i'm behind a car and wish to pass so you turn to the left and pull into the passing lane without changing speed why does the distance increase between you and the car you're following

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Answer 1

Since the component of your velocity along the road decreased slightly as there was a component across the road when you changed lanes, the distance increased.

Which element, which disrupts attention, raises risk when driving a car?Driving while distracted might raise the likelihood of a car accident. Distractions include anything that diverts your focus from operating a vehicle. Distracted driving includes a variety of activities, including as texting, chatting on the phone, using a navigation system, and eating while operating a vehicle.On the left, overtake traffic. Only when the open roadway is clearly signposted for two or more lanes of traffic in your direction are you allowed to pass on the right. You do not drive off the road to pass the vehicle in front of you when they are making a left turn.

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Related Questions

a point charge is located exactly at the center of an imaginary gaussian surface in the shape of a cube

Answers

The electric field due to the point charge located at the center of the cube can be calculated using Gauss's law and is given by E = charge / (ε0 x A).

If a point charge is located exactly at the center of an imaginary Gaussian surface in the shape of a cube, then the electric field due to the charge can be calculated using Gauss's law. According to Gauss's law, the flux of the electric field through any closed surface is equal to the charge enclosed by the surface divided by the permittivity of free space. In this case, since the charge is located at the center of the cube, the electric field will be uniform and directed towards the faces of the cube. Moreover, since the cube is symmetric, the electric field will have the same magnitude on all faces of the cube.
To calculate the electric field using Gauss's law, we need to find the net charge enclosed by the cube. Since the charge is located at the center of the cube, the net charge enclosed by the cube will be equal to the charge itself. Hence, we can write
flux = charge / ε0
where ε0 is the permittivity of free space. The flux through each face of the cube will be equal since the electric field is uniform and directed towards each face. Hence, we can write
flux = E x A
where E is the magnitude of the electric field and A is the area of each face of the cube.
Equating the above two equations, we get
E x A = charge / ε0
Solving for E, we get
E = charge / (ε0 x A)
Hence, the electric field due to the point charge located at the center of the cube can be calculated using Gauss's law and is given by E = charge / (ε0 x A).

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How do plants recycle hydrogen during cellular respiration?
a.) the hydrogen in glucose is recycled as water.
b.) the hydrogen in glucose is recycled as hydrogen gas.
c.) the hydrogen in hydrogen gas is recycled as glucose.
d.) the hydrogen in water is recycled as glucose.
i need this answer in 5 minutes!

Answers

Plants recycle hydrogen in cellular respiration through a process that involves breaking down glucose and other organic compounds to release energy, carbon dioxide, and water. During this process, the hydrogen in glucose is recycled as water (option a) and released into the environment.

In cellular respiration, plants consume glucose and oxygen to generate energy. The glucose is broken down in a process known as glycolysis, which produces two molecules of pyruvate and hydrogen ions. These hydrogen ions are then transported to the mitochondria, where they are used to generate ATP. During this process, the hydrogen ions combine with oxygen to form water, which is then released into the environment as a byproduct of cellular respiration.The recycling of hydrogen in cellular respiration is essential for plant survival as it allows them to maintain a balance of resources in their environment. The water produced by the recycling of hydrogen is also critical for plant growth and the maintenance of the ecosystem as a whole.In conclusion, plants recycle hydrogen during cellular respiration by breaking down glucose and other organic compounds to release energy, carbon dioxide, and water. The hydrogen in glucose is recycled as water, which is released into the environment as a byproduct of the process. This recycling process is vital for plant survival and the maintenance of the ecosystem.

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The captain of a crab boat on the coast of Alaska notes that in a time period of r= 15 minutes, the boat goes up and down 24 times Randomized Variables 1 = 15 minutes Hair Carroxo 19 dtdeab occu the experti.com mekom SN67AS DA AD 2066-13457 In accordmon with Expert Term of Servicn, copying this coformation to any olution uning website i forbidden Domt my reutil internation of your Expert Account 3396 Part(a) luput an expression for the frequency of the ocean wave, f. Grade Su Deduction Potential CE It 9 В f 7 4 8 5 2 6 3 Submission Attempts (8 per at detailed j 1 hi k P m + 0 S t Submit Hint Hits: deduction per hint. Hints remaining ! Feedback. O deduction per feedback 33 Part (b) What is the frequency, in hertz? 33% Part() If the crests are d - 100.0 m apart how fast are the waves traveling in meters per second?

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The waves are traveling at a speed of 2.7 meters per second.(a) To find the frequency of the ocean wave, f, we need to know the number of cycles per unit of time. In this case, the boat goes up and down 24 times in 15 minutes.

To find the frequency in cycles per minute, we divide the number of cycles (24) by the time period (15 minutes):
f = 24 cycles / 15 minutes = 1.6 cycles/minute

(b) To convert the frequency to hertz (cycles per second), we need to convert minutes to seconds:
1 minute = 60 seconds
1.6 cycles/minute * (1 minute / 60 seconds) = 1.6 cycles / 60 seconds ≈ 0.027 cycles/second ≈ 0.027 Hz

The frequency of the ocean wave in hertz is approximately 0.027 Hz.

(c) To find the speed of the waves (v) in meters per second, we can use the relationship between speed, frequency (f), and wavelength (λ):
v = f * λ

The crests are 100.0 meters apart, so the wavelength (λ) is 100.0 meters. We already found the frequency (f) in hertz, which is 0.027 Hz.
v = 0.027 Hz * 100.0 m = 2.7 m/s

The waves are traveling at a speed of 2.7 meters per second.

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The information given in the problem allows us to determine the frequency of the ocean wave, which is the number of complete waves that occur in one unit of time. Using the formula f = 1/T, where T is the time period, we can calculate the frequency as f = 1/15 = 0.067 Hz. This means that in one second, the wave completes 0.067 cycles.

To determine the speed of the wave, we need to use the formula v = fλ, where v is the speed, f is the frequency, and λ is the wavelength. We are given that the crests are d = 100.0 m apart, which is equal to one wavelength. Therefore, we can calculate the speed as v = fλ = 0.067 × 100.0 = 6.7 m/s.This means that the wave is traveling at a speed of 6.7 meters per second. This speed is relatively slow compared to other types of waves, such as electromagnetic waves, which travel at the speed of light. The speed of ocean waves depends on a variety of factors, including the depth of the water, the wind speed, and the shape of the coastline.

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w 0,4 w 0.5 Above is a feed forward perceptron neural network with a threshold activation function (not sigmoid). Recall that threshold function returns either 0 or 1. Given the input < 0,1 » (i.e. h(0, 1)), provide the activation value for each node. w0,3 = 1.5; w1,3= -1; w2,3=-1; w0,4 =..5; w1,4= 1; w2,4 = 1; w0,5 =-1.5; w3,5= 1; w4,5= 1:

Answers

The feedforward perceptron neural network with threshold activation function has the following structure: h(x) = θ(ax+b)

Here h(x) is the output of the perceptron for an input vector x, θ(x) is the threshold function, and a and b are constants.

The activation value for each node, we need to evaluate the threshold function for each input vector and find the output of the perceptron for that input vector.

For the input vector < 0,1>, the threshold function can be evaluated as follows:

θ(0a + 1b) = θ(0 + 1) = 1

The output of the perceptron for this input vector can be found by substituting the threshold function into the equation for the output of the perceptron:

h(x) = θ(ax+b)

h(x) = 1(0 + 1)x + 1b = 1*x + 1

Therefore, the activation value for each node is the weighted sum of the inputs to the node plus the bias term, scaled by the output of the perceptron:

h0,3 = 1*(-1) + 10 + 11 + 01.5 + 1-1 + 1*1 = 1.5

h1,3 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 0.5

h2,3 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 0.5

h0,4 = 1*(-1) + 10 + 11 + 01.5 + 1-1 + 1*1 = 1.5

h1,4 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 1

h2,4 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 1

h0,5 = 1*(-1) + 10 + 11 + 01.5 + 1-1 + 1*1 = 1.5

h3,5 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 1

h4,5 = 11 + 10 + 11 + 01.5 + 1*-1 + 1*1 = 1

Note that the bias terms are included in the output of the perceptron, so they do not need to be added to the activation values of the nodes.  

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Which of the following options is correct?
Fats contain more energy per gram than carbohydrates or proteins because
A) fat molecules contain a lower percentage of oxygen atoms.
B) fat molecules contain a lower percentage of hydrogen atoms.
C) fat molecules contain a lower percentage of carbon atoms.
D) fat molecules contain a higher percentage of adipose atoms.

Answers

The correct option is B) fat molecules contain a lower percentage of hydrogen atoms. Fat molecules, also known as triglycerides, are composed of three fatty acid chains attached to a glycerol backbone. These fatty acid chains are made up of long chains of carbon and hydrogen atoms, with some oxygen atoms as well.

The term "adipose atoms" does not make sense as adipose refers to fat tissue, not a specific element or atom.The percentage of hydrogen atoms in a fat molecule varies depending on the type of fatty acid chain present. Saturated fatty acids, which have no double bonds between their carbon atoms, contain the maximum number of hydrogen atoms possible and therefore have a higher percentage of hydrogen atoms.

Unsaturated fatty acids, on the other hand, have one or more double bonds between their carbon atoms, which reduces the number of hydrogen atoms and lowers the percentage of hydrogen in the molecule.

Overall, fat molecules contain more carbon and hydrogen atoms than oxygen atoms, which is why they are classified as lipids. They serve as a storage form of energy in the body and also play important roles in cell membrane structure and function, hormone production, and insulation .The correct option is B

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Fat molecules contain a lower percentage of oxygen atoms. The correct option is A)

This is because carbohydrates and proteins contain more oxygen atoms in their molecules compared to fats, which have more carbon and hydrogen atoms. The presence of more oxygen atoms in carbohydrates and proteins results in lower energy density compared to fats.
A) Fat molecules contain a lower percentage of oxygen atoms.
Fats contain more energy per gram than carbohydrates or proteins because fat molecules have a lower percentage of oxygen atoms, which leads to a higher proportion of carbon and hydrogen atoms. These carbon-hydrogen bonds store more energy than the bonds found in carbohydrates or proteins.

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suppose we replace the mercury lamp with a light source emitting red light. will photoelectrons be emitted ? explain why or why not ?

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In most cases, replacing the mercury lamp with a red light source does not cause photoelectron emission.

The emission of photoelectrons depends on the energy of the incident photons and the activity of the material. The work function is the minimum energy required to remove electrons from the surface of the object. In the case of a mercury lamp, it usually emits ultraviolet (UV) light, which contains more energy photons. Photoelectrons can be emitted if the energy of the UV photons is greater than or equal to the work function of the material. However, when a red emitting light is used instead of a mercury lamp, red photons generally have lower energy than UV photons. Red light has a long wavelength and low energy. To emit a photoelectron, the energy of the red photon must be greater than the active material. If the energy of the red photon is lower than the function, the electron cannot receive enough energy to overcome the negative function and is released as a photoelectron. The signal is not strong enough to cause photoemission on most devices. The activity of the material is usually higher than the energy carried by the red photons. Therefore, in most cases, replacing the mercury lamp with a red light source does not cause photoelectron emission. However, it should be noted that in some cases or in some experiments, the energy of the red photon is sufficient to cause photoemission. These may have exceptions and depend on equipment specifications and test setup.

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Particles q1, 92, and q3 are in a straight line.


Particles q1 = -28. 1 uc, q2 = +25. 5 uc, and


q3 = -47. 9 uC. Particles q1 and q2 are separated


by 0. 300 m. Particles q2 and q3 are separated by


0. 300 m. What is the net force on q3?

Answers

The net force on particle  [tex]\(q_3\)[/tex]  due to particles [tex]\(q_1\)[/tex] and  [tex]\(q_2\)[/tex]  can be determined using Coulomb's Law.

The force between two charged particles is given by [tex]\(F = \frac{{k \cdot |q_1 \cdot q_2|}}{{r^2}}\)[/tex], where k is the electrostatic constant [tex](\(8.99 \times 10^9 \, \text{N m}^2/\text{C}^2\))[/tex], [tex]\(|q_1|\)[/tex] and [tex]\(|q_2|\)[/tex] are the magnitudes of the charges, and r is the separation distance between the charges. First, let's calculate the force between [tex]\(q_1\)[/tex] and  [tex]\(q_2\)[/tex]  using their magnitudes and the given separation distance of [tex]\(0.300 \, \text{m}\)[/tex]:

[tex]\[F_{12} = \frac{{k \cdot |q_1 \cdot q_2|}}{{r_{12}^2}} = \frac{{(8.99 \times 10^9 \, \text{N m}^2/\text{C}^2) \cdot (28.1 \times 10^{-6} \, \text{C}) \cdot (25.5 \times 10^{-6} \, \text{C})}}{{(0.300 \, \text{m})^2}} = -3.58 \, \text{N}\][/tex]

Next, let's calculate the force between [tex]\(q_2\)[/tex] and [tex]\(q_3\)[/tex] using their magnitudes and the given separation distance of [tex]\(0.300 \, \text{m}\)[/tex]:

[tex]\[F_{23} = \frac{{k \cdot |q_2 \cdot q_3|}}{{r_{23}^2}} = \frac{{(8.99 \times 10^9 \, \text{N m}^2/\text{C}^2) \cdot (25.5 \times 10^{-6} \, \text{C}) \cdot (47.9 \times 10^{-6} \, \text{C})}}{{(0.300 \, \text{m})^2}} = 9.06 \, \text{N}\][/tex]

The net force on  [tex]\(q_3\)[/tex]  is the vector sum of the forces [tex]\(F_{12}\)[/tex] and \[tex]F_{23}\)[/tex]. Since both forces are directed towards [tex]\(q_3\)[/tex], we can add their magnitudes:

[tex]\[F_{\text{net}} = |F_{12}| + |F_{23}| = 3.58 \, \text{N} + 9.06 \, \text{N} = 12.64 \, \text{N}\][/tex]

Therefore, the net force acting on particle [tex]\(q_3\)[/tex] is [tex]\(12.64 \, \text{N}\)[/tex] in the direction towards particle  [tex]\(q_3\)[/tex] .

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what is the voltage drop percentage on two 10 awg thw copper, stranded, branch-circuit conductors, 120-ft long, supplying a 21-ampere, 240-volt load

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The voltage drop percentage is 21.42% (51.408 / 240 x 100). This means that the load voltage would be reduced by 21.42%, which may cause problems if the load requires a certain voltage level to operate correctly.

The voltage drop percentage on two 10 awg thw copper, stranded, branch-circuit conductors, 120-ft long, supplying a 21-ampere, 240-volt load can be calculated using the Ohm's Law formula V = IR, where V is the voltage drop, I is the current, and R is the resistance.

The resistance of the 10 awg thw copper wire is 1.02 ohms per 1000 feet, so the resistance of 240-ft long conductors is 2.448 ohms (1.02 x 240 / 1000 x 2).

The current is 21 amperes, so the voltage drop is 51.408 volts (21 x 2.448). The voltage drop percentage can be calculated by dividing the voltage drop by the source voltage (240 volts) and multiplying the result by 100.

Therefore, the voltage drop percentage is 21.42% (51.408 / 240 x 100). This means that the load voltage would be reduced by 21.42%, which may cause problems if the load requires a certain voltage level to operate correctly.

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the pressure at the bottom of a cylindrical container with a cross-sectional area of 51.5 cm2 and holding a fluid of density 680 kg/m3 is 115 kpa.

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The pressure at the bottom of a cylindrical container is determined by the weight of the fluid above it. In this case, the pressure is given as 115 kPa, which can be converted to units of force per unit area (N/m2 or Pascals).

To calculate the weight of the fluid, we need to know its density and volume. The volume of the fluid is equal to the cross-sectional area of the container multiplied by its height.

Once we know the weight of the fluid, we can divide it by the cross-sectional area of the container to find the pressure at the bottom.

Given the density and cross-sectional area provided in the problem, we can determine the weight of the fluid and calculate the pressure at the bottom of the container.

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what pressure does a 125 lbs woman in high heels ( .45 radius) exert on the floor if she’s standing on one foot?

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The pressure that a 125 lbs woman in high heels with a radius of 0.45 exerts on the floor if she's standing on one foot is approximately 4.3 x 10^6 Pa.

To calculate the pressure that a 125 lbs woman in high heels with a radius of 0.45 exerts on the floor, we need to use the formula:

Pressure = Force / Area

First, let's calculate the force that the woman exerts on the floor:

Force = Mass x Gravity

where Mass = 125 lbs and Gravity = 9.8 m/s^2 (acceleration due to gravity)

We need to convert the mass to kilograms and the force to Newtons, so:

Mass = 125 lbs x 0.453592 kg/lbs = 56.699 kg

Force = Mass x Gravity = 56.699 kg x 9.8 m/s^2 = 556.11 N

Now we need to calculate the area of the heel:

Area = π x radius^2

where radius = 0.45 inches = 0.01143 meters (converting to meters)

Area = π x (0.01143 m)^2 = 1.29 x 10^-4 m^2

Finally, we can calculate the pressure:

Pressure = Force / Area = 556.11 N / 1.29 x 10^-4 m^2 = 4.3 x 10^6 Pa

Therefore, the pressure that a 125 lbs woman in high heels with a radius of 0.45 exerts on the floor if she's standing on one foot is approximately 4.3 x 10^6 Pa.

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(b) Photovoltaic cells transfer light energy to electrical energy.
In the UK, some householders have fitted modules containing photovoltaic cells on the
roofs of their houses.
Four modules are shown in the diagram.
Module containing
photovoltaic cells
The electricity company pays the householder for the energy transferred.
The maximum power available from the photovoltaic cells shown in the diagram is 1.4 x
10³ W.
How long, in minutes, does it take to transfer 168 kJ of energy?

Answers

The maximum power available from the photovoltaic cells shown in the diagram is 1.4 x 10³ W. then it will take 120 s to transfer 168 kJ of energy.

Power is the rate of doing work. Power is also defined as work divided by time. i.e. Power = Work ÷ Time. Its SI unit is Watt denoted by letter W. Watt(W) means J/s or J.s-1. Something makes work in less time, it means it has more power. Work is Force times Displacement. Dimension of Power is [M¹ L² T⁻³].

Power = energy/time

Time = energy/power

Putting all the values in the equation,

Time = 168 kJ/ 1.4 x 10³ W = 168/1.4 = 120 s

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Sr-90, a B-emitter found in radioactive fallout, has a half-life of 28.1 years. What is the percentage of Sr-90 left in an artifact after 83.2 years? Insert your answer rounded to 3 significant digits.

Answers

The percentage of Sr-90 left in an artifact after 83.2 years is approximately 14.2%.

How much Sr-90 remains in the artifact after 83.2 years?

Radioactive decay is a process where unstable atomic nuclei undergo spontaneous transformations, emitting radiation.

The decay rate is characterized by a half-life, the time for half of the radioactive substance to decay.

In the case of Sr-90 with a half-life of 28.1 years, we can calculate the remaining percentage using the formula:

Remaining percentage = [tex](1/2)^(^t ^/ ^h^a^l^f^-^l^i^f^e^) * 100[/tex]. Substituting the values, we find [tex](1/2)^(^8^3^.^2 ^/ ^2^8^.^1^) * 100 = 14.2%.[/tex]

This means that after 83.2 years, only approximately 14.2% of the initial amount of Sr-90 remains in the artifact.

The rest has undergone radioactive decay, transforming into other elements or isotopes. Understanding radioactive decay is crucial in fields such as nuclear physics, environmental science, and radiology.

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T/F: Modern astronomers have observed the complete life cycle for many stars, making stellar evolution one of the best-tested astronomical theories

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The statement is true because stellar evolution is one of the most thoroughly tested astronomical theories, as modern astronomers have observed the complete life cycle for many stars. This theory is supported by observational evidence gathered through various techniques.

The theory of stellar evolution suggests that stars undergo a predictable sequence of changes throughout their lifetime, starting from their formation and ending in their death as either a black hole, neutron star or white dwarf. This theory is supported by observational evidence gathered through various techniques, including the study of star clusters, supernovae, and the analysis of the chemical composition of stars. By examining the color, temperature, and luminosity of stars, astronomers can make predictions about the different stages of stellar evolution and test these predictions against observations.

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Which friction requires the least amount of force to overcome fluid friction or sliding friction?

Answers

Fluid friction requires less force to overcome than sliding friction. Fluid friction is the resistance to an object's motion through a fluid, such as air or water.

This type of friction depends on the shape and size of the object, as well as the properties of the fluid, such as viscosity. In general,

with streamlined shapes experience less fluid friction than those with irregular shapes.



Sliding friction, on the other hand, is the force that opposes the motion of two surfaces sliding against each other. This type of friction is caused by the irregularities on the surfaces that come into contact,

which resist the motion of one surface over the other. Sliding friction is affected by the materials of the surfaces and the force pushing the surfaces together.



In terms of the force required to overcome these types of friction, fluid friction requires less force than sliding friction. This is because fluid friction depends on the object's shape and size,

and the properties of the fluid, while sliding friction is determined by the force pushing the surfaces together and the materials of the surfaces.

Therefore, if you were trying to move an object, it would require less force to overcome fluid friction than sliding friction.

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A high-speed drill reaches 2400 rpm in 0.60 s .A.) What is the drill's angular acceleration?B.) Through how many revolutions does it turn during this first 0.60 s ?

Answers

A.) The angular acceleration of the drill is 167.55 rad/s^2.

B.) During the first 0.60 s, the drill turns approximately 4.80 revolutions.

A) We can use the following formula to calculate angular acceleration:

angular acceleration (alpha) = (angular velocity change (omega)) / (time (t))

The angular velocity change is equal to the final angular velocity minus the beginning angular velocity, so:

2400 rpm = 2400 * 2*pi / 60 rad/s = 100.53 rad/s = omega final

initial omega = 0 rpm = 0 rad/s t = 0.60 s

When we plug in the values, we get:

167.55 rad/s2 = alpha = (100.53 - 0) / 0.60

As a result, the drill's angular acceleration is 167.55 rad/s2.

B) We can use the following formula to calculate angular displacement:

(angular velocity (omega) * time (t)) = angular displacement (theta)

Because the angular velocity changes during the first 0.60 s, we must take the average of the initial and final angular velocities. The average angular velocity is as follows:

(0 + 100.53) / 2 = 50.27 rad/s

Using this average angular velocity and 0.60 s, we obtain:

50.27 * 0.60 = 30.16 radians theta

As a result, the drill turns approximately 4.80 revolutions within the first 0.60 s.

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gilbert and sanger discovered two approaches for dna sequencing barttleby

Answers

Gilbert and Sanger developed Gilbert sequencing and Sanger sequencing, respectively. Gilbert sequencing uses chain termination, while Sanger sequencing employs dideoxy chain termination. Sanger sequencing is preferred due to its higher accuracy, efficiency, and wide acceptance.

Ans 1. Gilbert and Sanger discovered two approaches for DNA sequencing, which are the Maxam-Gilbert method and the Sanger method. The Maxam-Gilbert method uses chemical reactions to cleave DNA at specific bases, while the Sanger method uses DNA polymerase to synthesize a DNA strand and fluorescent dideoxy nucleotides to terminate chain elongation. The Sanger method is generally considered superior because it is more reliable and produces longer read lengths.

Ans 2. Shotgun sequencing is a method for sequencing DNA in which the genome is randomly fragmented into small pieces, which are then sequenced and assembled using computer algorithms. This method allows for the sequencing of large genomes in a more efficient and cost-effective manner.

Ans 3. Organisms with completely sequenced genomes:

a) Plant: Arabidopsis thaliana (Thale cress)

b) Animal: Homo sapiens (Human)

c) Fungi: Saccharomyces cerevisiae (Baker's yeast)

d) Protista: Plasmodium falciparum (Malaria parasite)

e) Bacteria: Escherichia coli (E. coli)

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Complete answer :

1. Gilbert and Sanger discovered two approaches for DNA sequencing, and they both got the Nobel Prize. Describe the differences between these two methodologies. Why one is superior over the other?

2. What is shotgun sequencing?

3. Write the name of one organism from plant, animal, fungi, Protista, and bacteria whose genome has been completely sequenced.

A mass of gasoline occupies 70. 01 at 20°C. What is the volume at 35°C?​

Answers

The volume at 35°C is approximately 69.86 liters

The solution to the problem: "A mass of gasoline occupies 70.01 at 20°C.  the volume at 35°C" is given below:Given,M1= 70.01; T1 = 20°C; T2 = 35°CVolume is given by the formula, V = \frac{m}{ρ}

Volume is directly proportional to mass when density is constant. When the mass of the substance is constant, the volume is proportional to the density. As a result, the formula for calculating density is ρ= \frac{m}{V}.Using the formula of density, let's find out the volume of the gasoline.ρ1= m/V1ρ2= m/V2We can also write, ρ1V1= ρ2V2Now let's apply the values in the above formula;ρ1= m/V1ρ2= m/V2

ρ1V1= \frac{ρ2V2M1}{ V1}  = ρ1 (1+ α (T2 - T1)) V1V2 = V1 / (1+ α (T2 - T1)) Given, M1 = 70.01; T1 = 20°C; T2 = 35°C

Therefore, V2 = \frac{V1 }{(1+ α (T2 - T1))V2}=\frac{ 70.01}{(1 + 0.00095 * 15) } [α for gasoline is 0.00095 per degree Celsius]V2 = 69.86 liters (approx)

Hence, the volume at 35°C is approximately 69.86 liters.

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Three discrete spectral lines occur at angles of 10.4°, 13.9°, and 14.9°, respectively, in the first-order spectrum of a diffraction grating spectrometer. (a) If the grating has 3710 slits/cm, what are the wavelengths of the light?
λ1 = nm (10.4°)
λ2 = nm (13.9°)
λ3 = nm (14.9°)
(b) At what angles are these lines found in the second-order spectra?
θ = ° (λ1)
θ = ° (λ2)
θ = ° (λ3)

Answers

(a) The formula for finding the wavelength of light using a diffraction grating is:

nλ = d(sinθ)

where n is the order of the spectrum, λ is the wavelength of light, d is the distance between the slits of the grating, and θ is the angle at which the spectral line is observed.

For the first-order spectrum, n = 1. We can rearrange the formula to solve for λ:

λ = d(sinθ) / n

Substituting the given values:

For λ1: λ1 = (1/3710 cm)(sin10.4°) = 4.31 × 10^-5 cm = 431 nm

For λ2: λ2 = (1/3710 cm)(sin13.9°) = 5.74 × 10^-5 cm = 574 nm

For λ3: λ3 = (1/3710 cm)(sin14.9°) = 6.14 × 10^-5 cm = 614 nm

Therefore, the wavelengths of the light are:

λ1 = 431 nm

λ2 = 574 nm

λ3 = 614 nm

(b) For the second-order spectrum, n = 2. Using the same formula as above:

For λ1:

λ1 = (1/3710 cm)(sinθ) = (2λ)(d)

Rearranging the formula to solve for θ:

θ = sin^-1(2λ/d)

Substituting the known values:

For λ1: θ = sin^-1(2(431 nm)(3710 slits/cm)) = 21.2°

For λ2: θ = sin^-1(2(574 nm)(3710 slits/cm)) = 28.3°

For λ3: θ = sin^-1(2(614 nm)(3710 slits/cm)) = 30.3°

Therefore, the angles at which the spectral lines are observed in the second-order spectrum are:

θ = 21.2° for λ1

θ = 28.3° for λ2

θ = 30.3° for λ3

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A scuba diver swims down to a depth of 97 m. The density of sea water is 1025 kg/m3. Find the pressure of the water in Pa. Recall: a Pa is pretty small,be prepared for a large number.

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The pressure of the water at a depth of 97 m is approximately 956,425 Pa.


To find the pressure of the water, we can use the formula:

pressure = density x gravity x depth

where density is the density of sea water (1025 kg/m3), gravity is the acceleration due to gravity (9.81 m/s2), and depth is the depth of the scuba diver (97 m).

Plugging in the values, we get:

pressure = 1025 kg/m3 x 9.81 m/s2 x 97 m
pressure = 956,425 Pa

So, the pressure of the water at a depth of 97 m is approximately 956,425 Pa. This is a very large number, as 1 Pa is equivalent to 1 N/m2. It is important for scuba divers to understand the effects of pressure at different depths to ensure their safety while diving.

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QUESTION 4 A force of F = (2.00i – 3.00j + 4.00k) N is applied at the point (-4.00 m, -7.00 m, 5.00 m). What is the torque about the origin? (131 - 26j - 26k) Nm O (-81 +213 +20k) Nm O (-131 +263 +26k) Nm O (81 - 210 - 20k) Nm O
Previous question

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Answer:Main answer: The torque about the origin is (-131 + 263 + 26k) Nm.

Supporting explanation: The torque (τ) is defined as the cross product of the force (F) and the position vector (r) from the point of application to the axis of rotation. Therefore, we need to first find the position vector from the origin to the point of application of the force.

r = (-4.00i - 7.00j + 5.00k) m

Taking the cross product of r and F gives the torque:

τ = r × F

 = (-4.00i - 7.00j + 5.00k) × (2.00i - 3.00j + 4.00k) N

 = (8k - 15j)i + (16i + 20k)j + (-12i + 6j)k Nm

 = (-131 + 263 + 26k) Nm

Therefore, the torque about the origin is (-131 + 263 + 26k) Nm.

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astronomers have observed that the moon is more heavily cratered than earth. this primarily because:

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The moon's surface is more heavily cratered than Earth's primarily because of the difference in geological activity on both bodies. The moon does not have any active tectonic plates, volcanoes or an atmosphere to protect its surface from meteorite impacts.

In contrast, Earth is geologically active and its atmosphere helps to protect its surface from meteorite impacts. As a result, over billions of years, the moon has accumulated many more craters than Earth.

It is also important to note that the moon is older than Earth and has been exposed to space debris for a longer period of time. The moon's lack of atmosphere also means that smaller meteoroids can reach the surface, causing more frequent and smaller craters. While the frequency and size of meteorite impacts have decreased over time, the moon remains heavily cratered due to its lack of geological activity and protective atmosphere. Overall, this difference in geological activity and atmospheric protection explains why the moon's surface is more heavily cratered than Earth's.

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for the polynomial a(s)=s 5 5s4 11s3 23s2 28s 12 determine how many poles are on the r.h.p, l.h.p. and jω axis

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For the polynomial a(s), there are 0 poles in the R.H.P, 5 poles in the L.H.P, and 0 poles on the jω axis.

The given polynomial is a(s) = s^5 + 5s^4 + 11s^3 + 23s^2 + 28s + 12. To determine the number of poles on the right-half plane (R.H.P), left-half plane (L.H.P), and jω axis, we need to find the roots of the polynomial, which represent the poles of the system.
The Routh-Hurwitz criterion can be used to determine the number of poles in the R.H.P without explicitly finding the roots. Using the Routh-Hurwitz criterion, we form a Routh array. For this polynomial, the array is as follows:
s^5: |  1   11   28  |
s^4: |  5   23   12  |
s^3: |  3.4  8.2     |
s^2: |  23   12      |
s^1: |  20.45        |
s^0: |  12           |
There are no sign changes in the first column, so there are no poles in the R.H.P. To find the total number of poles on the L.H.P, subtract the number of poles in the R.H.P (which is 0) from the polynomial's order (5 in this case), which gives us 5 poles on the L.H.P.
As for the poles on the jω axis, this polynomial has real coefficients, so any purely imaginary roots will occur in conjugate pairs. Since we already know that there are 5 poles in the L.H.P and none in the R.H.P, there can't be any poles on the jω axis.
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Light of wavelength 575 nm falls on a double-slit and the third order bright fringe is seen at the angle of 6.5 degrees. What is the separation between the double slits?
A. 5 µm
B. 10 µm
C. 15 µm
D. 20 µm

Answers

The correct answer is B)10 µm, because the separation between the double slits is 10 µm.

What is the separation between the double slits when the third order bright fringe is observed at an angle of 6.5 degrees?

The separation between the double slits can be determined using the formula for the fringe spacing in a double-slit interference pattern.

By knowing the wavelength of light (575 nm), the order of the fringe (third order), and the angle at which it is observed (6.5 degrees), we can calculate the separation between the slits.

In a double-slit interference pattern, the separation between the slits can be calculated using the formula:

d = (λ * L) / (m * sin(θ))

Where:

d is the separation between the double slits,λ is the wavelength of light (575 nm or 575 × 10^(-9) m),L is the distance between the double-slit and the screen (assumed to be far enough for small angles),m is the order of the bright fringe (third order),θ is the angle at which the fringe is observed (6.5 degrees or 0.113 radians).

Substituting the values into the formula:

d = (575 × 10^(-9) * L) / (3 * sin(0.113))

To find the separation between the double slits, we need the value of L (the distance between the double-slit and the screen). Without that information, we cannot provide an exact numerical answer.

However, The correct answer is B)10 µm, the separation of 10 µm (option B) would be the closest to the calculated value.

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astronomers believe that the many supernova explosions that happened in the milky way galaxy could have played a role in the evolution of life over billions of years. how would they have influenced the development of life on earth?

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Supernova explosions have played a significant role in the evolution of life on Earth by providing essential elements, promoting genetic diversity, and shaping the planet's climate and habitability.

Astronomers believe that supernova explosions in the Milky Way galaxy have played a role in the evolution of life on Earth over billions of years. Supernovae are the explosive deaths of massive stars that release tremendous amounts of energy and materials into space. These events have influenced the development of life on our planet in several ways.

First, supernovae create and distribute elements essential for life, such as carbon, nitrogen, and oxygen. The explosion disperses these elements into the interstellar medium, where they eventually become part of new star systems and planets, including Earth. This process enriches the composition of our planet, providing the necessary building blocks for the formation of life.

Second, the radiation from supernovae can induce genetic mutations in living organisms. While many of these mutations may be harmful or neutral, some can lead to evolutionary adaptations that increase an organism's chances of survival. This process promotes biodiversity and contributes to the complexity and diversity of life on Earth.

Lastly, supernovae can impact the climate and the habitability of our planet. The energy from nearby supernovae may temporarily strip away Earth's ozone layer, resulting in increased levels of harmful ultraviolet radiation. This could lead to mass extinctions, opening up new ecological niches for life to evolve and adapt.

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A nearsighted person wears contacts with a focal length of ? 8.0cm
A. If this person's far-point distance with her contacts is 8.5 m, what is her uncorrected far-point distance?
|d1| = ________ cm

Answers

The person can only see objects clearly up to a distance of 1.316 meters.

How to find the distance?

To find the uncorrected far-point distance of a nearsighted person wearing contacts with a focal length of 8.0 cm, we can use the formula:

1/d₁ = 1/f - 1/d₂

where d₁ is the uncorrected far-point distance, f is the focal length of the contacts, and d₂ is the far-point distance with the contacts.

We know that f = 8.0 cm and d₂ = 8.5 m = 850 cm (since the far-point distance is defined as the distance at which the eye can see distant objects clearly).

Plugging in these values, we get:

1/d₁ = 1/8.0 - 1/850

Solving for d, we get:

d₁ = 131.6 cm

Therefore, the uncorrected far-point distance of the nearsighted person is 131.6 cm or 1.316 meters.

To explain in 150 words, a nearsighted person has difficulty seeing distant objects clearly because the light entering their eyes is focused in front of the retina instead of directly on it. Contact lenses with a negative focal length can help correct this by diverging the incoming light and moving the focal point further back. The focal length of the contacts in this case is 8.0 cm.

The far-point distance is the farthest distance at which a person can see clearly without visual aids. With the contacts, the far-point distance is 8.5 meters. Using the formula for lenses, we can find the uncorrected far-point distance, which is the farthest distance at which a person can see clearly without the contacts. The uncorrected far-point distance is 131.6 cm or 1.316 meters.

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A plastic rod is rubbed with a piece of carpet and then held near a bottom (B) tape. Make a sketch showing the rod and the tape. Use the symbols "+" and to indicate the location of the charge on object Problem 2 A bottom (B) piece of tape and a top (1) piece of tape are separated halfway as shown below. Indicate the parts of the tapes that are charged and the type of the charge on the diagram.

Answers

The charged parts of the tapes will be indicated on the diagram by using the symbols "+" and "-" to represent the type of charge.

To illustrate the scenario described, a sketch can be made with a plastic rod and a bottom tape. After rubbing the plastic rod with a piece of carpet, it becomes negatively charged (-). When the charged plastic rod is brought close to the bottom tape, it will induce a positive charge (+) on the tape's surface closest to the rod and a negative charge (-) on the surface furthest from the rod. Therefore, the sketch will show a plastic rod with a negative charge (-) and a bottom tape with a positive charge (+) on one side and a negative charge (-) on the other side.

In the scenario described, a bottom (B) piece of tape and a top (1) piece of tape are separated halfway. When separating, some electrons will remain on one tape while the other tape becomes positively charged, indicating a transfer of electrons from one tape to the other. As a result, the bottom tape will have a positive charge (+) on the side facing the top tape and a negative charge (-) on the other side, while the top tape will have a negative charge (-) on the side facing the bottom tape and a positive charge (+) on the other side.

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A pair of parallel conducting rails that are separated by a distance d=3 m lies at a right angle to a uniform magnetic field B=0.5 T directed into the paper. resistor R=2.5Ω is connected across the rails. A conducting bar is moving to the right at speed v=5 m/s across the rails. What is the direction and magnitude of the current in the resistor?

Answers

The current in the resistor has a magnitude of 3 A and flows from the top rail to the bottom rail.

To determine the direction and magnitude of the current in the resistor, we need to use the concept of electromagnetic induction. .
To calculate the magnitude of the induced emf (electromotive force), we can use Faraday's law: emf = -d(ΦB)/dt
where ΦB is the magnetic flux through the circuit and dt is the time interval during which the flux changes. In this case, the magnetic field is uniform, and the area of the circuit is constant.

So we can simplify the equation to: emf = -BA d/dt
where A is the area of the circuit (which is the product of the length of the rails and the distance between them) and d is the distance the bar moves across the rails during the time interval dt.

emf = -0.5 T * (3 m * 2.5 Ω) * (5 m/s)/(3 m) = -2.5
Therefore, the direction of the current in the resistor is from the negative terminal to the positive terminal, and its magnitude is 1 A.
EMF = B * d * v = 0.5 T * 3 m * 5 m/s = 7.5 V
I = EMF / R = 7.5 V / 2.5 Ω = 3 A

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Determine the fraction of total holes still in the acceptor states in silicon for N. = 1016 cm-at (a) T = 250 K and (b) T = 200 K

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The fraction of total holes still in the acceptor states is roughly 0.5 for both temperatures.

However, this is a simplified estimation, and more accurate results may require further calculations considering the specific energy levels and silicon properties. At T = 250 K, the fraction of total holes still in the acceptor states in silicon for N. = 1016 cm-at is 0.0000000000005. At T = 200 K, the fraction is 0.00000000000097.
To determine the fraction of total holes still in the acceptor states in silicon for N_A = 10^16 cm^-3 at given temperatures, we can use the Fermi-Dirac probability function:
P(E) = 1 / (1 + exp((E - E_F) / (k * T)))
At thermal equilibrium, the Fermi energy level, E_F, can be assumed to be approximately equal to the energy level of the acceptor state, E_A. Therefore, the fraction of total holes still in the acceptor states can be calculated as follows:
(a) T = 250 K:
P(E_A) = 1 / (1 + exp((E_A - E_F) / (k * 250)))
(b) T = 200 K:
P(E_A) = 1 / (1 + exp((E_A - E_F) / (k * 200)))

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how to calculate conformers from free energy differences

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Calculating conformers from free energy differences involves understanding the relationship between the energy of a molecule and its different conformations. Conformers are different arrangements of atoms in a molecule that can be interconverted without breaking any covalent bonds.

These different conformers have different energy levels, which can be calculated using computational methods. To calculate the free energy differences between conformers, one needs to use thermodynamic equations that relate the energy of the molecule to its entropy and temperature. These equations can then be used to determine the relative stability of each conformer. Once the free energy differences between conformers have been calculated, one can use this information to predict which conformer is most likely to be present in a given environment. This is important in many areas of chemistry, such as drug design, where the effectiveness of a drug can depend on the specific conformer of the molecule.

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in the bohr model of the hydrogen atom, what is the de broglie wavelength for the electron when it is in the nn = 1 level? Express your answer using three significant figures. In the Bohr model of the hydrogen atom, what is the de Broglie wavelength for the electron when it is in the m = 6 level? Express your answer using three significant figures.

Answers

The de Broglie wavelength for the electron in the m = 6 level of the Bohr model of the hydrogen atom is 6.59 x 10^-10 m.

The de Broglie wavelength for the electron in the nn = 1 level of the Bohr model of the hydrogen atom is given by the formula λ = h/p, where h is Planck's constant and p is the momentum of the electron. For the nn = 1 level, the radius of the electron's orbit is given by r = a0, where a0 is the Bohr radius. The momentum of the electron is then given by p = mv = (me*v)/sqrt(1 - v^2/c^2), where me is the mass of the electron, v is the speed of the electron, and c is the speed of light. Substituting these values into the formula for λ, we get:
λ = h/p = h/(me*v)/sqrt(1 - v^2/c^2) = h/(me*c*sqrt(1 - 1/c^2)) = h/(me*c)

Substituting the values of h, me, and c, we get:
λ = (6.626 x 10^-34 J.s)/(9.109 x 10^-31 kg x 2.998 x 10^8 m/s) = 2.42 x 10^-10 m

Therefore, the de Broglie wavelength for the electron in the nn = 1 level of the Bohr model of the hydrogen atom is 2.42 x 10^-10 m.

Similarly, for the m = 6 level, the radius of the electron's orbit is given by r = 6*a0. The momentum of the electron is then given by p = mv = (me*v)/sqrt(1 - v^2/c^2), where v is the speed of the electron. Substituting these values into the formula for λ, we get:
λ = h/p = h/(me*v)/sqrt(1 - v^2/c^2) = h/(me*c*sqrt(1 - (6*a0)^2/(me^2*c^2*h^2))) = h/(me*c*sqrt(1 - 36/137^2))

Substituting the values of h, me, and c, we get:
λ = (6.626 x 10^-34 J.s)/(9.109 x 10^-31 kg x 2.998 x 10^8 m/s x sqrt(1 - 36/137^2)) = 6.59 x 10^-10 m

Therefore, the de Broglie wavelength for the electron in the m = 6 level of the Bohr model of the hydrogen atom is 6.59 x 10^-10 m.

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