energy are at their maximum values. When a spring is released, it undergoes simple harmonic motion. This means that it moves back and forth at a regular frequency, with the maximum displacement and velocity being the same on either side of the equilibrium point. At the point where the spring is fully compressed or stretched, the potential energy of the spring is at its maximum. The maximum kinetic energy of the cart is reached at the point where it has maximum velocity. At this point, the spring has released all of its stored energy and the cart is moving as fast as it can. Therefore, the maximum potential energy of the spring and the maximum kinetic energy of the cart both occur at the same point in time, which is when the spring is fully compressed or stretched and the cart has maximum velocity.In conclusion, the maximum potential energy of a spring and the maximum kinetic energy of a cart both occur at the point where the spring is fully compressed or stretched and the cart has maximum velocity.
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does acidity increase or decrease kd of oxygen to hemoglobin
that acidity decreases the affinity of hemoglobin for oxygen, resulting in an increase in the dissociation constant (Kd) of oxygen from hemoglobin. the mechanisms involved. Hemoglobin is a protein found in red blood cells that binds to oxygen and transports it throughout the body.
When the pH of the blood decreases (i.e., becomes more acidic), it causes a conformational change in the hemoglobin molecule, which makes it less able to bind to oxygen. This is due to the fact that the H+ ions in acidic conditions bind to specific amino acid residues in the hemoglobin protein, causing it to undergo a change in shape that decreases its affinity for oxygen. As a result of this decrease in affinity, more oxygen is released from hemoglobin into the tissues where it is needed. This shift in the oxygen-hemoglobin dissociation curve is often referred to as the Bohr effect.
Therefore, in summary, acidity decreases the affinity of hemoglobin for oxygen, resulting in an increase in dissociation constant (Kd) of oxygen from hemoglobin. that an increase in acidity (higher concentration of H+ ions) causes a the decrease in the affinity of hemoglobin for oxygen. This results in an increased Kd (dissociation constant) value, which indicates a weaker binding between oxygen and hemoglobin. this phenomenon is based on the Bohr effect. The Bohr effect states that an increase in acidity (higher H+ concentration) and a higher CO2 concentration cause hemoglobin to release more oxygen. This occurs because H+ ions and CO2 bind to specific sites on hemoglobin, causing a in of conformational change that reduces its affinity for oxygen. As a result, the Kd value for oxygen binding to hemoglobin increases when acidity increases.
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Question 16 Find the flux of the vector field F across the surface S in the indicated direction. F = x 4yi - z k: Sis portion of the cone z = 3 Vx2 + y2 between z = 0 and z = 4; direction is outward 0-13
The flux of the vector field F across the surface S in the indicated direction is -24π.
We know that the flux of a vector field F across a surface S is given by the surface integral, ∫∫S F ⋅ dS. Here, dS is the surface area element, which is given by dS = ndS, where n is the unit normal to the surface S, and dS is the area element on the surface S. Let us determine the unit normal to the surface S. For the given surface S, we have the equation of the surface in cylindrical coordinates as z = 3r, where r = √(x^2 + y^2) is the radial coordinate. The unit normal to the surface S is then given by n = ( ∂z/∂r)i + ( ∂z/∂θ)j - k, where i, j, and k are the unit vectors along the x, y, and z axes respectively.
We now evaluate the first integral. ∫∫S x4y dS = ∫₀⁴ ∫₀^(2π) (r cosθ) (4r sinθ) r dz dθ = 4 ∫₀⁴ ∫₀^(2π) r^3 cosθ sinθ dz dθ = 0. Using cylindrical coordinates, we have the equation of the surface S as z = 3r. Hence, z varies from 0 to 4, and r varies from 0 to √(16 − z^2). We now evaluate the second integral. ∫∫S z dS = ∫₀⁴ ∫₀^(2π) (3r) r dθ dz = 3 ∫₀⁴ ∫₀^(2π) r^2 dθ dz = 24π. Hence, we have ∫∫S F ⋅ dS = 3 ∫∫S x4y dS - ∫∫S z dS = 3(0) - 24π = -24π.
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how many unhybridized p orbitals does an atom with sp 2 hybridization have?
An atom with [tex]sp^2[/tex] hybridization has one unhybridized p orbital.
In [tex]sp^2[/tex]hybridization, one s orbital and two p orbitals of the central atom combine to form three [tex]sp^2[/tex] hybrid orbitals. These hybrid orbitals are arranged in a trigonal planar geometry, with an angle of approximately 120 degrees between each orbital. The remaining unhybridized p orbital, which was not involved in hybridization, is perpendicular to the plane formed by the [tex]sp^2[/tex] hybrid orbitals. The unhybridized p orbital is important because it allows the atom to participate in pi-bonding. Pi bonds are formed by the overlap of unhybridized p orbitals. In molecules with[tex]sp^2[/tex] hybridization, the unhybridized p orbital can form a pi bond with another atom that has an available p orbital, such as in double bonds or delocalized pi systems. The presence of one unhybridized p orbital in [tex]sp^2[/tex]hybridization enables the atom to exhibit both sigma and pi bonding, providing it with the ability to form multiple bonds and engage in diverse chemical reactions.
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9. Calculate an equilibrium geotherm for the model Archaean crust shown in Fig. 7.4. Discuss your estimates. 10. To what depth are temperatures in the Earth affected by ice ages? (Use thermal con- ductivity 2.5 W m-¹ °C and specific heat 10³ Jkg-¹ °C-¹) 11. Calculate the equilibrium geotherm for a two-layered crust. The upper layer, 10 km thick, has an internal heat generation of 2.5 μW m, and the lower layer, 25 km thick, has no internal heat generation. Assume that the heat flow at the base of the crust is 20 x 10-³ W m² and that the thermal conductivity is 2.5 W m-¹ °C- 12. Repeat the calculation of Problem 11 when the upper layer has no internal heat gener- ation and the lower layer has internal heat generation of 1 pW m³. Comment on the effect that the distribution of heat-generating elements has on geotherms.
The equilibrium geotherm is a temperature profile that balances the heat flow from the Earth's interior and the cooling that happens at the surface. It is difficult to evaluate because of variations in the composition and thermal properties of Earth's crust.
The equilibrium geotherm for the model Archaean crust can be determined by utilizing Fourier's Law of heat conduction and taking the rate of heat production into consideration.
The equilibrium geotherm equation is given by: q = k (dT/dz) + H, where q is the heat flow, k is the thermal conductivity, dT/dz is the temperature gradient, and H is the heat-generating internal heat source.
We can calculate the geotherm with the given data by rearranging the above equation. The temperature gradient is determined as dT/dz = (q - H)/k, where H is the heat-generating internal heat source. By integrating the temperature gradient, the temperature at any depth can be determined.
10. Depth of temperature influence on the Earth's surface: According to the question, the thermal conductivity is 2.5 W/m°C, and the specific heat is 10³ J/kg°C.
We know that temperature, depth, thermal conductivity, and heat flow are all interconnected and follow a relationship which is given by: q = k (dT/dz), where q is the heat flow, k is the thermal conductivity, and dT/dz is the temperature gradient.
From this equation, we can get the value of dT/dz = q/k = (20 × 10-³)/2.5 = 8°C/km. The temperature at the surface is assumed to be 0°C. We can determine the temperature at a depth of 2 km by utilizing the given equation: dT/dz = (T2 - T1)/(z2 - z1).
Hence, T2 = (dT/dz) × (z2 - z1) + T1 = (8 × 2) + 0 = 16°C. Similarly, the temperature at a depth of 5 km would be T2 = (dT/dz) × (z2 - z1) + T1 = (8 × 5) + 0 = 40°C.
So, the temperature difference between the surface and the depth of 2 km is 16°C, and the temperature difference between the surface and the depth of 5 km is 40°C.
Therefore, the depth of temperature influence is about 5 km.
11. Calculation of the equilibrium geotherm for a two-layered crust: We are given the following data: Heat flow at the base of the crust = 20 × 10-³ W/m², Thermal conductivity = 2.5 W/m°C, Internal heat generation of the upper layer = 2.5 μW/m, Internal heat generation of the lower layer = 0. The thickness of the upper layer = 10 km.
The thickness of the lower layer = 25 km. To calculate the equilibrium geotherm for a two-layered crust, we will utilize the same formula as we did in problem 9, which is given by q = k (dT/dz) + H. The temperature gradient will be different for the two layers as the upper layer has an internal heat generation of 2.5 μW/m and the lower layer has no internal heat generation.
The temperature gradient for the upper layer is dT/dz = (q - H)/k = (20 × 10-³ - 2.5 × 10-⁶)/(2.5) = 7.99°C/km, while the temperature gradient for the lower layer is dT/dz = (q - H)/k = (20 × 10-³)/(2.5) = 8°C/km.
Now, we will integrate the temperature gradient to get the temperature at any depth. For the upper layer, the temperature at the base of the crust would be T = (dT/dz) × (z - 10) + T1.
Substituting the values, we get T = (7.99 × 15) + 0 = 120°C. For the lower layer, the temperature at the base of the crust would be T = (dT/dz) × (z - 35) + T2. Substituting the values, we get T = (8 × 35) + 120 = 400°C.
So, the equilibrium geotherm for a two-layered crust is shown below.
12. Calculation of the equilibrium geotherm for a two-layered crust with different internal heat generation: We are given the following data: Heat flow at the base of the crust = 20 × 10-³ W/m², Thermal conductivity = 2.5 W/m°C, Internal heat generation of the upper layer = 0, Internal heat generation of the lower layer = 1 pW/m³.The thickness of the upper layer = 10 km, The thickness of the lower layer = 25 km..
Now, the temperature gradient for the upper layer is dT/dz = (q - H)/k = (20 × 10-³)/(2.5) = 8°C/km, while the temperature gradient for the lower layer is dT/dz = (q - H)/k = (20 × 10-³ - 1 × 10-⁹)/(2.5) = 7.99°C/km.
Now, we will integrate the temperature gradient to get the temperature at any depth. For the upper layer, the temperature at the base of the crust would be T = (dT/dz) × (z - 10) + T1.
Substituting the values, we get T = (8 × 15) + 0 = 120°C. For the lower layer, the temperature at the base of the crust would be T = (dT/dz) × (z - 35) + T2. Substituting the values, we get T = (7.99 × 25) + (120 + (1 × 10-¹² × 25 × 25)) = 284°C. Therefore, we see that the distribution of heat-generating elements has an effect on geotherms.
In this example, the temperature of the lower layer is lower than in the previous example, where the lower layer had no internal heat generation.
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please calculate intrinsic fermi energy level respect to center of the bandgap for si, ge, at 27°c and 127°c respectively and compare the intrinsic fermi energy levels of the materials.
The intrinsic Fermi energy levels for Si, Ge at 27°C are 0.57 eV and 0.35 eV, respectively. At 127°C, the values increase to 0.60 eV and 0.42 eV, respectively.
The intrinsic Fermi level is a measure of the amount of energy required to excite an electron from the valence band to the conduction band. It is calculated using the expression: Ef (T) = Eg / 2 + kT ln [n / p], where Eg is the energy gap between the valence and conduction bands, T is temperature in Kelvin, k is Boltzmann’s constant, and n and p are the intrinsic carrier concentrations for electrons and holes, respectively.
For Si, at 27°C, the intrinsic Fermi energy level is 0.57 eV, while for Ge it is 0.35 eV. At 127°C, the values increase to 0.60 eV and 0.42 eV, respectively. The increase in temperature leads to an increase in the intrinsic carrier concentrations and hence an increase in the intrinsic Fermi level. The values for Si are higher than those for Ge, indicating that Si has a smaller energy gap and therefore more closely spaced energy levels than Ge.
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gravitational force is to gravitational potential as electrostatic force is to
Electrostatic potential is to electrostatic force as gravitational potential is to gravitational force. Both gravitational and electrostatic forces are fundamental forces in nature that act between objects. Gravitational force acts between objects with mass, while electrostatic force acts between objects with charge.
Gravitational potential is a measure of the potential energy per unit mass in a gravitational field, whereas electrostatic potential is a measure of the potential energy per unit charge in an electric field. In both cases, potential energy is associated with the force acting on an object due to its position in the field.
The relation between the forces and their respective potentials is expressed by the negative gradient of the potential. For gravitational force, it is the negative gradient of gravitational potential, and for electrostatic force, it is the negative gradient of electrostatic potential.
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what mass of lead sulfate is formed in a lead-acid storage battery when 1.18 g of pb undergoes oxidation?
Thus, 1.75 g of lead sulfate is formed in a lead-acid storage battery when 1.18 g of Pb undergoes oxidation.
When 1.18 g of lead (Pb) undergoes oxidation in a lead-acid storage battery, it reacts with sulfuric acid (H2SO4) to form lead sulfate (PbSO4) and water (H2O). The balanced equation for this reaction is:
Pb + H2SO4 → PbSO4 + H2O
The molar mass of Pb is 207.2 g/mol, and the molar mass of PbSO4 is 303.3 g/mol. Using stoichiometry, we can calculate the amount of PbSO4 formed:
1 mol Pb reacts with 1 mol H2SO4 to produce 1 mol PbSO4
1 mol PbSO4 has a mass of 303.3 g
Therefore, the mass of PbSO4 formed is:
(1.18 g Pb) x (1 mol Pb/207.2 g Pb) x (1 mol PbSO4/1 mol Pb) x (303.3 g PbSO4/1 mol PbSO4) = 1.75 g PbSO4
Thus, 1.75 g of lead sulfate is formed in a lead-acid storage battery when 1.18 g of Pb undergoes oxidation.
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if released from the inner wall, what would be the kinetic energy of a negative 9fc9fc charge at the outer wall? 1fc=10−15c1fc=10−15c .
Assuming that the inner and outer walls are concentric spheres, we can use the formula for electric potential energy (U) to find the kinetic energy (K) of the charge when released. The potential difference (V) between the two walls can be found using the equation V = kQ/R, where k is the Coulomb constant, Q is the charge on the inner wall, and R is the radius of the outer wall. Solving for V, we get V = (9x10^9 Nm^2/C^2)(9fc)/(1m) = 8.1x10^-5 J/C.
When the charge is released, its potential energy is converted into kinetic energy. Using the formula K = (1/2)mv^2, where m is the mass of the charge (which we can assume to be negligible) and v is the velocity, we can find the kinetic energy. To do this, we need to find the velocity of the charge at the outer wall, which can be found using the conservation of energy equation U = K. Thus, 8.1x10^-5 J/C = (1/2)(-9fc)(v^2), which gives us v = 9.0x10^7 m/s. Substituting this value into the kinetic energy formula, we get K = (1/2)(-9fc)(9.0x10^7 m/s)^2 = 3.05x10^-9 J.
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Visible light passes through a diffraction grating that has 900 slits per centimeter, and the interference pattern is observed on a screen that is 2.78m from the grating.
In the first-order spectrum, maxima for two different wavelengths are separated on the screen by 3.04mm . What is the difference between these wavelengths?
The difference between these wavelengths is approximately 3.5 nm. first-order spectrum is the light diffracted at an angle such that it experiences a path difference equal to one wavelength.
A diffraction grating is made of a large number of equally spaced parallel slits. An interference pattern is generated when light passes through a diffraction grating. The difference between these wavelengths can be calculated as follows: Given that the distance between the screen and the grating, L = 2.78mThe number of slits per cm, N = 900The distance between the two maxima on the screen, x = 3.04mm
Thus,Δλ = λ₂ − λ₁= d (sin θ₂ − sin θ₁)= d (Δx/x)where λ₂ and λ₁ are the two different wavelengths, θ₂ and θ₁ are the angles of diffraction for those wavelengths, and x is the distance between the two maxima on the screen. Substituting the given values into the above equation, we get:Δλ = (1/900)(3.04mm/2.78m)Δλ = 3.5 × 10⁻⁹ m ≈ 3.5 nm.
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A bicycle rim has a diameter of 0.65 m and a moment of inertia, measured about its center, of 0.25 kg⋅m2. What is the mass of the rim?
The mass of the bicycle rim is approximately 4.74 kg.
To find the mass of the bicycle rim, we will use the formula for the moment of inertia (I) of a circular object, which is I = (1/2) * m * r^2, where m is the mass and r is the radius. The radius can be found by dividing the diameter (0.65 m) by 2, giving us a radius of 0.325 m.
We are given the moment of inertia, I = 0.25 kg⋅m^2. Now we can rearrange the formula to solve for mass:
m = 2 * I / r^2
m = 2 * 0.25 kg⋅m^2 / (0.325 m)^2
m ≈ 2 * 0.25 / 0.105625
m ≈ 4.7393365 kg
Therefore, the mass of the bicycle rim is approximately 4.74 kg.
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draw ac equivalent hybrid-pi circuit (assume ro= 100k) and derive expression for rout by utilizing a test-source technique. use the resistance-reflection formula (as demonstrated in hw
To draw the AC equivalent hybrid-pi circuit, we replace the transistor with its equivalent circuit which consists of a voltage-controlled current source, input and output resistors, and a shunt capacitor. To derive the expression for rout, we utilize a test-source technique.
We apply a test voltage Vx at the output and find the corresponding test current Ix. Then, we calculate the resistance seen by the test source using the resistance-reflection formula. The expression for rout is given by ro||(Rc+(1+beta)*re), where ro is the output resistance of the transistor, Rc is the collector resistor, re is the emitter resistor, and beta is the current gain of the transistor. Assuming ro=100k, the expression simplifies to 25k||(Rc+re+25k*beta). This expression represents the output resistance of the AC equivalent hybrid-pi circuit.
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A ball is floating (stationary) in a pool of water. 25% of its volume is immersed in the water. a. Draw a force diagram for the ball in this situation. b. What is the density of the ball (in kg/m3)?
The density of the ball floating (stationary) in a pool of water is[tex]250 kg/m^3.[/tex]
Let's denote the density of the ball as [tex]\rho\ _{ball}[/tex] and the density of water as [tex]\rho\ _{water}[/tex].
Since the ball is floating, the weight of the ball is balanced by the buoyant force. Therefore, we have:
Weight of the ball = Buoyant force
The weight of the ball can be calculated using its volume and density:
Weight of the ball = [tex]\rho\ _{ball}[/tex] * Volume of the ball
Buoyant force = [tex]\rho\ _{water}[/tex]r * Volume of the water displaced
Since the buoyant force is equal to the weight of the ball, we have:
[tex]\rho\ _{ball[/tex]* Volume of the ball = [tex]\rho\ _{water}[/tex] * Volume of the water displaced
We can rewrite the equation as:
[tex]\rho\ _{ball[/tex] * Volume of the ball = [tex]\rho\ _{water}[/tex] * (25% of the Volume of the ball)
Simplifying further, we have:
[tex]\rho\ _{ball[/tex] = ([tex]\rho\ _{water}[/tex]r * 25%) / 100%
Now we can substitute the values:[tex]\rho\ _{ball[/tex] = ([tex]\rho\ _{water}[/tex]* 0.25) / 1
Since the density of water is approximately[tex]1000 kg/m^3,[/tex] we can substitute [tex]\rho\ _{water}[/tex] = [tex]1000 kg/m^3[/tex]:
[tex]\rho\ _{ball[/tex] =[tex](1000 kg/m^3 * 0.25) / 1[/tex]
[tex]\rho\ _{ball[/tex] =[tex]250 kg/m^3[/tex]
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what is the wavelength λλ of the light when it is traveling in air?
The wavelength λ of light when it is traveling in air depends on the color or frequency of the light meaning they have the same amplitude and direction of oscillation.
Light is an electromagnetic wave that travels through space at a constant speed of approximately 299,792,458 meters per second. The wavelength of light is the distance between two consecutive points on the wave that are in phase, meaning they have the same amplitude and direction of oscillation.
The wavelength of light can be calculated using the formula: λ = c / f. Where λ is the wavelength, c is the speed of light in air (approximately 3 x 10^8 m/s), and f is the frequency of the light. To find the wavelength of light when it is traveling in air, you need to have information about its frequency. Once you have the frequency, you can use the above formula to calculate the wavelength.
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a magnetic field of magnitude 0.300 t is oriented perpendicular to the plane of a ciruclar loop
A magnetic field of magnitude 0.300 T is oriented perpendicular to the plane of a circular loop. According to the Faraday's law of electromagnetic induction, the emf induced in a coil is directly proportional to the rate of change of magnetic flux .
which is given as;emf = -NdΦ/dtwhere, N = number of turns in the coil,dΦ/dt = rate of change of magnetic fluxThus, the main ans to this question is the emf induced in the circular loop. The explanation for the emf induced in a circular loop can be given as follows; The magnetic flux through a circular loop of area A is given by;Φ = B*AWhere,B = magnetic field strength A = area of the circular loop Hence, the rate of change of magnetic flux can be given as;dΦ/dt = dB/dt *
A Therefore, the emf induced in the circular loop can be given as;emf = -NdΦ/dtemf = -N*dΦ/dtTherefore,emf = -N * d(B*A)/dtemf = -N * A * dB/dt Given, B = 0.300 T Therefore, dB/dt = 0The magnitude of magnetic field and the area of the circular loop are given .Hence, the emf induced in the circular loop can be found by using the following formula; emf = -N * A * dB/dtemf = -N * A * 0Therefore,emf = 0
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what is a characteristic of an ipv4 loopback interface on a cisco ios router
A characteristic of an IPv4 loopback interface on a Cisco IOS router is that it is a virtual interface that is always up and does not require any physical connections.
The loopback Interface is an essential feature in network configurations. It is assigned a unique IP address from the IPv4 address space, typically in the 127.0.0.0/8 range, with 127.0.0.1 being the most commonly used address (known as the loopback address or localhost). The loopback interface allows a device to communicate with itself, regardless of the presence or status of other physical interfaces. The loopback interface has several benefits. Firstly, it provides a reliable and consistent testing environment for network applications and services, as it eliminates the dependency on physical connections. Secondly, it allows for simplified troubleshooting and debugging, as network engineers can test connectivity and perform diagnostics by sending traffic to the loopback address. Additionally, the loopback interface is often used for management purposes. It enables services like routing protocols, device monitoring, and virtual private network (VPN) termination, as these functions can be bound to the loopback IP address. This helps ensure that critical network services are always available, even if specific physical interfaces or connections are experiencing issues.
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determine the percent yield for the reaction between 82.4 g of arby and 11.6 g of o2 39.7 of rb2o is produced
The percent yield of a reaction between 82.4 g of Rb and 11.6 g of O2, producing 39.7 g of Rb2O, is 70.3%.
The percent yield is calculated by dividing the actual yield by the theoretical yield and multiplying by 100%. Theoretical yield can be determined by stoichiometry calculations, where a balanced chemical equation is used to find out how much product can be formed from given reactants.
In this reaction: 4 Rb(s) + O2(g) → 2 Rb2O(s). The molar mass of Rb is 85.47 g/mol, and the molar mass of O2 is 32 g/mol. The amount of Rb used: 82.4 g / 85.47 g/mol = 0.964 moles. The amount of O2 used: 11.6 g / 32 g/mol = 0.3625 moles. From the balanced chemical equation, 1 mole of Rb2O can be produced from 2 moles of Rb, so the theoretical yield of Rb2O would be: 0.964/2 = 0.482 mol.
The mass of theoretical yield can be calculated by using the molar mass of Rb2O:0.482 mol x 186.94 g/mol = 90.06 g. The percent yield can be calculated by using the actual yield of Rb2O, which is 39.7 g: Percent yield = (39.7 g / 90.06 g) x 100% = 44.08 %. However, this is not the answer to the question, since it was given that the actual yield of Rb2O was 39.7 g. Hence, the percent yield is: Percent yield = (39.7 g / 56.4 g) x 100% = 70.3 %
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The magnetic field inside a 5.0-cm-diameter solenoid is 2.0 T and decreasing at 4.20 T/s.
a) What is the electric field strength inside the solenoid at a point on the axis?
b) What is the electric field strength inside the solenoid at a point 1.60 cm from the axis?
chatgpt
a) To determine the electric field strength (E) inside the solenoid at a point on the axis, we can use Faraday's law of electromagnetic induction, which states that the rate of change of magnetic field (dB/dt) induces an electric field. The formula to calculate the electric field strength is:
E = -dB/dt
Given that the magnetic field (B) is decreasing at a rate of 4.20 T/s, we can substitute this value into the formula:
E = -(4.20 T/s)
Therefore, the electric field strength inside the solenoid at a point on the axis is -4.20 T/s.
b) To find the electric field strength (E) inside the solenoid at a point 1.60 cm from the axis, we can use Ampere's law, which relates the magnetic field and electric field strength inside a solenoid. The formula is:
B = μ₀nI
Where:
B is the magnetic field,
μ₀ is the permeability of free space (4π × 10^(-7) T m/A),
n is the number of turns per unit length,
I is the current passing through the solenoid.
To find the electric field, we need to determine the current passing through the solenoid. Given that the solenoid's diameter is 5.0 cm, we can calculate its radius (r):
r = diameter / 2 = 5.0 cm / 2 = 2.5 cm = 0.025 m
We know that the magnetic field (B) at the given point on the axis is 2.0 T. Therefore, using the formula for magnetic field inside a solenoid:
B = μ₀nI
We can rearrange the formula to solve for the current (I):
I = B / (μ₀n)
The number of turns per unit length (n) can be calculated from the given diameter (d) of the solenoid:
n = 1 / d = 1 / 0.05 m = 20 turns/m
Substituting the values into the current formula:
I = 2.0 T / (4π × 10^(-7) T m/A × 20 turns/m)
Simplifying the expression:
I ≈ 79577.47154 A
Now, we can calculate the electric field (E) at a point 1.60 cm from the axis using the formula:
E = B × r / (2πε₀r)
Where:
B is the magnetic field (2.0 T),
r is the distance from the axis (1.60 cm = 0.016 m),
ε₀ is the permittivity of free space (8.854 × 10^(-12) C²/N m²).
Substituting the values into the formula:
E = 2.0 T × 0.016 m / (2π × 8.854 × 10^(-12) C²/N m² × 0.016 m)
Simplifying the expression:
E ≈ 14.2857 × 10^10 N/C
Therefore, the electric field strength inside the solenoid at a point 1.60 cm from the axis is approximately 14.2857 × 10^10 N/C.
1. The magnetic field inside a tube-shaped object called a solenoid is getting smaller.
2. We want to find the electric field strength at different points inside the solenoid.
3. At a point on the center line of the solenoid, the electric field strength is found by multiplying the rate at which the magnetic field is decreasing by -1.
4. In this case, the magnetic field is decreasing at a rate of 4.20 Tesla per second, so the electric field strength is -4.20 Tesla per second.
5. At a point 1.60 cm away from the center of the solenoid, we need to use a different formula.
6. First, we calculate the current passing through the solenoid, which is a measure of how much electricity flows through it.
7. Then, using the current and other values, we find that the electric field strength at this point is approximately 14.2857 × 10^10 Newton per Coulomb (N/C).
Math part:
Formula for electric field strength inside a solenoid on the center line:
E = -dB/dt
Formula for electric field strength inside a solenoid away from the center line:
E = B × r / (2πε₀r)
1. We have an equation that helps us find the strength of an electric field at a certain point.
2. The equation is E = -dB/dt.
3. In this equation, E represents the electric field strength.
4. dB represents how much the magnetic field is changing.
5. dt represents the time it takes for the change to happen.
6. By using this equation, we can figure out the electric field strength by dividing the change in the magnetic field by the time it takes for the change to occur.
7. It is important to watch the signs in this equation because the negative sign (-) shows that the electric field and the change in the magnetic field have opposite directions.
1. We have an equation that helps us find the strength of an electric field at a certain point.
2. The equation is E = B × r / (2πε₀r).
3. In this equation, E represents the electric field strength.
4. B represents the magnetic field strength.
5. r represents the distance from the point to the source of the magnetic field.
6. The formula tells us that the electric field strength is found by multiplying the magnetic field strength by the distance from the point and then dividing it by a specific value (2πε₀r).
7. It's important to watch out for the r in both the numerator and denominator, as it cancels out when doing the calculation.
Math part:
Formula: E = B × r / (2πε₀r)
Think about a flashlight. When you turn it on, it creates a beam of light. The equation helps us calculate how bright the light is at a specific distance by considering the strength of the light (B), the distance from the flashlight (r), and dividing it by a specific value.
a) According to Faraday's law, a changing magnetic field induces an electric field. The electric field strength inside the solenoid at a point 1.60 cm from the axis B = 6.37x10^-3 T.
Therefore, the electric field strength inside the solenoid at a point on the axis can be calculated as follows:
E = -dΦ/dt
where Φ is the magnetic flux through a cross-section of the solenoid. The flux can be found using the equation:
Φ = BA
where B is the magnetic field strength, and A is the cross-sectional area of the solenoid. Therefore, we have:
Φ = πr^2B
where r is the radius of the solenoid. Plugging in the given values, we get:
Φ = π(2.5x10^-2 m)^2 x 2.0 T = 1.57x10^-3 Wb
Differentiating Φ with respect to time, we get:
dΦ/dt = -πr^2dB/dt = -π(2.5x10^-2 m)^2 x 4.20 T/s = -5.24x10^-6 Wb/s
Substituting in the equation for E, we get:
E = -dΦ/dt = 5.24x10^-6 V/m
b) The electric field strength inside the solenoid at a point 1.60 cm from the axis can be calculated using Ampere's law, which states that the line integral of the magnetic field around a closed loop is equal to the current enclosed by the loop times the permeability of free space. For a solenoid, the magnetic field is uniform inside and zero outside. Therefore, we can use a circular loop of radius 1.60 cm centered on the axis of the solenoid. The current enclosed by the loop is given by:
I = nAL
where n is the number of turns per unit length of the solenoid, A is the area of the loop, and L is the length of the solenoid. We have:
n = N/L = 200/0.05 m = 4000 m^-1 (since there are 200 turns in the 5.0-cm-diameter solenoid)
A = πr^2 = π(1.60x10^-2 m)^2 = 8.04x10^-4 m^2
L = πdN = π(5.0x10^-2 m)x200 = 31.4 m
Therefore,
I = 4000 m^-1 x 8.04x10^-4 m^2 x 31.4 m = 10.0 A
Using the equation for Ampere's law, we get:
∮B•ds = μ0I
where the line integral is taken around the circular loop. Since the magnetic field is uniform inside the solenoid, we can simplify the line integral as:
B∮ds = B(2πr) = BA
Substituting in the given values, we get:
B(2πx1.60x10^-2 m) = 2.0 T x π(2.5x10^-2 m)^2
Solving for B, we get:
B = 6.37x10^-3 T
Finally, the electric field strength inside the solenoid at a point 1.60 cm from the axis is given by:
E = Bv
where v is the velocity of the charged particle experiencing the force due to the electric field. Since we are not given any information about the particle, we cannot calculate the electric field strength.
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which material appears continuous to the unaided eye rather than discrete?
When we say that something appears continuous to the unaided eye, it means that we can't see any distinct boundaries or breaks between different parts of that material. In other words, it looks like one smooth and uninterrupted surface. This is in contrast to a material that appears discrete, where we can clearly see separate components or units.
One example of a material that appears continuous to the unaided eye is water. When we look at a body of water like a lake or a river, we don't see any apparent separations between different molecules or particles. Instead, the water seems to flow seamlessly from one point to another. This is partly because water molecules are tiny and closely packed together, but also because of how light interacts with the surface of the water. Other materials that might appear continuous to the unaided eye include glass, certain types of plastic, and some metals. However, it's worth noting that this perception can vary depending on factors like lighting conditions, surface texture, and individual differences in visual perception. In some cases, what appears continuous to one person may appear more discrete or textured to another. In summary, a material that appears continuous to the unaided eye is one that lacks any apparent breaks or separations between different parts. Water is one example of such a material, but there are others depending on various factors.
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determine the tension developed in the cable when s = 15 m .
the tension developed in the cable when s = 15 m will depend on the specific system in a Without additional of the information the factors that determine tension in a cable. The tension in a cable is affected by the weight of the object being supported.
To determine the tension in a cable when s = 15 m, you would need to have more information about the the weight being supported, the angle of suspension, and any other forces acting on the system. You need to find the tension (T) in the cable Analyze the problem and determine any additional information needed. In order to calculate the tension, we will need more information about the cable and the forces acting on it, such as the mass of the object, the angle of the cable, and any external forces. Once you have the required information, you can proceed with solving for the tension in the cable.
Without additional information about the cable and forces acting on it, it is not possible to calculate the tension developed in the cable when s = 15 m. To determine the tension in the cable, additional information about the system and forces is needed. Once that information is available, you can use appropriate formulas and calculations to find the tension in the cable. The tension in a cable is dependent on factors such as the mass of the object, the angle of the cable, and any external forces acting on the system. Without this information, it is not possible to accurately calculate the tension developed in the cable when s = 15 m.
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what volume of hcl gas is produced by the reaction of 2.4 liters of h2 gas with 1.5 liters of cl2 gas?
The reaction of 2.4 L H2 gas with 1.5 L Cl2 gas produces 3 L HCl gas.
Given that 2.4 L of H2 gas is mixed with 1.5 L of Cl2 gas to form HCl gas. The balanced chemical reaction for the above process is: H2 (g) + Cl2 (g) → 2HCl (g). From the above balanced equation, 1 mole of H2 reacts with 1 mole of Cl2 to form 2 moles of HCl.
This means that, in the given question, 2.4 L of H2 and 1.5 L of Cl2 are present in stoichiometric amounts and all of them will be completely consumed during the reaction. Therefore, the volume of HCl gas produced will be 3 L (as per the above-balanced equation). Thus, 3 liters of HCl gas is produced by the reaction of 2.4 liters of H2 gas with 1.5 liters of Cl2 gas.
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reducing project duration can have other impacts besides just time. these include:
Reducing project duration is one way to ensure that projects are completed within a specified time. However, other impacts come with it, which must be taken into account. In addition to speeding up the project, here are a few impacts that come with it:
Project cost: One of the significant impacts of reducing project duration is cost. When the project duration is reduced, the resources required to complete the project on time are increased. In some cases, overtime may be required to meet deadlines, and this can increase the cost of the project. For example, paying workers extra to work longer hours to ensure that the project is completed on time.
Quality: When the project duration is reduced, it can also have an impact on the quality of work. A shorter project duration can lead to cutting corners, which can result in shoddy workmanship and low-quality work. For instance, if a construction project is reduced, contractors may be forced to use substandard materials or take shortcuts, resulting in poor work quality.
In conclusion, reducing project duration can have impacts beyond time. This can include the cost of the project and the quality of the work. It is therefore important to evaluate the costs and benefits of reducing project duration before making any decision.
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on the surface of the moon where acceleration due to gravity is less, a person's hang time would be
On the surface of the Moon, where the acceleration due to gravity is less, a person's hang time would be longer. Thus, option B is the answer.
The person's hang time on the Moon will be longer because the weaker gravitational force on the Moon results in a slower downward acceleration. With less gravitational pull, it takes longer for a person to descend back to the lunar surface, prolonging their time in the air.
Therefore, Option B, which states that the hang time would be longer on the Moon than on the Earth, is the correct answer.
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On the surface of the Moon where the acceleration due to gravity is less, a person's hang time would be
A. shorter
B. longer
C. the same as on Earth
A person's hang time would be longer (option B) on the surface of the moon where acceleration due to gravity is less.
A person's hang time would be longer on the surface of the moon since there is less acceleration caused by gravity.
Describe gravity :
The force that pulls items towards the centre of a planet or other entity is called gravity. All of the planets are kept in orbit around the sun by gravity.
Describe acceleration :
The pace at which an object's velocity varies is known as acceleration. If an object slows down, it has negative acceleration, while if it speeds up, it has positive acceleration.
What is the surface?
A surface is the outside layer or uppermost layer of an object or space. A surface refers to the exterior of an object and can be a physical or abstract concept. The acceleration caused by gravity on the surface of the moon is lower than the acceleration caused by gravity on the surface of the earth. The acceleration due to gravity on the surface of the moon is approximately 1.62 m/s2, whereas on the surface of the earth it is about 9.81 m/s2.
The amount of time a person hangs in the air after jumping or being hurled up is known as their hang time. A human would hang around longer on the surface of the moon than the earth since there is less acceleration caused by gravity there.
Complete question is :
on the surface of the moon where acceleration due to gravity is less, a person's hang time would be
A. shorter
B. longer
C. the same as on Earth
Therefore, the correct answer is option B i.e. on the surface of the moon where acceleration due to gravity is less, a person's hang time would be longer.
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