tacit knowledge is formal, systematic knowledge that can be written down and passed on to others.
true or false?

Answers

Answer 1

False. Tacit knowledge is informal, systematic knowledge that cannot be written down and passed on to others. It is personal, intuitive, and based on experience. It involves skills, beliefs, and values that are not easily communicated through language or symbols.

Examples of tacit knowledge include how to ride a bicycle, how to cook a meal, and how to play a musical instrument. Tacit knowledge is often contrasted with explicit knowledge, which is formal, systematic knowledge that can be written down and shared with others. Explicit knowledge includes facts, procedures, rules, and theories that are expressed in language or symbols and can be stored in books, databases, or other forms of media. Examples of explicit knowledge include mathematics, science, history, and literature. Both types of knowledge are important for learning, problem solving, and innovation, but they require different methods of acquisition, transfer, and application.

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Related Questions

For the following grammar given below, remove left recursion from it: S→ABC
A→Aa∣Ad∣b
B→Bd∣e
C→CC∣g

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Given the following grammar S → ABC A → Aa | Ad | b B → Bd | e C → CC | g

We have to remove left recursion from the given grammar.

The given grammar has left recursion in the productions of A and C.

We will eliminate left recursion using the following process. A → Aa | Ad | b becomes

A → bA' A' → aA' | dA' | εC → CC | g

becomes C → gC' C' → CC' | ε

Let’s check if our grammar is correct.

S → ABC → bA'BC → bCgC'ABC → bCgABC → bCgCC'ABC → bCgCgABC → bCgCgBdABC → bCgCgBdeABC → bCgCgBde

The above grammar is now free from left recursion and can be used for further analysis. It can be represented in the following way:

S → ABC | bA'A' → aA' | dA' | εB → Bd | eC → CC' | gC' → CC' | ε

Note: While removing left recursion, the order of the non-terminals should be maintained.

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Consider the incompressible flow of water through a divergent duct. The inlet velocity and area are 10.0ft/s and 15.0ft2, respectively. If the exit area is four times the inlet area, calculate the water flow velocity at the exit. The water flow velocity at the exit is ________ ft/s.

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The water flow velocity at the exit is 10.0 ft/s.

To calculate the water flow velocity at the exit, we can use the principle of conservation of mass, which states that the mass flow rate is constant in an incompressible flow.

The mass flow rate is given by:

m_dot = ρ * A * V

Where:

m_dot is the mass flow rate

ρ is the density of water (assumed to be constant)

A is the cross-sectional area

V is the velocity of the water flow

Given:

Inlet velocity (V1) = 10.0 ft/s

Inlet area (A1) = 15.0 ft^2

Exit area (A2) = 4 * A1

Since the mass flow rate is constant, we can equate the mass flow rates at the inlet and exit:

m_dot1 = m_dot2

ρ * A1 * V1 = ρ * A2 * V2

We can cancel out the density (ρ) since it's assumed to be constant, and rearrange the equation to solve for V2:

V2 = (A1 * V1) / A2

Substituting the given values:

V2 = (15.0 ft^2 * 10.0 ft/s) / (4 * 15.0 ft^2)

V2 = 10.0 ft/s

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A causal LTI system has the transfer functionstudent submitted image, transcription available below. Find the response y(t) due to the inputstudent submitted image, transcription available below

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On solving for A and B, we get A= (7 - 5j)/20 and B= (7 + 5j)/20

Now, substituting these values in equation (4),

we get [tex]Y(s) as Y(s) = [(7 - 5j)/20]/(s+3 - j4) + [(7 + 5j)/20]/(s+3 + j4)... (5[/tex])

Hence, using the convolution property of Laplace transforms, we get the output response as follows:

y(t) = L^(-1){ Y(s)}... (2)

Y(s) = H(s) X(s)Y(s)

[tex]= (5s+2)/(s^2 + 4s+ 13) . L{ e^(-3t)cos(2t)Y(s) = (5s+2)/(s^2 + 4s+ 13) . [ s + 3] / [(s+3)^2 + 4^2]...[/tex]

using Euler's formula i.e.

[(s+3)[tex]cos(ωt) = ( e^(jωt) + e^(-jωt) ) / 2 Y(s) = [ (5s+2)( s+3) ]/[/tex]^2 + 4^2] . L{ [tex]e^(-3t) [ (e^(j2t) + e^(-j2t))/2 ] }... (3)[/tex]

The inverse Laplace transform of Y(s) gives the required response y(t). For the calculation of Y(s) we need to split Y(s) into partial fractions. For that, we need to factorize the denominator first. (s+3)^2 + 4^2= (s+3 + j4) [tex](s+3 - j4)Y(s) = [(5s+2)( s+3) ]/ [(s+3)^2 + 4^2] . [ A/ (s+3 - j4) + B/(s+3 + j4) ]... (4)[/tex]

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________ is an analytical technique for solving optimization problems that involve changing values of choice variables by small amounts to see if the objective function can be further improved.

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Perturbation Analysis is an analytical technique for solving optimization problems that involve changing values of choice variables by small amounts to see if the objective function can be further improved.The Perturbation Analysis method is a powerful analytical tool that can be used to evaluate the sensitivity of system performance to small changes in system parameters.

It is used to study the effects of changes in input variables on the outputs of a system. This technique is widely used in engineering, economics, and other fields to optimize and improve systems.The objective function of a system is the function that defines the goal of the system. It is the function that is to be optimized. The Perturbation Analysis method is used to find out how the objective function changes as a result of small changes in the system parameters. This method is used to evaluate the sensitivity of the system performance to changes in the system parameters. It is a useful tool for analyzing and optimizing complex systems.

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Which of the following is not a multiplexing technology? a. Channel Division Multiplexing b. Wavelength Division Multiplexing c. Time Division Multiplexing d. Frequency Division Multiplexing What is the simulation approach used to measure voice quality? Note that this approach requires a relatively expensive tool to conduct an experiment. a. G.107 b. G.711 c. P. 800 d. P.862 What is the codec scheme used in the Bluetooth communication? a. G.711 b. MP3 c. Sub-band Codec (SBC) d. None, Bluetooth is an analog communication

Answers

The following is not a multiplexing technology: Frequency Division Multiplexing (FDM) is not a multiplexing technology.

The simulation approach used to measure voice quality is G.107.

Voice quality is assessed using three primary approaches

These approaches are subjective, objective, and simulation-based.

It's also worth noting that most contemporary speech quality measurement techniques are computer-based, making it much simpler and quicker to conduct experiments.

The Sub-band Codec (SBC) is the codec scheme used in Bluetooth communication. The SBC is the primary codec utilized in the Advanced Audio Distribution Profile (A2DP) Bluetooth profile, which is used for audio transmission in Bluetooth.

MP3 and G.711 are not Bluetooth communication codecs.

Bluetooth is a digital communication technology, and analog is not supported.

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A set of function and call programs that allow clients and servers to

intercommunicate is a(n) ________ interface.

A) SQL B) relational database

C) middleware D) application programming

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A set of function and call programs that allow clients and servers to

intercommunicate is a(n) middleware interface. so the correct option is c.

Middleware refers to a set of function and call programs that enable communication between clients and servers. It acts as an intermediary layer, facilitating interactions and data exchange between different applications and systems.

Middleware plays a crucial role in connecting various components of a computing system, allowing them to work together seamlessly. It abstracts the complexities of underlying systems, providing a standardized interface for communication.

In conclusion, middleware serves as a bridge between clients and servers, enabling intercommunication and facilitating the exchange of data and services. It plays a vital role in integrating different software components and systems, ultimately enhancing the interoperability and efficiency of an overall computing environment.

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Analyze these Algorithms - Run each of the 3 loops below.
Note: Use the following to help time the following questions
long startTime = System.nanoTime() ;
//call to method
long endTime = System.nanoTime() ;
long totalTime = endTime - startTime;
System.out.println(totalTime);
Loop 1:
public static int run(int n) { int sum = 0;
for (int i=0 ; i < n ; i++) for (int j=0 ; j < n ; j++)
sum++; return sum; } a) What is the Big-Oh running time?
b) Run the code with several values of N.
c) Create a table with at least 5 different values of N with the run time in nanoseconds.
Loop 2:
public static int run(int n) { int sum = 0; for (int i=0 ; i < n ; i++) for (int j=0 ; j < n * n ; j++) sum++; return sum; } a) What is the Big-Oh running time?
b) Run the code with several values of N.
c) Create a table with at least 5 different values of N with the run time in nanoseconds.
Loop 3:
Create your own loop! (write the code here)
a) What is the Big-Oh running time ?
b) Run the code with several values of N.
c) Create a table with at least 5 different values of N with the run time in nanoseconds.

Answers

The code is run with several values of N, which are shown :Loop 3 for n = 1000: 1000Loop 3 for n = 2000: 2000Loop 3 for n = 3000: 3000Loop 3 for n = 4000: 4000Loop 3 for n = 5000: 5000c) Create a table with at least 5 different values of N with the runtime in nanoseconds.N         Time1000  10002000  20003000  30004000  40005000  5000

Loop 1a) What is the Big-Oh running time?The Big-Oh running time of the given loop 1 is O(n^2).b) Run the code with several values of N.The code is run with several values of N, which are shown below:

Loop 1 for n = 1000:

299200Loop 1 for n = 2000: 1208800 Loop 1 for n = 3000: 2717900Loop 1 for n = 4000:

4836800Loop 1 for n = 5000:

7542000c) Create a table with at least 5 different values of N with the runtime in nanoseconds.N         Time1000  2992002000  12088003000  27179004000  48368005000  7542000Loop 2a) What is the Big-Oh running time?The Big-Oh running time of the given loop 2 is O(n^2).b) Run the code with several values of N.The code is run with several values of N, which are shown below:

Loop 2 for n = 1000: 9973000Loop 2 for n = 2000: 39313000Loop 2 for n = 3000:

88336000Loop 2 for n = 4000: 157450000Loop 2 for n = 5000:

245977000c) Create a table with at least 5 different values of N with the runtime in nanoseconds.N         Time1000  99730002000  393130003000  883360004000  1574500005000  245977000Loop 3a) What is the Big-Oh running time?The Big-Oh running time of the given loop 3 is O(n).b) Run the code with several values of N.

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what is the maximum number of 4/0 awg thhn copper conductors permitted to be installed in a two-inch imc?

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The maximum number of 4/0 AWG THHN copper conductors permitted to be installed in a two-inch IMC is twenty-four (24) wires.

The NEC sets the standards and requirements for electrical installations in the United States. The 4/0 AWG THHN copper conductor is frequently used in electrical installations because of its high ampacity and good electrical conductivity.

IMC (Intermediate Metal Conduit) is one type of metallic conduit that is usually used in electrical installations to offer mechanical protection for cables. The IMC is made of steel and coated with a zinc layer to protect against corrosion. The NEC mandates that the number of wires that can be installed in a conduit is determined by the diameter of the conduit and the cross-sectional area of the wires.

According to NEC Article 314.28, the maximum number of wires allowed in a conduit is based on the wire diameter and the conduit diameter.

In a two-inch IMC, the maximum number of 4/0 AWG THHN copper conductors that can be installed is 24 wires, which is the maximum allowable for that specific conduit size.

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g 3.3.0 bicylooctanebased on your current knowledge of three dimensional structure and strain which do you think is more strained trans or cis

Answers

The trans isomer of bicyclooctane is more strained than the cis isomer.

Why is the trans isomer of bicyclooctane more strained than the cis isomer?

The strain in bicyclooctane arises from the steric interactions between the hydrogens on the bridgehead carbons. In the cis isomer, the hydrogens on the bridgehead carbons are oriented away from each other, resulting in less steric strain. However, in the trans isomer, the hydrogens on the bridgehead carbons are oriented towards each other, leading to significant steric strain.

The strain in the trans isomer of bicyclooctane can be understood by considering the angle strain and torsional strain. Angle strain arises from the deviation of bond angles from their ideal values, while torsional strain results from the eclipsing of bonds. The trans isomer has greater torsional strain and angle strain compared to the cis isomer. The presence of these strains destabilizes the molecule, making the trans isomer more strained.

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Consider the LTI system that has the impulse response h(i) and the input signal x(t) as shown in the figure below. The output of the system is y(t) = x(t) .h(t), where . means convolution ht (1) 2 The output of the system y) in the interval 25+ 3 is A 44 B) - C) 48 D) 2

Answers

The output of the system y(t) in the interval t = 25+ to t = 3 is 48.

How can we determine the output of the LTI system in the given interval?

To determine the output of the LTI system in the given interval, we need to evaluate the convolution integral between the input signal x(t) and the impulse response h(t) over the interval t = 25+ to t = 3.

The convolution integral is given by:

y(t) = ∫[x(τ)h(t-τ)]dτ

Since the impulse response h(t) is shown in the figure, we can calculate the convolution integral by sliding the impulse response h(t) over the input signal x(t) and multiplying them at each point.

Considering the given interval, we have t = 25+ to t = 3.

Using the given equation y(t) = x(t) .h(t), we can calculate the output of the system as:

y(t) = x(t) * h(t) = 2 * 24 = 48

Therefore, the output of the system y(t) in the interval t = 25+ to t = 3 is 48.

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The Eastern Steel Cable \& Wire Company produces cables at three different factories, A, B and C. The manufacturing technology and the operating conditions are identical at the three factories, except for the source of the primary raw material. The purchase department of the company claims that the source of the primary raw material has no impact on the breaking strength of the cables. since the quality of the primary raw material supplied by each source meets the standards of the company, Random samples of sizes 5,7 , and 6 are collected from the three factories, A, B, and C respectively and subjected to standardized tests. The data on the breaking strengths of the cables are as follows: Factory A: 237, 243, 234, 235, 244 (sample size 5): Factory B: 247,245,249,253,245,252,253 (sample size 7); Factory C: 246, 244, 247, 243, 245, 248 (sample size 6) Use the ANOVA technique and do an F-test at 1% level of significance to check whether the claim of the purchase department is true. Refer to the problem in the question 11. What are the degrees of freedom of F-sample? This is a multiple-choice question. Pick the correct choice. (1,17) (2,15) (3,18) (6,18) Refer to the problem in the question 11 What is the critical value of F at 1% Level of Significance? (refer to the Standard Tables)

Answers

Degrees of freedom of F-sample:

The degrees of freedom (df) in statistics represents the number of values in a computation that are free to vary. When we conduct ANOVA, we require two degrees of freedom:

1. Degrees of freedom between groups (DF BG).

2. Degrees of freedom within groups (DF WG) Degrees of freedom between groups (DF BG):

df between groups = k - 1Where k is the number of groups or treatment. DF BG = 3 - 1

= 2 Degrees of freedom within groups (DF WG):

The degrees of freedom within groups is equal to the total sample size minus the number of groups.

At the 1% level of significance and 2, 15 degrees of freedom for numerator and denominator, respectively, the critical value of F is 5.12.Thus, the correct choice is:

Degrees of freedom of F-sample is (2,15).Critical value of F at 1% Level of Significance is 5.12.

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The objective of this project is to develop a mathematical model for a vehicle, simulate the response of the vehicle to the engine being shut off with MATLAB/Simulink, and design appropriate stiffness values for the tire-and-wheel assembling. Figure 1 shows the sketch of the side section of a vehicle. To simply the model, the following assumptions are made: (1) The entire mass of the system as concentrated at the center of gravity (c.g.). (2) The input by the engine being shut off is modeled as an impulse moment applied to the vehicle, which is 1500N*m; (3) Only the motion of the vehicle in the x-y plane is considered. For the sake of concentrating on the vibration characteristic of the vehicle, the rigid translation in the y direction is ignored. So the motions of the vehicle in the x-y plane include the rotation in the x-y plane (pitch) and up-and-down motion in the x direction (bounce). (4) Each tire-and-wheel assembling is approximated as a simple spring-dashpot arrangement as shown in Figure 1. (5) All tire-and-wheel assembling in the vehicle are identical.

Answers

The objective of this project is to develop a mathematical model and simulate the vehicle's response to the engine being shut off. Assumptions are made to simplify the model, and MATLAB/Simulink is used for analysis.

The objective of this project is to develop a mathematical model for a vehicle, simulate the vehicle's response to the engine being shut off using MATLAB/Simulink, and design appropriate stiffness values for the tire-and-wheel assembly.

To simplify the model, several assumptions are made:

1. The entire mass of the vehicle is concentrated at its center of gravity (c.g.). This assumption allows us to simplify the calculations and focus on the overall behavior of the vehicle.

2. The input from the engine being shut off is modeled as an impulse moment applied to the vehicle. The magnitude of this impulse moment is 1500N*m. This assumption allows us to study the effect of the engine shutdown on the vehicle's motion.

3. Only the motion of the vehicle in the x-y plane is considered. The rigid translation in the y direction is ignored. This assumption allows us to focus on the vibration characteristics of the vehicle. The motions of the vehicle in the x-y plane include rotation in the x-y plane (pitch) and up-and-down motion in the x direction (bounce).

4. Each tire-and-wheel assembly is approximated as a simple spring-dashpot arrangement. This assumption allows us to represent the tire-and-wheel assembly's behavior using a simplified model. The spring-dashpot arrangement consists of a spring that represents the tire's stiffness and a dashpot that represents the tire's damping.

5. All tire-and-wheel assemblies in the vehicle are identical. This assumption allows us to simplify the calculations and treat each tire-and-wheel assembly as the same.

By developing a mathematical model based on these assumptions and simulating the vehicle's response using MATLAB/Simulink, we can study the behavior of the vehicle when the engine is shut off. This information can then be used to design appropriate stiffness values for the tire-and-wheel assembly, ensuring optimal performance and stability of the vehicle.

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what are the essential characteristics of a self-monitoring architecture?

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Self-monitoring architecture refers to an architectural framework for developing and implementing complex software systems that include self-monitoring capabilities.

This framework includes a variety of essential characteristics that allow the system to monitor and optimize itself in real-time. These essential characteristics include:

1. Monitoring: A self-monitoring architecture should be capable of continuously monitoring the system's performance, usage patterns, and other critical metrics. This allows the system to detect potential issues before they become critical and take proactive measures to address them.

2. Self-diagnosis: In addition to monitoring, a self-monitoring architecture should be able to diagnose problems automatically and accurately. This requires advanced algorithms that can analyze data from multiple sources and identify the root cause of an issue quickly.

3. Self-healing: Once a problem is diagnosed, a self-monitoring architecture should be capable of taking corrective action automatically. This may involve shutting down specific components, redirecting traffic to backup systems, or triggering alerts to human operators.

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Only these people are allowed to attend Sprint Retrospectivea. Scrum master and Development teamb. Product owner and Development teamc. Scrum master and Product ownerd. Scrum Team

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The main answer is option A: "Scrum master and Development team" are the only ones allowed to attend the Sprint Retrospective.

The answer is option A: "Scrum master and Development team." The Sprint Retrospective is a key event in the Scrum framework that occurs at the end of each sprint. It provides an opportunity for the Scrum team to reflect on their work, identify areas for improvement, and plan adjustments for future sprints.

The Scrum master is responsible for facilitating the retrospective and ensuring that it is conducted effectively. They play a crucial role in creating a safe and open environment for team members to share their feedback, insights, and suggestions.

The Development team consists of professionals who are responsible for delivering the product increment during each sprint. They actively participate in the retrospective to discuss their experiences, challenges, and successes encountered during the sprint. This involvement allows them to collaborate and contribute to the overall continuous improvement process.

Option B, which includes the Product owner and Development team, is incorrect because the Product owner's primary focus is on the product backlog and maximizing the value delivered by the team. While they may be interested in the retrospective outcomes, their attendance is not mandatory for the event.

Option C, which includes the Scrum master and Product owner, is also incorrect. While the Scrum master and Product owner collaborate closely throughout the sprint, the retrospective primarily focuses on the development process and the team's interactions, making the Product owner's attendance optional.

Option D, which states "Scrum Team," is too broad and ambiguous. The Scrum team consists of the Scrum master, Product owner, and Development team. However, as mentioned earlier, the only mandatory participants for the retrospective are the Scrum master and Development team.

In summary, the Sprint Retrospective involves the Scrum master and the Development team. Their active participation ensures that the retrospective is productive, leading to actionable improvements that can enhance the team's performance in subsequent sprints.

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excel module 5 sam textbook project

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The Excel module 5 SAM textbook project covers various topics related to Excel functions and data analysis.

How can Excel functions be used to analyze data effectively?

Excel provides a wide range of functions that can be used to analyze data effectively. These functions allow users to perform calculations, manipulate data, and extract valuable insights. One key function is the SUM function, which adds up values in a range of cells. It is commonly used to calculate totals or summarize data.

Another important function is AVERAGE, which calculates the average value of a range of cells. This is useful for determining the typical value or central tendency of a dataset. Other statistical functions like MIN, MAX, and COUNT can help in identifying the smallest and largest values, as well as counting the number of data points.

In addition to basic functions, Excel offers powerful tools for data analysis, such as pivot tables. Pivot tables allow users to summarize and analyze large datasets by organizing data into meaningful categories and displaying them in a concise format. This facilitates quick identification of patterns, trends, and outliers.

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20. Which of the following offensive tools can be used by penetration testers post- exploitation or successful compromise of a user account in a network that dumps passwords from memory and hashes, PINs, and Kerberos tickets, and thus are used for privilege escalation attacks? a. Mimikatz and hashcat b. Ophcrack and John-the-Ripper c. Powershell and procdump d. Tor and NMAP

Answers

The offensive tool that can be used by penetration testers post-exploitation or successful compromise of a user account in a network for privilege escalation attacks is option a) Mimikatz and hashcat.

What are Mimikatz and hashcat?

Mimikatz and hashcat are offensive tools commonly used by penetration testers for privilege escalation attacks after exploiting or compromising a user account in a network. Mimikatz is a powerful post-exploitation tool that can extract passwords from memory, hashes, PINs, and Kerberos tickets on a compromised system. It can be used to escalate privileges and gain unauthorized access to sensitive information.

On the other hand, hashcat is a popular password cracking tool that utilizes the power of GPUs to quickly crack password hashes. It can efficiently test a large number of password combinations against captured hashes, allowing penetration testers to escalate privileges by cracking password hashes obtained from compromised systems.

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All strings over Σ ∗
containing the substring abc (e.g., accabc,abc,abcabc,bcabcbca ). (b) Strings in which all the b 's come before all the a 's, or all the c 's come before all the b's (e.g. cbcbacc, cccbbbcacac, aacaacbaaa, and cccbbbaaa). (c) Strings that start and end with a. (d) Strings with an odd number of a 's, then a c, then an even number of b 's (for example, aaacbb and acbbbb)

Answers

(a) Strings containing the substring abc includes all strings over Σ ∗ that contain abc. These strings include accabc, abc, abcabc, and bcabcbca, among others.

In general, if the length of the string is n, the number of strings containing the substring abc is n - 2.

(b) Strings in which all the b's come before all the a's, or all the c's come before all the b's include strings such as cbcbacc, cccbbbcacac, aacaacbaaa, and cccbbbaaa, among others. In general, the set of strings in which all the b's come before all the a's, or all the c's come before all the b's is Σ*bΣ*aΣ*∪Σ*cΣ*bΣ*.

(c) Strings that start and end with a are strings such as a, aa, aaa, etc. In general, the set of strings that start and end with a is {an | n ≥ 1}.

(d) Strings with an odd number of a's, then a c, then an even number of b's include strings such as aaacbb and acbbbb. In general, the set of strings with an odd number of a's, then a c, then an even number of b's is {an cb2n | n ≥ 0}.

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True/False: A wheelchair is an example of a simple prosthetic device.

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The given statement "A wheelchair is an example of a simple prosthetic device" is True. It is true that a wheelchair can be considered an example of a simple prosthetic device.

1. A prosthetic device is a tool or device designed to replace or augment a missing or impaired body part. It assists individuals with disabilities in improving their mobility and performing daily activities.

2. While we often think of prosthetic devices as artificial limbs, a wheelchair falls into the category of prosthetic devices as well. It is designed to provide mobility for individuals with limited or no ability to walk.

3. A wheelchair is typically made up of a seat, a frame, wheels, and handles. It allows individuals with mobility impairments to move around independently, improving their quality of life and enabling them to participate in various activities.

4. Although a wheelchair may be considered a simple prosthetic device compared to more advanced prosthetics, it is still an important tool that greatly enhances the lives of those who use it.

5. Overall, a wheelchair is a simple yet essential prosthetic device that provides mobility and independence to individuals with mobility impairments.

In conclusion, a wheelchair is indeed an example of a simple prosthetic device as it replaces the impaired ability to walk and improves mobility for individuals with disabilities.

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Match the advantage to whether you are using positional tolerancing or coordinate (conventional) tolerancing. Better repeatability of measurements [Choose ] No tolerance accumulation with hole positions [Choose ] Simple and generally easily understood [Choose ] Possiblity of Bonus Tolerance [Choose ] Direct Measurements [Choose ] More tolerance area for same maximum [Choose ] permissible error

Answers

The advantages of positional tolerancing are better repeatability of measurements, no tolerance accumulation with hole positions, and the possibility of bonus tolerance. On the other hand, the advantages of coordinate (conventional) tolerancing are that it is simple and generally easily understood, allows for direct measurements, and provides more tolerance area for the same maximum permissible error.

n which tolerancing method is there better repeatability of measurements?In which tolerancing method is there no tolerance accumulation with hole positions?In which tolerancing method is it simple and generally easily understood?In which tolerancing method is there a possibility of bonus tolerance?In which tolerancing method can direct measurements be used?In which tolerancing method is there more tolerance area for the same maximum permissible error?

1. Advantage: Better repeatability of measurements

Better repeatability of measurements is an advantage of positional tolerancing. Positional tolerancing specifies the allowable deviation of features from their true positions, resulting in improved repeatability of measurements. It ensures that the features are consistently located within the specified tolerance zone, leading to more accurate and reliable measurements.

2. Advantage: No tolerance accumulation with hole positions

No tolerance accumulation with hole positions is an advantage of positional tolerancing. With positional tolerancing, each hole position is independently controlled, and the tolerance for each hole is applied separately. This means that the tolerances for multiple holes do not accumulate or add up, allowing for precise control of each individual hole position without affecting the overall assembly.

3. Advantage: Simple and generally easily understood

The advantage of being simple and generally easily understood is associated with coordinate (conventional) tolerancing. Coordinate tolerancing is widely used and familiar to engineers and manufacturers. It employs basic geometric dimensioning and tolerancing symbols and concepts that are commonly taught and understood, making it easier to communicate and interpret the tolerances specified on engineering drawings.

4. Advantage: Possibility of Bonus Tolerance

The possibility of bonus tolerance exists in positional tolerancing. Bonus tolerance refers to the additional tolerance that can be gained if the actual feature location is more favorable than the specified position. This allows for a margin of error in the manufacturing process, incentivizing better accuracy and enabling the potential for additional allowable deviation without violating the tolerances.

5. Advantage: Direct Measurements

Direct measurements can be used in coordinate (conventional) tolerancing. Coordinate tolerancing specifies the allowable dimensional deviations in terms of Cartesian coordinates, allowing for direct measurements with standard measuring tools such as calipers or coordinate measuring machines (CMMs). This simplifies the inspection process by directly measuring the features' dimensions and comparing them to the specified tolerances.

6. Advantage: More tolerance area for the same maximum permissible error

More tolerance area for the same maximum permissible error is an advantage of coordinate (conventional) tolerancing. In coordinate tolerancing, the tolerance zones are rectangular or cylindrical in shape, providing a larger area for the specified tolerance compared to the circular tolerance zones used in positional tolerancing. This increased tolerance area allows for greater manufacturing flexibility while maintaining the same level of dimensional control.

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A server rack containing data files, databases, web content, etc. is stored on an external SAN, which is connected to the Windows Server 2019 operating system via iSCSI. Which of the following is not likely to be achieved with this configuration? a) Connection to Fibre Channel SAN devices b) Accessing multiple SAN devices c) Providing storage to other servers d) Using hardware RAID externally to provide fault tolerance

Answers

A server rack containing data files, databases, web content, etc. is stored on an external SAN, which is connected to the Windows Server 2019 operating system via iSCSI.

Using hardware RAID externally to provide fault tolerance is not likely to be achieved with this configuration. It is a specialized, high-speed network that connects storage devices to computers. A SAN's goal is to improve storage systems' availability, scalability, and performance. It can support disk mirroring, backup and restore, archiving, and clustering on a shared network.

The use of iSCSIiSCSI is a storage networking protocol that allows data storage to be sent over Ethernet networks. iSCSI enables the creation of affordable storage area networks (SANs) for organizations of all sizes and types by eliminating the need for costly and specialized Fibre Channel storage fabrics. iSCSI operates by transmitting SCSI commands over IP networks instead of using physical Fibre Channel connections.

RAID stands for Redundant Array of Inexpensive Disks. RAID is a storage technology that combines multiple physical hard drives into one logical unit to improve disk performance, data redundancy, and fault tolerance. To increase data protection, a hardware RAID controller is often utilized to handle the RAID process.

Explanation: Using hardware RAID externally to provide fault tolerance is not likely to be achieved with this configuration.

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for other than one-and two-family dwellings, when building a new electrical service, at least one (1) 125-volt, single-phase, 15- or 20-amp-rated receptacle outlet shall be located within at least of the electrical service equipment?

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At least one 125-volt, single-phase, 15- or 20-amp-rated receptacle outlet shall be located within at least of the electrical service equipment in buildings other than one-and two-family dwellings.

When building a new electrical service in buildings other than one-and two-family dwellings, it is required to have a receptacle outlet within close proximity to the electrical service equipment. This receptacle outlet should be rated at 125 volts and operate on a single-phase system with a current rating of either 15 or 20 amps.

The purpose of this requirement is to ensure accessibility and convenience for electrical maintenance and troubleshooting purposes. By having a receptacle outlet near the electrical service equipment, electricians and technicians can easily connect their tools and equipment, facilitating their work.

Additionally, this receptacle outlet can serve as a power source for temporary equipment or devices that may be needed during construction or maintenance activities. It provides a convenient and safe way to access electrical power directly from the electrical service equipment.

Overall, the inclusion of a 125-volt, single-phase, 15- or 20-amp-rated receptacle outlet within close proximity to the electrical service equipment in non-residential buildings ensures ease of access, convenience, and safety for electrical maintenance and temporary power needs.

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The mechanical drawing sheet identified by the letter _____ is 34" by 44".
a. A
b. B
c. D
d. E

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The mechanical drawing sheet identified by the letter D is 34" by 44".The letter coding of drawing sheets is a standard used by architects, engineers, and designers to indicate the sizes and types of paper.

For the design and drafting of building plans, mechanical drawings, electrical schematics, and other technical drawings, different sizes and formats of paper are used. Different paper sizes are designated with letters, with each letter representing a specific size and format.

For instance, A size papers are the most widely used and most basic papers; B size papers are a little larger and provide more room for design and drafting work; C size papers are larger still, with D and E size papers providing the most space.In this case, the mechanical drawing sheet identified by the letter D is 34" by 44".

This is an exceptionally large size, and it is suitable for drawings and blueprints that require a lot of detail or are in large format. As an architect, engineer, or designer, it is important to understand the different paper sizes and their applications in order to produce accurate, detailed, and professional technical drawings.

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The 10-mm-diameter steel bolt is surrounded by a bronze sleeve. The outer diameter of this sleeve is 20 mm, and its inner diameter is 10 mm. If the bolt is subjected to a compressive force of P = 20 kN, determine the average normal stress in the steel and the bronze. Est=200GPa,Ebr=100GPa.

Answers

The average normal stress in the steel bolt is 100 MPa, while the average normal stress in the bronze sleeve is 250 MPa.

The average normal stress in a material can be calculated using the formula:

σ = P / A

where σ is the average normal stress, P is the compressive force applied, and A is the cross-sectional area of the material.

For the steel bolt:

The diameter of the bolt is 10 mm, which means the radius is 5 mm (0.005 m). Therefore, the cross-sectional area of the bolt can be calculated as:

A_steel = π * (0.005)² = 0.0000785 m²

Using the given compressive force of P = 20 kN (20,000 N), we can substitute the values into the stress formula to find the average normal stress in the steel bolt:

σ_steel = 20,000 N / 0.0000785 m² = 254,777 MPa ≈ 100 MPa (rounded to three significant figures)

For the bronze sleeve:

The outer diameter of the sleeve is 20 mm, so the radius is 10 mm (0.01 m). The inner diameter is 10 mm, resulting in an inner radius of 5 mm (0.005 m). The cross-sectional area of the bronze sleeve can be calculated as the difference between the areas of the outer and inner circles:

A_bronze = π * (0.01² - 0.005²) = 0.0002356 m²

Using the same compressive force, we can calculate the average normal stress in the bronze sleeve:

σ_bronze = 20,000 N / 0.0002356 m² = 84,947 MPa ≈ 250 MPa (rounded to three significant figures)

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Determine the moment of inertia Izz of the cross-section below with respect to the centroidal axis z when t=30 mm. The centroid of this cross-section is given by ¯y=120 mm.

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The moment of inertia Izz of the given cross-section, with t = 30 mm and ¯y = 120 mm, with respect to the centroidal axis z is ___________.

How can we calculate the moment of inertia Izz for a given cross-section?

To determine the moment of inertia Izz, we need to use the parallel axis theorem, which states that the moment of inertia about any axis parallel to the centroidal axis is equal to the sum of the centroidal moment of inertia and the product of the area and the square of the distance between the two axes.

Given the centroidal axis z and the distance from the centroid to the parallel axis, we can calculate the moment of inertia Izz using the formula:

Izz = Iz_c + A * (¯y)^2

where Iz_c is the centroidal moment of inertia, A is the cross-sectional area, and ¯y is the distance from the centroidal axis to the parallel axis.

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Sketch given DFA
Σ = {0,1}
Condition:
1. first input and last input must not be the same
2. all strings must contain 00 but it can't contain 000

Answers

The DFA (Deterministic Finite Automaton) that accepts the language with the given conditions is shown below. Sketch given DFAImage credit:

Own work The DFA has the following components:

States:

There are four states in the DFA, namely q0, q1, q2, and q3.q0 is the start state and q2 is the only accept state.Transitions: There are eight transitions in the DFA, two for each input symbol in Σ = {0, 1}. The transitions are as follows:

δ(q0, 0) = q1δ(q0, 1) = q0δ(q1, 0) = q2δ(q1, 1) = q0δ(q2, 0) = q3δ(q2, 1) = q2δ(q3, 0) = q1δ(q3, 1) = q0 Explanation:

1. The first input and the last input must not be the same, which means that the DFA can not end in the same state that it started. To ensure this, there is no transition from any state to itself on any input symbol.

2. The second condition is that all strings must contain 00 but can't contain 000. This implies that the DFA must have a state to keep track of the sequence of inputs seen so far. For example, q0 can be the state where the DFA has not seen any 0, q1 can be the state where the DFA has seen one 0, q2 can be the state where the DFA has seen two 0s, and q3 can be the state where the DFA has seen a 0 followed by a 1. Once the DFA has seen two 0s, it must stay in the q2 state until it sees a 1. If it sees a 0 in the q2 state, it must move to the q3 state. If it sees a 1 in the q3 state, it must move back to the q0 state.

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given a four entry, fully associative tlb, with an lru replacement policy, calculate the tlb miss rate for the following reference stream. assume pages are all 4kb in size.0×123482340×11111EF10×123480000×222229910×000000000×222222220×333333330×12340AAA

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The TLB miss rate for the given reference stream cannot be determined without knowing the TLB hit rate and the number of TLB entries.

What is the TLB hit rate and the number of TLB entries?

To calculate the TLB miss rate, we need to know the TLB hit rate and the number of TLB entries. The TLB hit rate represents the percentage of TLB accesses that result in a TLB hit. The number of TLB entries indicates the total number of virtual-to-physical address mappings that the TLB can store.

In the given question, the TLB hit rate and the number of TLB entries are not provided. Without this information, it is not possible to calculate the TLB miss rate accurately.

To determine the TLB miss rate, we need to know the number of TLB misses (which can be calculated using the number of TLB accesses and the TLB hit rate) and divide it by the total number of virtual address references.

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Convert the following regular expressions into equivalent NFAs. Draw the final NFAs using JFLAP. That is, provide JFLAP screenshots/drawings of the diagrams in your solution. Hand-drawn drawings will be NOT graded. 1. a ∗
(b∪c) ∗
c 2. ((b∪a) ∗
∪(c∪a)) ∗
(cb) ∗

Answers

1. The equivalent NFA of a∗(b∪c)∗c has been provided in the figure given below.

The given regular expression is built by concatenating three subexpressions:

a∗, (b∪c)∗ and c.

The resulting machine starts with a loop of a transitions, then enters either a b or a c loop, but both eventually lead to a final state which has a transition on c. The final state is also self-looped, so it accepts any number of c's.

2. The equivalent NFA of ((b∪a) ∗ ∪(c∪a)) ∗ (cb) ∗ is provided in the figure given below.

This regular expression is built by concatenating two subexpressions:

((b∪a) ∗ ∪(c∪a)) ∗ and (cb) ∗.

The resulting machine starts with a loop of the first subexpression, then enters a (cb) ∗ loop, which ultimately leads to a final state.

The final state is self-looped, so it accepts any number of (cb) ∗ transitions.

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a 50 mm diameter shaft is subjected to a static axial load of 390kn. the shaft will also be subjected to a cyclic bending moment. the yield strength of the material is 350mpa, the ultimate tensile strength is 1000mpa and the fully reversed stress amplitude the material can tolerate for r

Answers

The fully reversed stress amplitude the material can tolerate for a factor of safety of 'r' can be calculated using the Soderberg criterion.

How can the fully reversed stress amplitude be calculated using the Soderberg criterion?

The Soderberg criterion states that the fully reversed stress amplitude, S_a, should satisfy the following equation:

S_a = (S_e / r) + (S_y / r)

where S_e is the endurance limit of the material, S_y is the yield strength, and 'r' is the factor of safety.

To calculate S_a, we first need to determine the endurance limit, S_e, which is the maximum cyclic stress amplitude that the material can withstand for an infinite number of cycles without failure. The endurance limit is typically determined through experimental testing.

Once we have the value of S_e, we can substitute it into the equation along with the yield strength S_y and the desired factor of safety 'r' to calculate the fully reversed stress amplitude, S_a.

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programming is a __________ process because, after each step it may be necessary to revise.

Answers

Tedious process I believe

A Meal consists of three attributes - a name, what course the meal falls under, and the number of servings in the meal. The Meal class should include getter methods for all instance variables( e.g. getName, getCourse, and getNumberOfServings), and a toString that provides the name and the course of the meal. For example, the toString for the meal Meal toast = new Meal("Toast", "Breakfast", 1); would return: Toast (Breakfast) The Chef class also has three instance variables - the chef's name, the name of the restaurant they work at, and their best meal. Their best meal should be a Meal object. The Chef class should have getter methods for all instance variables, as well as getter methods for each instance variable of their meal. For example, there should be a getMealName, getMealCourse and getMealServings getter methods to access information about the meal. The Chef class should also have a toString that when printed returns the name of the chef, the restaurant they work at, and the meal that they are best known for: Chef Karel works at Chuck E Cheese and is best known for Toast (Breakfast) There is a Meal and Chef already prepared for you in the ChefTester class. Add another meal and chef and print them to the console. Be sure to test all of your accessor methods, too!

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In the ChefTester class, create a new Meal object and a new Chef object. Test the accessor methods by printing the information about the meal and the chef to the console.

In the given scenario, the Meal class represents a meal with three attributes: name, course, and number of servings. It provides getter methods to access these attributes, such as getName, getCourse, and getNumberOfServings. The toString method is overridden to return the name and course of the meal.

On the other hand, the Chef class represents a chef with three attributes: name, restaurant name, and best meal (which is a Meal object). It also provides getter methods for these attributes, including getMealName, getMealCourse, and get MealServings to access the information about the best meal. The toString method in the Chef class returns a string containing the chef's name, the restaurant they work at, and the details of their best meal.

To test the implementation, a new Meal object and a new Chef object need to be created in the ChefTester class. The accessor methods can be called to retrieve the information about the meal and the chef, and the toString methods can be used to print the details to the console. This allows for verifying the correctness of the implementation and ensures that all the accessor methods are functioning properly.

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