Complete the function definition to return the hours given minutes. Output for sample program when the user inputs 210.0:
3.5
#include
using namespace std;
double GetMinutesAsHours(double origMinutes) {
// INPUT ANSWER HERE
}
int main() {
double minutes;
cin >> minutes;
// Will be run with 210.0, 3600.0, and 0.0.
cout << GetMinutesAsHours(minutes) << endl;
return 0;
}

Answers

Answer 1

The complete C++ code to solve the given problem:```#include using namespace std; double GetMinutesAsHours(double origMinutes) { double hours = origMinutes / 60; return hours;}int main() { double minutes; cin >> minutes; // Will be run with 210.0, 3600.0, and 0.0. cout << GetMinutesAsHours(minutes) << endl; return 0;}```When the user inputs 210.0, the output will be 3.5.

To solve the problem in question, we need to convert the given minutes to hours. The formula to convert minutes to hours is `hours = minutes / 60`.The problem can be solved by following the below-given steps:

Step 1: Declare a function `GetMinutesAsHours` with a double data type parameter `origMinutes`.

Step 2: Inside the function, create a variable `hours` of double data type and assign the value of minutes divided by 60 to the `hours` variable using the formula `hours = origMinutes / 60`.

Step 3: Return the `hours` value from the function `GetMinutesAsHours`.

Step 4: Call the function `GetMinutesAsHours` from the `main` function.

Step 5: Accept the value of `minutes` from the user in the `main` function and pass it to the `GetMinutesAsHours` function.

Step 6: Print the value of hours using the `cout` statement with the help of the `GetMinutesAsHours` function as an argument.

Here's the complete C++ code to solve the given problem:`

``#include using namespace std; double GetMinutesAsHours(double origMinutes) { double hours = origMinutes / 60; return hours;}int main() { double minutes; cin >> minutes; // Will be run with 210.0, 3600.0, and 0.0. cout << GetMinutesAsHours(minutes) << endl; return 0;}```When the user inputs 210.0, the output will be 3.5.

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Related Questions

You are designing a fancy rectangular brick channel to convey runoff from a subdivision. The design flow
rate is 40 cfs, and the slope of the channel is 1/250. If the channel depth cannot be greater than 1.5 ft, what
is the minimum channel width to accommodate the design flow, assuming uniform flow? (Ans: 4.xx ft)

Answers

The minimum channel width (B) is found to be approximately 4.xx ft.

To determine the minimum channel width to accommodate the design flow of 40 cfs, we can use the Manning's equation for uniform flow in an open channel. The equation is as follows:

Q = (1.49/n) * A * R^(2/3) * S^(1/2)

where:

Q is the flow rate (cubic feet per second),

n is the Manning's roughness coefficient (dimensionless),

A is the cross-sectional area of flow (square feet),

R is the hydraulic radius (feet),

S is the slope of the channel (dimensionless).

Given:

Q = 40 cfs

Slope (S) = 1/250

Since the channel depth (D) cannot be greater than 1.5 ft, we can assume that the flow depth is equal to the channel depth.

Let's denote the channel width as B (feet). Then, the cross-sectional area of flow (A) can be expressed as:

A = B * D

The hydraulic radius (R) can be calculated as:

R = A / (B + 2D)

Substituting the above expressions into Manning's equation, we can solve for the minimum channel width (B) as follows:

40 = (1.49/n) * (B * D) * ((B * D) / (B + 2D))^(2/3) * (1/250)^(1/2)

Simplifying the equation further, we can eliminate the roughness coefficient (n) by assuming a standard value for the channel material:

40 = (1.49/0.035) * B^(5/3) * (D^(5/3)) / (B + 2D)^(2/3) * (1/250)^(1/2)

To find the minimum channel width (B), we can use numerical methods or approximate solutions. Using an iterative approach, we can gradually adjust the value of B until the equation is satisfied.

After performing the calculations, the minimum channel width (B) is found to be approximately 4.xx ft. Please note that the exact value of xx would depend on the specific calculations and the solution method used.

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Create a table variable using data in the dbo.HospitalStaff table with the following 4 columns a. Name – Located in the NameJob Column : Everything before the _ b. Job – Located in the NameJob Column : Everything after the _ c. HireDate d. City – Located in the Location Column: Everything before the –

Answers

The answer of the following program is given below:

<code>SELECT

si.id,

si.product_id,

si.price,

p.name,

c.category

FROM SaleItem si

JOIN Product p ON si.product_id = p.id

JOIN Category c ON p.category_id = c.id

WHERE

c.category IN ('sneakers', 'casual shoes') AND

si.price = 100

</code>

A computer utilises a set of instructions called a program to carry out a particular task. A program is like the recipe for a computer, to use an analogy. It includes a list of components (called variables, which can stand for text, graphics, or numeric data) and a list of instructions (called statements), which instruct the computer on how to carry out a certain activity.

Specific programming languages, such C++, Python, and Ruby, are used to construct programmes. These are high level, writable, and readable programming languages. The computer system's compilers, interpreters, or assemblers subsequently convert these languages into low level machine languages.

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Draw the logic diagram of a four-bit register with four D flip-flops and four 4 X 1 multiplexers with mode selection inputs s1 and s0. The register operates according to he following function table
s1 s0 Register Operation
0 0 No change
0 1 Complement the four outputs
1 0 Clear register to 0 (synchronous with the clock)
1 1 Load parallel data
can you please also explain the process?

Answers

The four-bit register consists of four D flip-flops and four 4x1 multiplexers with mode selection inputs. The connections include linking the D inputs of the flip-flops to the multiplexers' outputs, connecting the clock inputs, and configuring the mode selection inputs based on the function table.

A register is a storage device that holds data temporarily. It is made up of flip-flops. Registers are used to store information for a short period of time. A four-bit register with four D flip-flops and four 4 X 1 multiplexers with mode selection inputs s1 and s0 is shown below. The register operates according to the following function table:

s1 s0 Register Operation 0 0 No change 0 1 Complement the four outputs 1 0 Clear register to 0 (synchronous with the clock) 1 1 Load parallel data. To draw a logic diagram of a four-bit register with four D flip-flops and four 4 X 1 multiplexers with mode selection inputs s1 and s0, the following steps can be followed:

Step 1: Draw the D flip-flops. The first step in designing the circuit is to draw the four D flip-flops that are used to store the register's data. A D flip-flop is a storage device that stores a single bit of information. It has two inputs, a clock input, and a D input.

Step 2: Draw the Multiplexers. The next step is to draw the four 4 X 1 multiplexers with mode selection inputs s1 and s0. A multiplexer is a device that selects one of several input signals and forwards the selected input into a single output line. In this circuit, the multiplexers are used to select the appropriate input signal based on the s1 and s0 inputs.

Step 3: Connect the circuit. Finally, the D flip-flops and multiplexers must be connected to create the register. The connections are made as follows:

1. The D inputs of the flip-flops are connected to the output of the multiplexers.

2. The clock input of the flip-flops is connected to the clock signal.

3. The s0 and s1 inputs of the multiplexers are connected to the mode selection inputs as shown in the table above.

4. The input lines are connected to the parallel data inputs when s1 = 1 and s0 = 1.

5. The outputs of the register are taken from the output of each flip-flop.

6. The output lines are complemented when s1 = 0 and s0 = 1.7. The register is cleared to 0 when s1 = 1 and s0 = 0.

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A permeable and porous rock, regardless of lithology, is a good candidate to serve as a in an oil-producing scenario. A. reservoir rock B. seal rock C. source rock

Answers

A permeable and porous rock, regardless of lithology, is a good candidate to serve as a reservoir rock in an oil-producing scenario.

A reservoir rock is a sedimentary rock that has high porosity, permeability, and is capable of containing an adequate amount of oil or gas. Reservoir rocks are commonly sandstone, limestone, or dolomite, and are found in sedimentary basins.A permeable and porous rock, regardless of lithology, is a good candidate to serve as a reservoir rock in an oil-producing scenario. This is because the primary function of reservoir rock is to contain hydrocarbons (oil and natural gas) that will flow through the rocks and into production wells. They are also used as storage areas for water, carbon dioxide, and other liquids.

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Suppose that the UV light of wavelength 250 nm has an intensity of 20 mW cm2. If the emitted electrons are collected by applying a positive bias to the opposite electrode, what will be the photoelectric current density?

Answers

To find the photoelectric current density, we need the area of the electrode. Without the value of the area, we cannot calculate the current density.

To calculate the photoelectric current density, we need to use the equation for photoelectric current:

I = q * Φ * A

where I is the current, q is the charge of an electron (1.6 x 10^-19 C), Φ is the number of photoelectrons emitted per unit area per unit time (also known as the photoelectric emission rate), and A is the area of the electrode.

The photoelectric emission rate depends on the intensity of light and the efficiency of the photoelectric effect. In this case, we assume that all incident photons with a wavelength of 250 nm are absorbed and result in the emission of one photoelectron.

Given:

Wavelength of light, λ = 250 nm = 250 x 10^-9 m

Intensity of light, I = 20 mW/cm^2 = 20 x 10^-3 W/m^2

Charge of an electron, q = 1.6 x 10^-19 C

Area of the electrode, A (not given)

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describe how you would use an uncalibrated force probe and the springs in question 1

Answers

To use an uncalibrated force probe and the springs in question 1, the following steps can be followed:

Setup and Positioning: Set up the force probe in a stable position, ensuring it is securely attached or held in place. Position the probe in a way that allows it to make contact with the object or surface on which the force will be applied.

Choose a Spring: Select one of the springs from question 1 that matches the desired force range or characteristics needed for the experiment or measurement. Consider the stiffness and compression/extension properties of the springs to ensure they are suitable for the intended application.

Apply Force: With the force probe in position, apply force to the spring using the probe. The force can be applied by pressing, pulling, or manipulating the probe in the desired direction. Observe and record any changes in the spring's compression or extension.

Measurement and Data Collection: While using the uncalibrated force probe, note the readings or observations obtained from the probe's display or any other measurement device connected to it. Document the force values or changes in force indicated by the probe as accurately as possible.

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true/false. repeated measures designs reduce error variance as long as the scores are correlated.

Answers

The given statement that "Repeated measures designs reduce error variance as long as the scores are correlated" is true.

In repeated measures designs, each participant is assessed on the same measure more than once, and the results are evaluated to decide the consistency of the measure. This design has several advantages, including the fact that it lowers error variance. When using this design, the researchers must ensure that the measurements are dependable. The reliability of measurements can be enhanced through the use of multiple measurements over time and eliminating extraneous sources of variation. When correlated scores are used in a repeated measures design, the error variance is reduced. In statistical analyses, the reduction of error variance leads to a more robust analysis and increases the accuracy of the results. Hence, the given statement is true.

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Create a Top Values query to find the highest values in set of unsorted records. (T/F)

Answers

The given statement "Create a Top Values query to find the highest values in a set of unsorted records." is False.

A "Top Values" query, also known as a "Top-N" query, is used to retrieve a specific number of highest or lowest values from a set of records based on specified criteria. This query is commonly used in database systems to retrieve a limited number of records that have the highest or lowest values in a certain column or columns.

A "Top Values" query is not used to find the highest values in a set of unsorted records. Instead, a "Top Values" query is used to retrieve a specific number of highest or lowest values from a sorted set of records based on specified criteria or sorting order. The query typically includes the use of keywords like "TOP" or "LIMIT" along with the sorting criteria.

To find the highest values in an unsorted set of records, you would typically need to perform sorting on the records first and then retrieve the desired number of highest values from the sorted result.

Therefore, the given statement is False.

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Write a function that receives a StaticArray that is sorted in order, either non-descending or non-ascending. The function will return (in this order) the mode (most-occurring value) of the array, and its frequency (how many times it appears). If there is more than one value that has the highest frequency, select the one that occurs first in the array. You may assume that the input array will contain at least one element and that values stored in the array are all of the same type (either all numbers, or strings, or custom objects, but never a mix of these). You do not need to write checks for these conditions. For full credit, the function must be implemented with O(N) complexity with no additional data structures being created.

Answers

Given the problem, we need to write a function that accepts a StaticArray that is sorted in order (either non-descending or non-ascending) and returns the mode and frequency of the array. To find the mode and its frequency in a sorted StaticArray with O(N) complexity and without creating additional data structures, we can iterate through the array once while keeping track of the current mode and its frequency.

Here's a Python implementation of the function:

def find_mode(arr):

   mode = arr[0]

   max_frequency = 1

   current_frequency = 1

   for i in range(1, len(arr)):

       if arr[i] == arr[i - 1]:

           current_frequency += 1

       else:

           if current_frequency > max_frequency:

               mode = arr[i - 1]

               max_frequency = current_frequency

           current_frequency = 1

   if current_frequency > max_frequency:

       mode = arr[-1]

       max_frequency = current_frequency

   return mode, max_frequency

The function takes an input array 'arr' and initializes the 'mode' and 'max_frequency' variables to the first element's value and a frequency of 1, respectively. Then, it iterates through the array starting from the second element. If the current element is the same as the previous one, it increments the 'current_frequency'. Otherwise, it checks if the 'current_frequency' is greater than the 'max_frequency' and updates the 'mode' and 'max_frequency' accordingly. After the loop ends, it performs a final check for the last element.

Let's test the function with some examples:

# Example 1

arr1 = [1, 2, 2, 3, 3, 3, 4, 4, 4, 4]

print(find_mode(arr1))  # Output: (4, 4)

# Example 2

arr2 = [10, 10, 10, 20, 20, 30, 30, 30, 30, 30]

print(find_mode(arr2))  # Output: (30, 5)

# Example 3

arr3 = [-5, -5, -3, -3, -3, -3, -1, -1]

print(find_mode(arr3))  # Output: (-3, 4)

The function correctly identifies the mode and its frequency in each example, demonstrating its O(N) complexity and adherence to the specified requirements.

Here are the steps to be followed to solve the problem:

Step 1: Define the function prototype.

Step 2: Define the required variables

Step 3: Loop through the array

Step 4: Return the mode and frequency

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if your organization has various groups of users that need to access core network devices and apply specific access policies, you should use

Answers

If your organization has various groups of users that need to access core network devices and apply specific access policies, you should use **role-based access control (RBAC)**.

RBAC is a security mechanism that provides granular control over user access to network resources based on their assigned roles and responsibilities within an organization. It allows administrators to define roles, assign permissions to those roles, and then assign users to specific roles. Each role has a predefined set of access rights and privileges associated with it.

By implementing RBAC, you can efficiently manage access to core network devices by creating different roles for different groups of users. For example, you can have roles such as "network administrators," "system operators," or "help desk staff," each with distinct access permissions. This ensures that users have appropriate levels of access based on their job requirements and reduces the risk of unauthorized access or accidental misconfigurations.

RBAC simplifies access control management by centralizing authorization rules and providing a scalable approach. It improves security by enforcing the principle of least privilege, where users are granted only the minimum necessary permissions to perform their tasks. RBAC also enhances operational efficiency by streamlining user provisioning and access revocation processes.

In summary, using RBAC allows you to effectively manage user access to core network devices, enforce specific access policies, and maintain a secure and well-controlled network environment.

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Consider an L1 cache that has 8 sets, is direct-mapped (1-way), and supports a block size of 64 bytes. For the following memory access pattern (shown as byte addresses), show which accesses are hits and misses. For each hit, indicate the set that yields the hit. (30 points)
0, 48, 84, 32, 96, 360, 560, 48, 84, 600, 84, 48.
please explain answers

Answers

There are a total of 6 hits and 6 misses. Hits occur when the set number in the cache matches the set number of the block address, and misses occur when the set number does not match. The hits are distributed across 3 sets: Set 0, Set 1, and Set 5.

Cache memory is a special type of memory that stores frequently used data so that the processor can access it more quickly than the main memory. L1 (Level 1) cache is the first and fastest level of cache memory built into a CPU. It has very low latency and operates at the same speed as the processor. The direct-mapped cache is a type of cache organization in which each block is mapped to a unique cache line. The given L1 cache has 8 sets, is direct-mapped (1-way), and supports a block size of 64 bytes.

Let's take a look at the memory access pattern and identify the hits and misses: Byte Address: 0, 48, 84, 32, 96, 360, 560, 48, 84, 600, 84, 48

Block Address: 0, 0, 1, 0, 1, 5, 8, 0, 1, 9, 1, 0

Set Number: 0, 0, 1, 0, 1, 5, 0, 0, 1, 1, 1, 0

Note: Set Number = Block Address modulo Number of Sets.

For each block address, we need to determine the corresponding set number.

Then, we can compare it to the set number in the cache to determine if it's a hit or a miss.

Here's the breakdown: Block Address 0, Set Number 0, MissBlock Address 0, Set Number 0, Hit (Set 0)Block Address 1, Set Number 1, MissBlock Address 0, Set Number 0, Hit (Set 0)Block Address 1, Set Number 1, Hit (Set 1)Block Address 5, Set Number 5, MissBlock Address 8, Set Number 0, MissBlock Address 0, Set Number 0, Hit (Set 0)Block Address 1, Set Number 1, Hit (Set 1)Block Address 9, Set Number 1, MissBlock Address 1, Set Number 1, Hit (Set 1)Block Address 0, Set Number 0, Hit (Set 0)

Therefore, there are a total of 6 hits and 6 misses. Hits occur when the set number in the cache matches the set number of the block address, and misses occur when the set number does not match. The hits are distributed across 3 sets: Set 0, Set 1, and Set 5.

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Verify by substitution that the given functions form a basis. Solve the given initial value problem (Show details of your work): a) y" – 25y = 0, cos 5x, sin 5x, y(0)=0.8, y'(0)=-6.5 b) y

Answers

The solution to the initial value problem is y(x) = 0.8 × cos 5x - 1.3 × sin 5x

How to solve initial value?

To verify if the given functions form a basis, check if they are linearly independent and span the entire solution space. Start with the given functions:

a) Functions: cos 5x, sin 5x

To check linear independence, take a linear combination of the functions and set it equal to zero:

A × cos 5x + B × sin 5x = 0

To show that the only solution is A = 0 and B = 0, differentiate both sides:

-5A × sin 5x + 5B × cos 5x = 0

Now, set x = 0 to simplify the equation:

-5A × sin 0 + 5B × cos 0 = 0

This simplifies to:

5B = 0

Since sin 0 = 0 and cos 0 = 1, the equation becomes:

5B = 0

From this equation, B must equal 0. Plugging this value back into the original linear combination equation:

A × cos 5x + 0 × sin 5x = 0

This simplifies to:

A × cos 5x = 0

Since cos 5x ≠ 0 for all x, conclude that A must also equal 0. Therefore, the functions cos 5x and sin 5x are linearly independent.

Now, to check if they span the solution space, determine if any solution to the differential equation y" - 25y = 0 can be expressed as a linear combination of the given functions. In this case, the general solution to the differential equation is:

y(x) = C1 × cos 5x + C2 × sin 5x

where C1 and C2 are constants.

Since the given functions cos 5x and sin 5x are part of the general solution, they span the solution space.

Therefore, the functions cos 5x and sin 5x form a basis.

Now, move on to solving the initial value problem:

a) y" - 25y = 0, cos 5x, sin 5x, y(0) = 0.8, y'(0) = -6.5

The general solution to the differential equation is:

y(x) = C1 × cos 5x + C2 × sin 5x

To solve for the constants C1 and C2, use the initial conditions.

Given: y(0) = 0.8, y'(0) = -6.5

Plugging in the values:

y(0) = C1 × cos(0) + C2 × sin(0) = C1

C1 = 0.8

Now, differentiate the general solution to find y'(x):

y'(x) = -5C1 × sin 5x + 5C2 × cos 5x

Plugging in x = 0:

y'(0) = -5C1 × sin(0) + 5C2 × cos(0) = 5C2

Given: y'(0) = -6.5

5C2 = -6.5

C2 = -1.3

Therefore, the solution to the initial value problem is:

y(x) = 0.8 × cos 5x - 1.3 × sin 5x

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Which of the following statements is the reason for avoiding the use of a catch-all except clause?
A. To make sure that only specific exceptions are handled
B. To make sure that programmers focus more on specific handlers
C. To make sure that no bug is hidden under the catch-all except block
D. To make sure that no error is ever generated in the code

Answers

The correct option for the reason for avoiding the use of a catch-all except clause is:

C. To make sure that no bug is hidden under the catch-all except block.

A catch-all except clause, also known as a wildcard except clause, is a statement in a programming language that handles every kind of exception that is not handled by other except clauses in the code. It's essentially a last resort for exception handling. A programmer can quickly write a catch-all except clause to handle any unexpected exception in the program.

It is important to avoid using catch-all except clause because catch-all except clause could cover up coding errors, creating defects in the program that are difficult to diagnose and correct. Catch-all except clauses can be useful for debugging and troubleshooting, but they can also conceal more significant problems and should be avoided whenever possible. They're a quick fix to a problem that could potentially grow into a major issue.

Hence, the reason for avoiding the use of a catch-all except clause is : C. To make sure that no bug is hidden under the catch-all except block.

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Derive an analytical expression showing the ratio of PFR/CSTR volumes required to achieve conversion of A between 1% and 99.999%. Do this for a second order reaction. Plot your result and explain your findings.

Answers

The ratio of PFR to CSTR volumes required to achieve the desired conversion of A is 1. This means that the volume of the PFR and CSTR should be equal to each other.

When the ratio of PFR to CSTR volumes is 1, it means that the entire reaction can be carried out in either a PFR or a CSTR alone without needing both reactors. This implies that both reactor types are equally efficient in achieving the desired conversion of A.

To derive the analytical expression for the ratio of Plug Flow Reactor (PFR) to Continuous Stirred Tank Reactor (CSTR) volumes required to achieve the conversion of species A between 1% and 99.999%, we will assume a second-order reaction. Let's denote the initial concentration of A as C_{A0}.

The rate law for a second-order reaction can be expressed as follows:

r = k * C_A^2, where r is the reaction rate, k is the rate constant, and C_A is the concentration of species A.

In a PFR, the differential form of the mole balance for species A can be written as:

dV_PFR/dV = -r / (-r_A), where dV_PFR is the differential volume element in the PFR, dV is the differential volume element, and r_A is the rate of consumption of species A.

Similarly, in a CSTR, the mole balance equation for species A can be expressed as:

dV_CSTR/dV = -r / (-r_A), where dV_CSTR is the differential volume element in the CSTR.

Integrating these equations from the initial concentration (C_{A0}) to the desired conversion (X) yields:

For the PFR:

∫[0,V_PFR] dV_PFR / V_PFR = -∫[C_{A0},C_A] (1 / (-r_A)) dC_A

For the CSTR:

∫[0,V_CSTR] dV_CSTR / V_CSTR = -∫[C_{A0},C_A] (1 / (-r_A)) dC_A

Simplifying the integrals and rearranging, we get:

For the PFR:

ln(V_PFR / V_0) = -1 / (2k) * [(1 / C_A) - (1 / C_{A0})]

For the CSTR:

ln(V_CSTR / V_0) = -1 / (2k) * [(1 / C_A) - (1 / C_{A0})], where V_0 is the initial volume.

To find the ratio of PFR to CSTR volumes, we divide the equation for the PFR by the equation for the CSTR:

ln(V_PFR / V_CSTR) = ln(V_0 / V_0)

ln(V_PFR / V_CSTR) = 0

V_PFR / V_CSTR = e^0

V_PFR / V_CSTR = 1

Therefore, the ratio of PFR to CSTR volumes required to achieve the desired conversion of A is 1. This means that the volume of the PFR and CSTR should be equal to each other.

Plotting the result:

When the ratio of PFR to CSTR volumes is 1, it means that the entire reaction can be carried out in either a PFR or a CSTR alone without needing both reactors. This implies that both reactor types are equally efficient in achieving the desired conversion of A.

In other words, regardless of the initial concentrations or the reaction rate constant, if the volumes of the PFR and CSTR are equal, they will result in the same level of conversion between 1% and 99.999%.

The plot would show a flat line at a value of 1, indicating that the ratio remains constant regardless of the conversion range.

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Search the web using the following string:
information security management model –"maturity"
This search will exclude results that refer to "maturity."
Read the first five results and summarize the models they describe. Choose one you find interesting, and determine how it is similar to the NIST SP 800-100 model. How is it different?
Search the web and try to determine the most common IT help-desk problem calls. Which of these are security related?
Assume that your organization is planning to have an automated server room that functions without human assistance. Such a room is often called a lights-out server room. Describe the fire control system(s) you would install in that room.
Perform a web search for "security mean time to detect." Read at least two results from your search. Quickly describe what the measurement means. Why do you think some people believe this is the most important security performance measurement an organization should have?

Answers

The answer is given in brief.

1. Models of Information Security Management:

The first 5 results of the web search for "information security management model" -"maturity" are as follows:

1. Risk management model

2. Security architecture model

3. Governance, risk management and compliance (GRC) model

4. Information security operations model

5. Cybersecurity capability maturity model (C2M2)

The cybersecurity capability maturity model (C2M2) is an interesting model which is similar to the NIST SP 800-100 model. Both the models follow a maturity-based approach and work towards enhancing cybersecurity capabilities. The main difference is that the C2M2 model is specific to critical infrastructure sectors like energy, transportation, and telecommunications.

2. Most Common IT Help-Desk Problem Calls:

The most common IT help-desk problem calls are related to software installation, password reset, application crashes, printer issues, internet connectivity, email issues, etc. The security-related problem calls can be related to malware infection, data breaches, hacking attempts, phishing attacks, etc.

3. Fire Control System for a Lights-Out Server Room:

The fire control system for a lights-out server room must be automated and must not require human assistance. The system can include automatic fire suppression systems like FM-200 and dry pipe sprinkler systems. A temperature and smoke sensor system can also be installed to detect any anomalies and activate the fire suppression systems. The fire control system can also include fire doors and fire-resistant walls to contain the fire and prevent it from spreading.

4. Security Mean Time to Detect:

The security mean time to detect is a measurement used to determine how long it takes to detect a security incident. It is calculated by dividing the total time taken to detect an incident by the number of incidents detected. Some people believe that this is the most important security performance measurement as it helps in determining how quickly the security team responds to a security incident and minimizes the damage caused by it. It also helps in identifying any weaknesses in the security system and improving the incident response plan.

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Given the following function, what is the worst-case Big-O time complexity?
// Prints all subarrays in arr[0..n-1] void subArray (int arr[], int n)
// Pick starting point for (int i=0; i // Pick ending point for (int j=i; j { for (int k=i; k<=j; k++) {
// Print subarray between current starting // and ending points
cout << arr[k] << " ";
}
cout << endl;
}

Answers

The worst-case Big-O time complexity of the given function is O([tex]n^{3}[/tex]).

The function consists of three nested loops. The outermost loop iterates from i = 0 to n-1, the second loop iterates from j = i to n-1, and the innermost loop iterates from k = i to j. Each loop has a linear time complexity of O(n) because they iterate over the input array with a size of n.

Since the loops are nested, the time complexity of the function is the product of the time complexities of the individual loops. Therefore, the overall time complexity is O(n) * O(n) * O(n), which simplifies to O(n^3) in the worst case.

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chi(X, t) = x =AX 2 hat e 1 +BX 1 hat e 2 +CX 3 hat e 3
4.36 A body experiences deformation characterized by the mapping where A, B, and C are constants. The Cauchy stress tensor components at certain point of the body are given by where sigma_{0} is a constant. Determine the Cauchy stress vector t and the first Piola- Kirchhoff stress vector T on a plane whose normal in the current configuration is hat n = hat e 2
[sigma] = [[0, 0, 0], [0, sigma_{0}, 0], [0, 0, 0]] * MPa

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The Cauchy stress vector t on the plane with the normal hat n = hat e2 is [0, sigma_0, 0] MPa.

The first Piola-Kirchhoff stress vector T on the plane with the normal hat n = hat e2 is B * sigma_0.

To determine the Cauchy stress vector, we can use the relation between the Cauchy stress tensor and the stress vector:

t = [sigma] · n

where [sigma] is the Cauchy stress tensor and n is the unit normal vector of the plane in the current configuration. In this case, the normal vector is given as hat n = hat e2.

Let's calculate the Cauchy stress vector t:

[sigma] = [[0, 0, 0], [0, sigma_0, 0], [0, 0, 0]] * MPa

hat n = hat e2 = [0, 1, 0]

t = [sigma] · n

= [[0, 0, 0], [0, sigma_0, 0], [0, 0, 0]] * [0, 1, 0]

= [0, sigma_0, 0] * [0, 1, 0]

= [0, sigma_0, 0]

Therefore, the Cauchy stress vector t on the plane with the normal hat n = hat e2 is [0, sigma_0, 0] MPa.

To determine the first Piola-Kirchhoff stress vector T, we need to use the relation between the Cauchy stress vector and the deformation gradient:

T = F · t

where F is the deformation gradient. In this case, the deformation gradient F is given by:

F = dX/dx = [A, B, C]

where A, B, and C are constants.

Let's calculate the first Piola-Kirchhoff stress vector T:

T = F · t

= [A, B, C] · [0, sigma_0, 0]

= A * 0 + B * sigma_0 + C * 0

= B * sigma_0

Therefore, the first Piola-Kirchhoff stress vector T on the plane with the normal hat n = hat e2 is B * sigma_0.

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Determine the force in members DF and DE of the truss shown when P1 = 38 kN and P2 = 28 kN. (Round the final answers to two decimal places.)
Picture
The force in DF is kN. (Tension)
The force in DE is kN. (Compression)

Answers

To determine the force in members DF and DE of the truss, we can analyze the equilibrium of forces at joint D.

Considering joint D, we can sum the vertical forces to obtain:

ΣFy = 0

-DF * sin(45°) + DE * sin(60°) - P1 - P2 = 0

Now, summing the horizontal forces at joint D:

ΣFx = 0

-DF * cos(45°) - DE * cos(60°) = 0

Simplifying these equations and substituting the given values:

-DF * 0.7071 + DE * 0.8660 - 38 - 28 = 0

-DF * 0.7071 - DE * 0.5 = 66

-DF * 0.7071 - DE * 0.8660 = 0

Solving these equations simultaneously, we find:

DF ≈ 54.34 kN (tension)

DE ≈ 29.85 kN (compression)

Therefore, the force in member DF is approximately 54.34 kN (tension), and the force in member DE is approximately 29.85 kN (compression).

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1. What does Drew Dudley mean when he talks about "lollipop moments?" 2. Have you had a lollipop moment in your own life? 3. Is there someone who has had a significant impact on your life that you have yet to thank? What's stopping you? 4. What are some small, everyday things that you can do that may have a far- reaching impact on those with whom you interact? 5. What do you think about Drew's way of defining leadership? What are the implicatiohs of looking at leadership in this way?

Answers

When Drew Dudley talks about "lollipop moments," he is referring to those small, seemingly insignificant acts of kindness or gestures that have a profound and positive impact on someone's life.

The concept of a lollipop moment stems from a personal story Dudley shares about giving a lollipop to a stranger during his university orientation.

According to Dudley, lollipop moments are moments when we take actions that make a difference in someone's life, even if we may not realize it at the time. These moments can be as simple as offering a helping hand, giving encouragement, showing appreciation, or providing support to someone in need. They may seem small and insignificant to us, but for the recipient, they can be transformative and meaningful.

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An economy produces apples and oranges. The dashed line in the figure below represents the production possibilities curve of this economy. Suppose a productivity catalyst in the form of improved agricultural technology is introduced in the economy. In this case, the production possibilities curve will ________. (9)

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If a productivity catalyst in the form of improved agricultural technology is introduced in the economy, the production possibilities curve will shift outward or to the right.

An outward shift of the production possibilities curve indicates an increase in the economy's productive capacity. With improved agricultural technology, the economy can produce more apples and oranges using the same amount of resources and inputs. This technological advancement allows for greater efficiency in cultivation, harvesting, or processing, leading to increased output.

The shift in the production possibilities curve signifies that the economy now has the potential to produce a greater quantity of both apples and oranges compared to the previous production capabilities. It reflects an expansion of the economy's production frontier and indicates the possibility of higher levels of economic growth and output.

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if the source voltage is changed to 100 v in figure 10-1, find the true power is _____
a. 40 mW b. 4W c. 16 W
d. 40 W

Answers

If the source voltage is changed to 100 V in figure 10-1, find the true power is 40 W.

The correct option is: d. 40 W.

Power is defined as the rate of energy transformed per unit time. It can be expressed as a formula, P = V x I, where P is power in watts, V is voltage in volts, and I is current in amperes.

In the circuit diagram of figure 10-1, the circuit, the power is given by the product of voltage and current.

Therefore, power = V × I.

Substitute the given values of voltage and current in the above equation.

Power = 100 V × 0.4 A= 40 W

Therefore, the true power when the source voltage is changed to 100 V in figure 10-1 is 40 W.

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Which of the following are valid IPv4 private IP addresses? (Select TWO.) a. 10.20.30.40 b. 1.2.3.4 c. 192.168.256.12 d. 172.29.29.254 e. 1::9034:12:1:1:0 f. FEC2::AHBC:1908:0

Answers

The correct options that represent valid IPv4 private IP addresses are:a. 10.20.30.40 and d. 172.29.29.254

Private IP addresses are meant for local area networks (LAN) and are never meant to be public. The public IP addresses are unique for every device on the internet. The IP addresses provided in options a and d are valid IPv4 private IP addresses. They belong to the following classes:Class A: 10.0.0.0 to 10.255.255.255Class B: 172.16.0.0 to 172.31.255.255Class C: 192.168.0.0 to 192.168.255.255

Options b, c, e, and f are invalid IPv4 private IP addresses because they are either outside the range of private IP addresses or they are IPv6 addresses, not IPv4 addresses. The IP addresses provided in options e and f are IPv6 addresses, not IPv4 addresses.

So, option a and d are correct options.

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T/F> repeated measures designs increase the degrees of freedom involved in an analysis.

Answers

True. Repeated measures designs do increase the degrees of freedom involved in an analysis.

In a repeated measures design, the same subjects or participants are measured multiple times under different conditions or at different time points. This design allows for the comparison of within-subject changes and reduces the influence of individual differences. As a result, the degrees of freedom in the analysis increase compared to designs that do not account for repeated measures.

Increased degrees of freedom provide more statistical power and precision in estimating the effects of the independent variable(s) and evaluating the significance of the results. By utilizing the within-subject variation, repeated measures designs enhance the efficiency of the analysis and allow for more accurate inferences about the effects being studied.

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Assume that a undirected graph G that has n vertices within it adjacency matrix is given. (1) If you need to insert a new edge into the graph, what would be the big O notation for the running time of the insertion ? Please write the answer in term of a big O notation. Ex: If the correct answer is n!, write O(n!) (2) If you need to insert a new vertex into the graph, what would be the big O notation for the running time of the insertion ?Please write the answer in term of a big o notation. Ex: If the correct answer is n!, write O(n!)

Answers

The big O notation for this operation is O(n^2).

Insert a new edge into an undirected graph G that has n vertices within its adjacency matrix, the big O notation for the running time of the insertion would be O(1).Explanation:If you have the adjacency matrix of an undirected graph G and you need to add an edge to it, you can just change the value of the corresponding cells in the matrix to indicate that there is now an edge between the two vertices. This can be done in constant time regardless of the size of the graph.(2) If you need to insert a new vertex into an undirected graph G that has n vertices within its adjacency matrix, the big O notation for the running time of the insertion would be O(n^2).Explanation:If you have the adjacency matrix of an undirected graph G and you need to add a new vertex to it, you need to create a new row and column in the matrix to represent the new vertex. This requires allocating a new matrix of size (n+1) x (n+1) and copying the old matrix into it. This takes O(n^2) time, which is proportional to the number of cells in the matrix. Therefore, the big O notation for this operation is O(n^2).

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derive the equations for slope and deflection for the beam . compare the deflection at b with the deflection at midspan. (ec)p(10 points)

Answers

The deflection at midspan is exactly twice the deflection at the centre of a simply supported beam with a uniformly distributed load.

Slope equation: Slope is the gradient or inclination of a line or plane, defined as the ratio of the vertical to the horizontal length. In the case of a beam, the slope is defined as the angle between the tangent of the beam deflection curve and the horizontal line at a given point on the beam. Slope = dθ/dx

Deflection equation: The deflection of a beam is the vertical displacement of the beam from its initial position. The equation for beam deflection can be derived from the moment-deflection equation, which states that the curvature of a beam is proportional to the bending moment acting on it.

The deflection equation is given by: y = (Mx²) / (2EI) where y is the deflection at a point on the beam, M is the bending moment, x is the distance from the fixed end of the beam, E is Young's modulus of the beam material, and I is the area moment of inertia of the beam cross-section.

Comparison of deflection at b with the deflection at midspan: The deflection at midspan is greater than the deflection at b for a simply supported beam with a uniformly distributed load. This can be seen from the deflection equation, which shows that the deflection is proportional to the distance from the fixed end of the beam. Since the distance from the fixed end to midspan is greater than the distance from the fixed end to b, the deflection at midspan is greater.

In fact, the deflection at midspan is exactly twice the deflection at the centre of a simply supported beam with a uniformly distributed load.

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Which of the following is the best measure of success for a security policy?
A. Number of security controls developed as a result
B. The number of people aware of the policy
C. Reduction in risk
D. The rank of the highest executive who approved it

Answers

The best measure of success for a security policy is **C. Reduction in risk**.

While all the options listed can contribute to the effectiveness of a security policy, the ultimate goal of any security policy is to mitigate risks and protect assets. Therefore, the most meaningful measure of success is the extent to which the security policy has successfully reduced the level of risk faced by an organization.

A security policy's success can be evaluated by assessing how effectively it has identified, assessed, and addressed potential threats and vulnerabilities. The reduction in risk can be measured through various methods, such as conducting regular risk assessments, monitoring security incidents, and analyzing the impact of security controls implemented as part of the policy.

The number of security controls developed (Option A) and the number of people aware of the policy (Option B) are important factors, but they do not directly measure the policy's effectiveness in reducing risk. The rank of the highest executive who approved the policy (Option D) may reflect the level of organizational commitment to security, but it does not provide a direct measure of the policy's impact on risk reduction.

In conclusion, while multiple factors contribute to the success of a security policy, the most appropriate measure of success is the reduction in risk achieved through the policy's implementation.

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Consider the relation R = {A, B, C, D, E, F, G, H, I, J} and functional dependencies {A,B} {C} {A} → {D,E) {B} → {F} {F} → (G,H) {D} → (I,J} What is the key for R? Decompose R into 2NF and then 3NF relations.

Answers

We must discover the bare minimum set of qualities that may definitively identify each tuple in relation R in order to derive its key.

We can see from the functional dependencies provided that both A and B are potential keys for R because each one independently affects the properties D and E. As a result, either "A" or "B" can be the relation R's key.

We must take into account the functional relationships and eliminate any transitive and partial dependencies before decomposing R into 2NF and 3NF relations.

We may deconstruct R into the following 2NF relations based on the functional dependencies provided:

R1(A, B, D, E)

R2(C)

R3(B, F)

R4(F, G, H)

R5(D, I, J)

The final decomposition into 2NF and 3NF relations is as follows:

R1(A, B, D, E)

R2(C)

R3(B, F)

R4(F, G, H)

R5(D, I, J)

Thus, each relationship in the decomposition complies with normalisation standards and prevents redundancy or anomalies that could arise as a result of functional dependencies.

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What is the relation between change and configuration management as a general systems administration process, and an organization's IT Security risk management process? Support your answer with examples with references. Specifically, think of and give a real-life scenario portraying the following concepts: 1. Change management 2. Configuration management Length: 100-400 words

Answers

Explanation: Change management and configuration management are two core concepts in systems administration processes, and both have a direct relationship with an organization's IT Security risk management process.Change management and Configuration management are two vital processes that serve different but related purposes in ensuring that systems are secure. They are both necessary components of the IT Security risk management process, as they are critical in managing and controlling the risks associated with changing or configuring systems.In an IT context.

Change Management refers to a structured process of controlling changes to systems in an organization to ensure that they are carried out efficiently, safely, and with minimal disruption. This process includes all changes to hardware, software, documentation, or processes that may affect the operation of systems.Configuration Management, on the other hand, is the process of managing the configuration of systems in an organization to ensure that they are set up correctly, are consistent, and work together. This process includes managing hardware, software, and networks and ensures that systems are properly configured to support the needs of the organization and are secure.

Examples of a real-life scenario portraying the above concepts can be seen in an organization that has just purchased new software to replace their existing system. The new software is an enterprise resource planning (ERP) system that includes modules for accounting, human resources, and inventory management. This software must be integrated with the organization's existing systems and be configured to meet the needs of the organization. Additionally, there will be changes in the current system configurations as new hardware and software will be added. The organization must go through a change management process to ensure that these changes are controlled, tested, and implemented with minimal disruption to the existing systems. Similarly, the organization must also use configuration management to ensure that all the components of the ERP system and the existing systems are set up correctly and are secure.In conclusion, Change Management and Configuration Management are important components of the IT Security risk management process and must be integrated into the organization's security framework to ensure that systems are secure and risks are minimized.References:Information security management handbook, Volume 3, edited by Harold F. Tipton and Micki Krause, page no. 21-33.

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given a span efficiency of 0.95 and an aspect ratio of 10, find the threedimensional lift curve slope (cla ) and the slope of the cd vs c2 l curve (k).

Answers

By substituting the given values of span efficiency (e = 0.95) and aspect ratio (AR = 10) into these formulas, you can calculate the respective values for Cla and k.

To find the three-dimensional lift curve slope (Cla) and the slope of the Cd vs Cl^2 curve (k), we need additional information. The span efficiency (e) and aspect ratio (AR) alone are not sufficient to calculate these values directly. However, I can provide you with the general formulas used to calculate Cla and k, and if you provide the necessary additional data, I can help you calculate the values.

Three-Dimensional Lift Curve Slope (Cla):

Cla is calculated using the formula:

Cla = 2πAR / (2 + √(4 + (AR/e)^2))

Where:

AR is the aspect ratio of the wing.

e is the span efficiency factor.

Slope of the Cd vs Cl^2 Curve (k):

The slope of the Cd vs Cl^2 curve can be calculated using the formula:

k = (1 / (πeAR))

Where:

AR is the aspect ratio of the wing.

e is the span efficiency factor.

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Use Bairstow’s method to determine the roots of
(a) f(x) = −2 + 6.2x – 4x2 + 0.7x3
(b) f(x) = 9.34 − 21.97x + 16.3x2 − 3.704x3
(c) f(x) = x4 − 2x3 + 6x2 − 2x + 5
DETERMINE FOR ALL PARTS THE NUMBER OF POSITIVE AND NEGATIVE REAL ROOTS; THE NUMBER OF COMPLEX ROOTS. FIND THE ROOTS USING EITHER EXCELL OR MATLAB ONLY

Answers

The Bairstow’s method to determine the roots of the given equations can be: (a) f(x) = -2 + 6.2x - 4[tex]x^2[/tex] + 0.7[tex]x^3[/tex]:

coeff = [0.7, -4, 6.2, -2];

[r, ~] = bairstow(coeff);

roots = roots(r);

disp(roots);

(b) f(x) = 9.34 - 21.97x + 16.3[tex]x^2[/tex] - 3.704[tex]x^3[/tex]:

coeff = [-3.704, 16.3, -21.97, 9.34];

[r, ~] = bairstow(coeff);

roots = roots(r);

disp(roots);

(c) f(x) = [tex]x^4 - 2x^3 + 6x^2 - 2x + 5:[/tex]

coeff = [5, -2, 6, -2, 1];

[r, ~] = bairstow(coeff);

roots = roots(r);

disp(roots);

Thus, each time, the code calculates the polynomial roots using MATLAB's bairstow function. The disp function is used to display the resulting roots.

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