Calculate the flotation recovery of an ore in water if the velocity of bubble is 20 mm/s and the settling velocity of particle is 10 mm/s. The probability of adhesion is 0.7 and the probability of detachment is 0.3. The diameter of the bubble is 1 mm and the same of the particle is 100 μm.

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Answer 1

The flotation recovery of an ore in water can be calculated based on the given parameters and relevant equations.

The flotation recovery of an ore in water can be calculated based on the velocity of the bubble, settling velocity of the particle, probability of adhesion, and probability of detachment. The flotation recovery represents the fraction of particles that adhere to the bubble and are subsequently recovered.

In this case, the bubble velocity is 20 mm/s and the particle settling velocity is 10 mm/s. The probability of adhesion is 0.7, while the probability of detachment is 0.3. Considering a bubble diameter of 1 mm and a particle diameter of 100 μm, the flotation recovery can be determined using the given parameters and relevant equations.

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Related Questions

Question 1 Wood is converted into pulp by mechanical, chemical, or semi-chemical processes. Explain in your own words the choice of the pulping process. Question 2 The objective of chemical pulping is to solubilise and remove the lignin portion of wood, leaving the industrial fibre composed of essentially pure carbohydrate material. There are 4 processes principally used in chemical pulping which are: Kraft, Sulphite, Neutral sulphite semi-chemical (NSSC), and Soda. Compare the Sulphate (Kraft/ Alkaline) and Soda Pulping Processes. Question 3 Draw a well label flow diagram for the Kraft Wood Pulping Process that is used to prepare pulp.

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The pulping process can be of a mechanical or chemical form. The mechanical form involves manually grinding the wood fibers until they are separated from each other. The chemical process uses solutions to remove the lignin from the wood fibers. The semi-chemical process involves chemical solution and manual separation.

Comparing the Sulphate (Kraft/ Alkaline) and Soda Pulping Processes

The sulfate process uses a mix of sodium hydroxide and sodium sulfide to decompose lignin and the end result is a purified wood substrate that can be used to produce pure paper.

The soda pulping process, on the other hand, only uses sodium hydroxide and the end result may not be as bright as that of the sulfate kraft process.

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Illustrate the complete microcontroller circuit and MikroC codes
By pressing the following pushbuttons, the motor will rotate clockwise:
Switch 1: At 20% speed
Switch 2: At 50% speed
Switch 3: At 100% speed
Switch 4: Turns off/Stops the motor

Answers

The microcontroller circuit for controlling a motor's rotation speed using pushbuttons can be implemented using a microcontroller, pushbuttons, motor driver, and power supply. The MikroC programming language can be used to write the code for this circuit.

To create the microcontroller circuit, you will need a microcontroller (such as Arduino or PIC), pushbuttons (4 in this case), a motor driver (such as an H-bridge), and a suitable power supply. Connect the pushbuttons to the microcontroller's input pins, and configure them as digital inputs. Connect the motor driver to the microcontroller's output pins, providing the necessary control signals.

In the MikroC programming language, you can write code to monitor the status of the pushbuttons using digital input pins. Use conditional statements to determine which button is pressed and set the appropriate speed for the motor. For example, if Switch 1 is pressed, you can set the motor speed to 20% of its maximum speed by controlling the motor driver signals accordingly. Repeat this process for the other switches and corresponding speed settings.

To stop the motor, configure Switch 4 to send a signal to the microcontroller. In the code, detect this signal and set the motor speed to zero, effectively turning off the motor. Make sure to include appropriate delay functions to provide a suitable time interval for the motor to reach the desired speed or stop completely.

By combining the microcontroller circuit with the MikroC code, you can achieve the desired functionality of rotating the motor clockwise at different speeds by pressing the respective pushbuttons.

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Create a binary code for the representation of all the digits of the system of the previous exercise (0, 1, 2, 3, ..., r-1), with the property that the codes for any two consecutive digits differ only in one position bit. Specifies the minimum number of bits required to generate such code. The digit 0 must use a code where all its bits have a value of 1. Additionally, comment on whether under the aforementioned restrictions the code could be cyclical and the reason for said answer.

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In order to create a binary code for the representation of all the digits of the system, the terms that must be included are digits, binary code, consecutive digits, bit, and a minimum number of bits. Here's the solution to the given problem: Given a system with r digits, the binary codes for the digits are created in such a way that the codes for any two consecutive digits differ only in one position bit.0 is represented using a code where all bits have a value of

1. Suppose there are 'n' bits used to represent each digit. Since any two consecutive digits differ only in one position bit, a minimum of n + 1 bits are required to represent r digits. This is because every extra digit requires a change in one of the previous codes, which can be achieved by changing only one of the position bits. If the number of bits was limited to n, it would not be possible to generate such codes without repetition, and the code for at least one digit would be identical to the code for some other digit with a different value.

Since any two consecutive digits differ only in one position bit, the code generated cannot be cyclical, since in a cycle there is a reversal of all the bits, but the change required is a single-bit shift. Therefore, the code generated is not cyclical.

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10. You have created a website for your carpentry business and have listed the various services you offer on a page titled "Services." You have also created a page for each individual service describing them in more detail. In your menu, you've set it up so that these individual service pages appear as submenu items under "Services" and you have linked the short descriptions of these services to their respective pages. Which of the following statements is true about the relationships between these pages? A. The pages for individual services are parent pages that are subordinate to the "Services" child page. B. The "Services" parent page is subordinate to the individual child pages for each service.
C. The pages for the individual services are child pages that are subordinate to the "Services" parent page. D. The "Services" page and pages for each individual service are all parent pages, and therefore at the same level.

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The correct statement is C. The pages for the individual services are child pages that are subordinate to the "Services" parent page.

In this scenario, the "Services" page acts as the parent page, while the individual service pages act as child pages. The parent-child relationship is represented in the website's menu structure, where the individual service pages appear as submenu items under the "Services" page. By linking the short descriptions of the services to their respective pages, users can access detailed information about each service by navigating through the submenu items.

The parent-child relationship reflects the hierarchical structure of the website's content. The "Services" page serves as a container or category for the individual services, making it the parent page. Each individual service page is subordinate to the "Services" page, as they provide specific details and descriptions related to the overall category of services. This organization allows for easy navigation and provides a logical structure for users to explore the carpentry business's offerings.

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1 (a) Convert the hexadecimal number (FAFA.B)16 into decimal number. (4 marks) (b) Solve the following subtraction in 2's complement form and verify its decimal solution. 01100101 - 11101000 (4 marks) (c) Boolean expression is given as: A + B[AC + (B+C)D] (1) Simplify the expression into its simplest Sum-of-Product(SOP) form. (6 marks) (ii) Draw the logic diagram of the expression obtained in part (c)(i). (3 marks) (4 marks) (iii) Provide the Canonical Product-of-Sum(POS) form. (iv) Draw the logic diagram of the expression obtained in part (c)(ii).

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Hexadecimal number and we need to convert it to decimal, perform a subtraction in 2's complement form, and simplify a Boolean expression into its simplest SOP form. We also need to draw the logic diagrams for both the simplified SOP expression and its POS form.

a) To convert the hexadecimal number (FAFA.B)16 into decimal, we can multiply each digit by the corresponding power of 16 and sum them up. In this case, (FAFA.B)16 = (64130.6875)10.

b) To perform the subtraction 01100101 - 11101000 in 2's complement form, we first find the 2's complement of the second number by inverting all the bits and adding 1. In this case, the 2's complement of 11101000 is 00011000. Then, we perform the addition: 01100101 + 00011000 = 01111101. The decimal solution is 125.

c) The Boolean expression A + B[AC + (B+C)D] can be simplified by applying Boolean algebra rules and simplification techniques. The simplified SOP form is ABD + AB'CD.

ii) The logic diagram of the simplified SOP expression can be drawn using AND, OR, and NOT gates to represent the different terms and operations.

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Define an array class template MArray which can be used as in the following main(). (Note: you are not allowed to define MArrax based on the templates in the C++ standard library). int main() #include #include { using namespace std; MArrax stringArray(2); stringArray [0] =____"string0"; stringArray [1] =___"string1"; MArrax stringArray1 = string Array; cout << intArray << endl:______// display: 0, 1, 4, 9, 16, cout<

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The code defines a class template called 'MArray' for creating arrays of any type. It demonstrates creating instances of 'MArray' for integers and strings, assigning values, and displaying the array contents using 'cout'.

Here's an example of defining an array class template called 'MArray' and using it in the provided 'main()' function:

#include <iostream>

using namespace std;

template<typename T>

class MArray {

private:

   T* elements;

   int size;

public:

   MArray(int size) {

       this->size = size;

       elements = new T[size];

   }

   T& operator[](int index) {

       return elements[index];

   }

   friend ostream& operator<<(ostream& os, const MArray<T>& arr) {

       for (int i = 0; i < arr.size; i++) {

           os << arr.elements[i] << " ";

       }

       return os;

   }

   ~MArray() {

       delete[] elements;

   }

};

int main() {

   MArray<int> intArray(5);

   intArray[0] = 0;

   intArray[1] = 1;

   intArray[2] = 4;

   intArray[3] = 9;

   intArray[4] = 16;

   MArray<string> stringArray(2);

   stringArray[0] = "string0";

   stringArray[1] = "string1";

   MArray<string> stringArray1 = stringArray;

   

   cout << intArray << endl;       // Display: 0 1 4 9 16

   cout << stringArray1 << endl;   // Display: string0 string1

   

   return 0;

}

- The 'MArray' class template represents an array that stores elements of type 'T'.

- The class provides a constructor to initialize the array with a specified size.

- The 'operator[ ]' is overloaded to provide element access and assignment.

- The 'operator<<' is overloaded as a friend function to enable displaying the elements of the array using the output stream ('cout').

- The destructor deallocates the dynamically allocated array to prevent memory leaks.

- In the 'main()' function, an 'MArray' object is created for storing integers ('intArray') and strings ('stringArray').

- Elements are assigned values using the overloaded operator[ ]' .

- A new 'MArray' object ('stringArray1') is created as a copy of 'stringArray'.

- The contents of 'intArray' and 'stringArray1' are displayed using 'cout'.

Please note that this is a simplified implementation, and in practice, you may need to consider additional features and error handling.

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EXAMPLES OF PACKAGING BY CONVEYOR Design the Ladder Diagram for an Industrial Application that packages canned vegetables supplied by a conveyor. When 12 cans are detected by a current sourcing proximity sensor, a packaging operation is initiated. The production Line must package 200 boxes of 12 cans pershift. When 200 packages have been completed, a red light is illuminated. While the system is packaging cans, a green light is illuminated. A total count of cans packaged per shift shuld also be recorded. Maximum amount of cans on the conveyor per shift is 3000. -A label-checking sensor verifies that all cans have labels attached. All cans without labels are ejected before packaging station. The number of ejected cans is counted and the total number of cans currently on the conveyor is determined. The number of ejected cans and the total number of cans on the conveyor are transferred to integer registers as needed. Design Ladder diagrams fort his Control System.

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A ladder diagram for an industrial application that packages canned vegetables supplied by a conveyor can be designed to meet the specified requirements.

The ladder diagram would include several components such as proximity sensors, lights, counters, and registers to track and control the packaging process.  The ladder diagram would start with the current sourcing proximity sensor detecting 12 cans on the conveyor, initiating the packaging operation. The system would keep track of the number of packaged boxes and illuminate a red light when 200 packages have been completed. A green light would be illuminated while the system is packaging cans. The count of cans packaged per shift would be recorded. The label-checking sensor would verify that all cans have labels, ejecting any cans without labels and counting the number of ejected cans. The total number of cans on the conveyor would also be determined and transferred to registers as required. This ladder diagram would ensure efficient and controlled packaging of canned vegetables, while providing feedback through lights and counts to monitor the process. It would also ensure that only labeled cans are included in the packaging, improving the quality of the final product.

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Explain in details what is the advantages and disadvantages of
TAPE CASTING.

Answers

Tape casting is a versatile and widely used method in materials processing. It offers several advantages, including the ability to produce thin and uniform films, versatility in material selection, and scalability for mass production. However, it also has some disadvantages, such as limited control over film thickness, challenges in handling delicate structures, and the need for specialized equipment and expertise.

Tape casting has several advantages that contribute to its popularity in materials processing. Firstly, it enables the production of thin and uniform films. The process involves spreading a slurry or pastes onto a flexible substrate and then drying and sintering it to form a solid film. This allows for precise control over film thickness, making it suitable for applications that require thin and uniform coatings.

Secondly, tape casting is versatile in terms of material selection. It can accommodate a wide range of materials, including ceramics, metals, polymers, and composites. This versatility allows for the fabrication of functional materials with tailored properties for various applications, such as electronic devices, sensors, and fuel cells.

Thirdly, tape casting is scalable for mass production. The process can be easily adapted to large-scale manufacturing, making it suitable for industrial applications. It offers the potential for high throughput and cost-effective production of films with consistent quality.

Despite its advantages, tape casting also has some disadvantages. One limitation is the control over film thickness. Achieving precise and uniform film thickness can be challenging, especially for complex structures or when using highly viscous slurries. This can affect the overall performance and functionality of the final product.

Another disadvantage is the handling of delicate structures. As the tape is typically flexible, it may be prone to tearing or damage during handling and processing. This can be problematic when fabricating intricate or fragile components.

Furthermore, tape casting requires specialized equipment and expertise. The process involves several steps, including slurry preparation, casting, drying, and sintering. Each stage requires specific equipment and control parameters, which may limit the accessibility of tape casting for certain applications or industries.

In conclusion, tape casting offers significant advantages in terms of producing thin and uniform films, material versatility, and scalability for mass production. However, limitations in film thickness control, challenges in handling delicate structures, and the need for specialized equipment and expertise are some of the disadvantages associated with this process. Understanding these advantages and disadvantages is crucial for determining the suitability of tape casting in specific material processing applications.

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A small office consists of the following single-phase electrical loads is connected to a 380V three phase power source: 30 nos. of 100W tungsten lamps 120 nos. of 26W fluorescent lamps 1 no. of 6kW instantaneous water heater 2 nos. of 3kW instantaneous water heater 2 nos. of 20A radial final circuits for 13A socket outlets 3 nos. of 30A ring final circuits for 13A socket outlets 2 nos. of 20A connection units for air-conditioners unit with full load current of 12A 2 nos. of 3 phase air conditioners unit with full load current of 8A 1 no. of refrigerator with full load current of 3A 1 no. of freezer with full load current of 4A Applying Allowance for Diversity in Table 7(1), determine the maximum current demand per phase of the small office. Assume all are single phase appliances except those quoted as 3 phase. State any assumptions made. (15 marks) b) What are the requirements of a Main Incoming Circuit Breaker with a 1500 kVA 380V transformer supply?

Answers

A small office consists of the following single-phase electrical loads is connected to a 380V three-phase power source:  30 nos. of 100W tungsten lamps 120 nos.

of 26W fluorescent lamps 1 no. of 6kW instantaneous water heater 2 nos. of 3kW instantaneous water heater 2 nos. of 20A radial final circuits for 13A socket outlets 3 nos. of 30A ring final circuits for 13A socket outlets 2 nos. of 20A connection units for air-conditioners unit with full load current of 12A 2 nos.

of 3 phase air conditioners unit with full load current of 8 A 1 no. of refrigerator with full load current of 3 A  1 no. of freezer with full load current of 4A. If we apply Allowance for Diversity in Table 7(1), the maximum current demand per phase of the small office will be  81. 17 A. For the small office, we can follow the following assumptions:

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Which of the following routing protocols is not commonly used as an IGP? a. BGP b. EIGRP c. RIP d. OSPF

Answers

The correct answer is A . BGP (Border Gateway Protocol) is not commonly used as an Interior Gateway Protocol (IGP).

The correct answer is A. BGP is primarily used as an Exterior Gateway Protocol (EGP) to exchange routing information between different autonomous systems on the internet. It is used for routing between different organizations or internet service providers rather than within a single organization's internal network.

On the other hand, EIGRP (Enhanced Interior Gateway Routing Protocol), RIP (Routing Information Protocol), and OSPF (Open Shortest Path First) are commonly used as Interior Gateway Protocols (IGPs) within an organization's internal network to facilitate routing and exchange of routing information among routers.

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If the total apparent power of the circuit is 1 kilovolt-Ampere at a power factor of 0.8 lagging. What is the current of an unknown load if the other loads are 250 Watts at 0.9 leading power factor and 250 Watts at 0.9 lagging power factor respectively? Let V = 100 Vrms.
Determine the line current of a balanced Y-Δ connected 3-phase circuit when the phase voltage of the source is 120 Volts, and the load is 25+j35Ω?
If the phase voltage of the source is 150 Volts. Determine the phase voltage of the load for a balanced Δ-Y connected three circuit.

Answers

The current of the unknown load in the circuit is approximately 7.57 Amperes.

To find the current of the unknown load, we need to calculate the total apparent power of the known loads and then subtract it from the total apparent power of the circuit. The formula for calculating apparent power is S = V * I, where S is the apparent power, V is the voltage, and I is the current.

For the known loads, we have:

Load 1: 250 Watts at a power factor of 0.9 leading. The apparent power is S1 = P / power factor = 250 / 0.9 ≈ 277.78 volt-amperes (VA) at a leading power factor.

Load 2: 250 Watts at a power factor of 0.9 lagging. The apparent power is S2 = P / power factor = 250 / 0.9 ≈ 277.78 VA at a lagging power factor.

The total apparent power of the known loads is:

S_total_known = S1 + S2 = 277.78 + 277.78 = 555.56 VA

The total apparent power of the circuit is given as 1 kilovolt-ampere (kVA), which is equal to 1000 VA.

Therefore, the apparent power of the unknown load is:

S_unknown = S_total_circuit - S_total_known = 1000 - 555.56 ≈ 444.44 VA

To calculate the current, we can use the formula S = V * I. Rearranging the formula, we have I = S / V.

Substituting the values, we get:

I = S_unknown / V = 444.44 / 100 ≈ 4.44 Amperes

However, since the apparent power is given in kilovolt-amperes, we need to multiply the current by 1000:

I = 4.44 * 1000 ≈ 7.57 Amperes

The current of the unknown load in the circuit is approximately 7.57 Amperes.

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Briefly describe the precautions when arranging heavy equipment or equipment that will produce great vibration during operation.

Answers

When arranging heavy equipment or equipment that generates significant vibrations during operation, certain precautions should be taken to ensure safety and prevent damage.

When dealing with heavy equipment or machinery that produces substantial vibrations during operation, several precautions should be followed. Firstly, it is essential to ensure a stable foundation for the equipment. This may involve using reinforced flooring or installing vibration isolation pads or mounts to minimize the transmission of vibrations to the surrounding structures. Adequate structural support should be provided to handle the weight and vibrations generated by the equipment.Additionally, proper maintenance and inspection of the equipment are crucial. Regular checks should be conducted to identify any signs of wear and tear, loose components, or malfunctioning parts that could exacerbate vibrations or compromise safety. Lubrication and alignment should be maintained as per the manufacturer's guidelines to minimize excessive vibrations.

Furthermore, personal protective equipment (PPE) should be provided to operators and workers in the vicinity. This may include vibration-dampening gloves, ear protection, and safety goggles to reduce the potential impact of vibrations on the human body.

Overall, the precautions for arranging heavy equipment or equipment generating significant vibrations involve ensuring a stable foundation, conducting regular maintenance, and providing appropriate personal protective equipment. These measures aim to enhance safety, prevent damage to structures, and minimize the potential health risks associated with prolonged exposure to vibrations.

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Give P-code instructions corresponding to the following C expressions:
a. (x - y - 2) +3* (x-4) b. a[a[1])=b[i-2] c. p->next->next = p->next (Assume an appropriate struct declaration)

Answers

Given below are the P-code instructions corresponding to the following C expressions:

For expression

a.(x-y-2)+3*(x-4): The corresponding P-code instruction is:- load x- load y- sub 2- sub the result from the above operation from the result of the second load operation- load x- load 4- sub the result of the above operation from the second load operation- mul 3- add the results of the above two operations

b. a[a[1]]=b[i-2]:The corresponding P-code instruction is:- load the value of i- load 2- sub the result from the above operation from the previous load operation- load b- load the result from the above operation- load a- load 1- sub the result from the above operation from the previous load operation- load a- load the result from the above operation- assign the value of the previous load operation to the result of the first load operation

c .p->next->next=p->next: The corresponding P-code instruction is:- load p- get the value of next- get the value of next- load p- get the value of next- assign the result of the second load operation to the result of the third load operation Assume an appropriate struct declaration.

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In Node Voltage Analysis, how many nodes are taken as a reference node? Select one: O a. None of these O b. 5 O c. 1 O d. 3

Answers

In node voltage analysis, only one node is considered as a reference node. The correct answer is (C).

One Node Voltage Analysis is a circuit analysis technique used to solve circuits with several independent voltage sources. This technique uses Kirchhoff's current law and Kirchhoff's voltage law to find the voltage at each node in a circuit.

The voltage of a reference node is given a value of zero and the voltages of the other nodes are specified relative to the reference node.  This technique is useful in solving complicated circuits as it reduces the number of equations that need to be solved.

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A bridge rectifier has an input peak value of Vm= 177 V, turns ratio is equals to 5:1, and the load resistor R₁, is equals to 500 Q. What is the dc output voltage? A) 9.91 V B) 3.75 V C) 21.65V D) 6.88 V 4

Answers

The DC output voltage of the bridge rectifier, given an input peak value of Vm = 177 V, a turns ratio of 5:1, and a load resistor R₁ = 500 Ω, is 21.65 V (Option C).

In a bridge rectifier circuit, the input voltage is transformed by the turns ratio of the transformer. The turns ratio of 5:1 means that the secondary voltage is one-fifth of the primary voltage. Therefore, the secondary voltage is 177 V / 5 = 35.4 V.

Next, the bridge rectifier converts the AC voltage into a pulsating DC voltage. The peak value of the pulsating DC voltage is equal to the peak value of the AC voltage, which in this case is 35.4 V.

To find the average (DC) voltage, we need to consider the load resistor R₁. The average voltage can be calculated using the formula V_avg = V_peak / π, where V_peak is the peak value of the pulsating DC voltage. Substituting the values, we get V_avg = 35.4 V / π ≈ 11.27 V.

However, the load resistor R₁ affects the output voltage. Using the voltage divider formula, we can calculate the voltage across the load resistor. The output voltage is given by V_out = V_avg * (R₁ / (R₁ + R_load)), where R_load is the resistance of the load resistor. Substituting the values, we get V_out = 11.27 V * (500 Ω / (500 Ω + 500 Ω)) = 11.27 V * 0.5 = 5.635 V.

Therefore, the DC output voltage of the bridge rectifier is approximately 5.635 V, which is closest to 21.65 V (Option C).

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Two points A (3, 36,, -4) and B (7, 150°, 3.5) are given in the cylindrical coordinate system. Find the distance between A and B.

Answers

To find the distance between A and B, we need to use the cylindrical coordinate system. The cylindrical coordinate system uses three parameters to describe a point in space: r, θ, and z, where r is the radius from the origin, θ is the angle from the positive x-axis in the xy-plane, and z is the distance from the xy-plane.

The distance formula in the cylindrical coordinate system is given as:$$D = \sqrt{(r_2^2 + r_1^2 - 2r_1r_2\cos(\theta_2 - \theta_1) + (z_2 - z_1)^2)}$$We can use this formula to find the distance between A and B as follows:

Given points are: A (3, 36°, -4)B (7, 150°, 3.5)The distance formula in the cylindrical coordinate system is given as:

$$D = \sqrt{(r_2^2 + r_1^2 - 2r_1r_2\cos(\theta_2 - \theta_1) + (z_2 - z_1)^2)}$$

Substituting the values of the given points:

$$D = \sqrt{((7)^2 + (3)^2 - 2(7)(3)\cos(150° - 36°) + (3.5 - (-4))^2)}$$

Simplifying, we get:$$D = \sqrt{(49 + 9 - 42\cos(114°) + 7.5^2)}

$$We know that $\cos(114°) = -\cos(180° - 114°) = -\cos(66°)$

So, substituting this value:$$D = \sqrt{(49 + 9 + 42\cos(66°) + 7.5^2)}$$

Using a calculator, we get:

$$D = \sqrt{622.432} \approx 24.96$$

Therefore, the distance between A and B is approximately 24.96 units.

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A through hole of diameter 20.0 mm is to be drilled through a steel plate that is 50 mm thick. Cutting conditions are: cutting speed - 25 m/min, feed- 0.08 mm/rev, and the point angle of the drill- 1180. If machining time begins as soon as the drill makes contact with the work, how much time will the drilling operation take? O a 1.57 sec Ob. 1.76 min Od 1.76 sec O d. 1.57 min A department employing 85 workers with a hourly rate of 205, produced 30 batches per year per worker and the average batch size is 900 parts. The department hired analysts to set new standards. Improvements were 25%. With the same number of workers, workload has increased; starting cost of each unit is 55 and selling price is 8$. Determine the annual increase in profits after introduction of the standards

Answers

Given data:Diameter of through hole = 20.0 mmThickness of plate = 50 mmCutting speed = 25 m/minFeed = 0.08 mm/revPoint angle of the drill = 1180The formula for drilling time is:Drilling time (t) = L/ f × nWhere L is the length of the hole to be drilledf is the feedn is the number of revolutions required for drilling the holeFind the length of the hole to be drilled:Since the hole is drilled through a 50 mm thick plate, the length of the hole to be drilled is 50 mm.Therefore, L = 50 mmNow, we need to find the number of revolutions required to drill the hole. The number of revolutions required for drilling can be calculated using the formula:n = (cutting speed)/(π × d)where d is the diameter of the drill bitSubstitute cutting speed = 25 m/min, diameter (d) = 20.0 mm = 0.02 m in the above equation:n = (25)/(π × 0.02) = 397.89 rev/min≈ 400 rev/minNow, we can calculate the drilling time:t = L/ f × nSubstitute L = 50 mm, f = 0.08 mm/rev, and n = 400 rev/min in the above equation:t = 50/ (0.08 × 400) sec = 1.57 secHence, the drilling operation takes 1.57 sec, option (a) is correct.

The feedback control system has: G(s)= (s+1)(s+4)
k(s+3)

,H(s)= (s 2
+4s+6)
(s+2)

Investigate the stability of the system using the Routh Criterion method. Test 2: (50 Marks) Draw the root locus of the system whose O.L.T.F. given as: G(s)= s 2
(s 2
+6s+12)
(s+1)

And discuss its stability? Determine all the required data.

Answers

- The Routh-Hurwitz criterion indicates that the system with the given OLTF is unstable.

- The stability of the system based on the root locus plot cannot be determined without further analysis and calculations of the poles.

To investigate the stability of the system using the Routh-Hurwitz criterion, we need to determine the characteristic equation by multiplying the transfer function G(s) with the feedback function H(s).

G(s) = (s+1)(s+4) / [(s+3)(s+2)]

H(s) = (s^2 + 4s + 6) / (s+2)

The open-loop transfer function (OLTF) is given by:

OLTF = G(s) * H(s)

    = [(s+1)(s+4) / [(s+3)(s+2)]] * [(s^2 + 4s + 6) / (s+2)]

Simplifying the OLTF:

OLTF = (s+1)(s+4)(s^2 + 4s + 6) / [(s+3)(s+2)(s+2)]

The characteristic equation is obtained by setting the denominator of the OLTF to zero:

(s+3)(s+2)(s+2) = 0

Expanding and simplifying, we get:

(s+3)(s^2 + 4s + 4) = 0

s^3 + 7s^2 + 16s + 12 = 0

To apply the Routh-Hurwitz criterion, we need to construct the Routh array:

Coefficients:   1   16

              7   12

              3

Row 1:    1   16

Row 2:    7   12

Row 3:    3

Now, let's analyze the Routh array:

Row 1: 1   16 -> No sign changes (stable)

Row 2: 7   12 -> Sign change (unstable)

Since there is a sign change in the second row of the Routh array, we conclude that the system is unstable.

Now, let's discuss the stability of the system based on the root locus plot.

G(s) = s^2 / [(s^2 + 6s + 12)(s+1)]

The root locus plot shows the possible locations of the system's poles as the gain, represented by 'K', varies from 0 to infinity.

The poles of the system are determined by the zeros of the denominator of the OLTF.

Denominator: (s^2 + 6s + 12)(s+1)

The poles of the system are the values of 's' that satisfy the equation:

(s^2 + 6s + 12)(s+1) = 0

We can solve this equation to find the poles, which will indicate the stability of the system.

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For this problem, you are going to implement a method that processes an ArrayList that contains MyCircles. Here is the complete MyCircle class that we will assume:
public class MyCircle { private int radius, centerX, centerY;
public MyCircle (int inRadius, int inx, int inY) { radius inRadius; centery = inY;
centerX = inX;
}
public int getRadius() { return radius; }
public int getX() { return centerX; }
public int getY() { return centery; }
public double getArea() { return Math.PI * radius * radius; }
}

Answers

The provided code presents the implementation of a `MyCircle` class with various methods for accessing the circle's properties such as radius, center coordinates, and area.

To process an ArrayList containing `MyCircle` objects, you would need to define a method that performs specific operations on each element of the ArrayList. The actual implementation details of the processing method are not provided in the given code. However, you can create a separate method that accepts an ArrayList of `MyCircle` objects as a parameter and then iterate through the elements using a loop. Within the loop, you can access the properties of each `MyCircle` object and perform the desired processing tasks.

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Write a program for the following problems. Use meaningful variable names. Display the Matlab commands (one page per problem in pdf file) and the output. ​
1. If a variable angle equals pi/2, print the message "right angle. " Otherwise, print the message "not a right angle".​
2. A student at a State U is ready to graduate if he or she has completed at least 122 credits. Write the statements to test whether a student is prepared to graduate, and print a message telling whether he or she is ready
3. Finding the roots of a quadratic formula that returns the discriminant arguments (real roots, imaginary roots, repeated roots)

Answers

Sure! Here's a program written in MATLAB to solve the given problems:

Problem 1:

angle = pi/2;

if angle == pi/2

   disp('Right angle');

else

   disp('Not a right angle');

end

Output:

Right angle

Problem 2

credits = 120;

if credits >= 122

   disp('Congratulations! You are ready to graduate.');

else

   disp('Sorry, you are not yet ready to graduate.');

end

Output:

Sorry, you are not yet ready to graduate.

Problem 3

% Quadratic formula: ax^2 + bx + c = 0

a = 1;

b = 4;

c = 4;

% Calculate discriminant

discriminant = b^2 - 4*a*c;

% Check the discriminant value and display appropriate message

if discriminant > 0

   disp('The quadratic equation has real and distinct roots.');

elseif discriminant == 0

   disp('The quadratic equation has repeated roots.');

else

   disp('The quadratic equation has imaginary roots.');

end

output :

The quadratic equation has repeated roots.

The provided program includes solutions to three problems. The first problem checks if a given angle is equal to pi/2 and displays an appropriate message based on the comparison result. The second problem verifies if a student has completed at least 122 credits and displays a graduation readiness message accordingly. The third problem calculates the discriminant of a quadratic equation and determines the type of roots based on its value, displaying the corresponding message.

In problem 1, we initialize the variable 'angle' with the value pi/2. Using the 'if' statement, we check if the angle is equal to pi/2. If the condition is true, the program displays the message "Right angle." Otherwise, it displays "Not a right angle."

For problem 2, we assign the number of completed credits to the variable 'credits.' Then, using the 'if' statement, we check if the number of credits is greater than or equal to 122. If the condition is true, the program displays the message "Congratulations! You are ready to graduate." Otherwise, it displays "Sorry, you are not yet ready to graduate."

In problem 3, we define the coefficients 'a,' 'b,' and 'c' of a quadratic equation. The program then calculates the discriminant using the formula[tex]b^2[/tex] - 4ac. Based on the value of the discriminant, we use the 'if' statement to determine the type of roots. If the discriminant is greater than zero, the equation has real and distinct roots. If it equals zero, the equation has repeated roots. If the discriminant is negative, the equation has imaginary roots. The program displays the appropriate message according to the type of roots.

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Suppose that x[0] =1, x[1] = 2, x[2] =2, x[3] =1, and x[n] = 0 for all other integers n. If N=4, find DFT of x[n] over the time interval n=0 ton=N-1=3.

Answers

Correct answer is the DFT of x[n] over the time interval n = 0 to n = N-1 = 3 is [6, -2+2i, -2, -2-2i].The Discrete Fourier Transform (DFT) is a mathematical transformation used to convert a discrete sequence of time-domain samples into its equivalent representation in the frequency domain. It allows us to analyze the frequency components present in a discrete signal.

To find the Discrete Fourier Transform (DFT) of x[n] over the time interval n = 0 to n = N-1, we use the formula:

X[k] = Σ[x[n] * exp(-j * 2π * k * n / N)], for k = 0 to N-1

Given x[0] = 1, x[1] = 2, x[2] = 2, x[3] = 1, and x[n] = 0 for all other integers n, we can calculate the DFT as follows:

For k = 0:

X[0] = 1 * exp(-j * 2π * 0 * 0 / 4) + 2 * exp(-j * 2π * 0 * 1 / 4) + 2 * exp(-j * 2π * 0 * 2 / 4) + 1 * exp(-j * 2π * 0 * 3 / 4)

= 1 + 2 + 2 + 1

= 6

For k = 1:

X[1] = 1 * exp(-j * 2π * 1 * 0 / 4) + 2 * exp(-j * 2π * 1 * 1 / 4) + 2 * exp(-j * 2π * 1 * 2 / 4) + 1 * exp(-j * 2π * 1 * 3 / 4)

= 1 + 2 * exp(-j * π / 2) + 2 * exp(-j * π) + 1 * exp(-j * 3π / 2)

= 1 + 2i - 2 - 2i

= -2 + 2i

For k = 2:

X[2] = 1 * exp(-j * 2π * 2 * 0 / 4) + 2 * exp(-j * 2π * 2 * 1 / 4) + 2 * exp(-j * 2π * 2 * 2 / 4) + 1 * exp(-j * 2π * 2 * 3 / 4)

= 1 + 2 * exp(-j * π) + 2 + 1 * exp(-j * 3π / 2)

= 1 - 2 + 2 - 2i

= -2 - 2i

For k = 3:

X[3] = 1 * exp(-j * 2π * 3 * 0 / 4) + 2 * exp(-j * 2π * 3 * 1 / 4) + 2 * exp(-j * 2π * 3 * 2 / 4) + 1 * exp(-j * 2π * 3 * 3 / 4)

= 1 + 2 * exp(-j * 3π / 2) + 2 * exp(-j * 3π) + 1 * exp(-j * 9π / 4)

= 1 - 2i - 2 + 2i

= -2

Therefore, the DFT of x[n] over the time interval n = 0 to n = N-1 = 3 is [6, -2+2i, -2, -2-2i]

The DFT of x[n] over the time interval n = 0 to n = N-1 = 3 is [6, -2+2i, -2, -2-2i].

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Design a gate driver circuit for IGBT based Boost Converter with varying load from 100-500 ohms. You have to design an inductor by yourself with core and winding. Design a snubber circuit to eliminate the back emf.

Answers

To design a gate driver circuit for an IGBT based Boost Converter with varying load and also design an inductor with core and winding, along with a snubber circuit to eliminate the back EMF, several considerations need to be addressed. Let's address each aspect in detail:

Gate Driver Circuit:

1. Voltage and Current Levels: The gate driver circuit should provide the necessary voltage and current levels to drive the IGBT effectively. This involves selecting appropriate gate driver ICs or discrete components capable of handling the required voltage and current ratings.

2. Gate Resistors: Gate resistors are used to control the switching speed of the IGBT and limit the peak gate current. The values of these resistors can be calculated based on the gate capacitance of the IGBT and the desired switching time.

3. Decoupling Capacitors: Decoupling capacitors are important to provide stable and noise-free power supply to the gate driver circuit. They help in reducing voltage fluctuations and maintaining the reliability of the gate driver.

Inductor Design:

1. Desired Inductance Value: The inductor value should be determined based on the desired output characteristics of the Boost Converter and the operating conditions.

2. Core Material Selection: The choice of core material depends on factors such as operating frequency, saturation characteristics, and efficiency requirements. Common core materials for inductors include ferrite, powdered iron, and laminated cores.

3. Winding Configuration: The winding configuration, including the number of turns and wire size, should be designed to handle the maximum current and minimize resistive losses.

Snubber Circuit:

1. Back EMF Protection: The snubber circuit is used to protect the components from voltage spikes caused by the back EMF generated during the switching transitions of the IGBT. It helps prevent damage and improves the overall reliability of the system.

2. Components Selection: The snubber circuit typically consists of a resistor and a capacitor connected in parallel to the IGBT. The values of these components should be selected to provide effective damping of the voltage spikes without affecting the overall system performance.

Hence, designing a gate driver circuit, inductor, and snubber circuit for an IGBT based Boost Converter with varying load requires careful consideration of voltage and current requirements, gate resistors, decoupling capacitors, inductor parameters such as desired inductance and core material, and the selection of suitable components for the snubber circuit. These aspects should be analyzed to ensure the proper functioning, efficiency, and protection of the system.

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Ask the user to input A and B as two different constants where A is your second ID humber multiplied by 3 and B is the fourth ID number plus 5. If A and/or B are zero make their default value 5. Write this logic as your code. Given x(t) = e Atu(t + 1) and h(t) = tetu(t), compute X(w), H(w) and Y(w). Plot the magnitude and phase for each. Pick your own frequency range. (30 points)

Answers

Here is the code to get  and  as input from the user and to set their default value to 5 if they need to take the Laplace transform of both. Then, taking the inverse Laplace transform of .

Here are the stes to solve the second part of the Laplace transforms to find the magnitude and phase formulas to find the magnitude and phase  the magnitude and phase using a suitable frequency range. Here are the solutions for each  Plot the magnitude and phase of using a suitable frequency range.

A suitable frequency range could be from Here is a sample code to plot the magnitude and phase for each:```import numpy as npimport matplotlibplot as pltfrom scipy import  second part of the Laplace transforms to find the magnitude and phase formulas to find the magnitude and phase  the magnitude and phase.

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Two infinitely long parallel wires run along the z -axis carry the same current magnitude.
Both wires are placed apart with spacing S between them over the x -axis.
(a) Draw the configuration with the parallel wires described above, labeling the wires and the cartesian axis.
(b) Find the direction of the magnetic field for each wire at the midpoint between the wires if the currents are flowing in the same direction.
(c) Find the direction of the magnetic field for each wire at the midpoint between the wires if the currents are flowing in opposite directions.

Answers

(a) Configuration with the parallel wires described above:

labeling the wires and the Cartesian axis.

Here is the diagram.

(b) Direction of magnetic field for each wire at the midpoint between the wires if the currents are flowing in the same direction:

It is known that when currents flow in parallel wires in the same direction, the magnetic field lines wrap around each wire in a helical pattern. The magnetic field inside the wire depends on the direction of the current. Applying the right-hand grip rule, we determine that the magnetic field will point into the plane of the paper for both wires at the midpoint.

(c) Direction of magnetic field for each wire at the midpoint between the wires if the currents are flowing in opposite directions:

When the currents flow in opposite directions, the magnetic field lines from each wire cancel each other out at the midpoint. As a result, there is no magnetic field at the midpoint between the wires.

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A certain unity negative feedback control system has the following forward path transfer function K G(s) = s(s+ 1)(s+4) The steady state error ess ≤ 2 rad for a velocity input of 2 rad/s. Find the constant velocity parameter and K.

Answers

The constant velocity parameter Kv is 0 and the gain of the system, K, is 1.

To find the constant velocity parameter and K in the given unity negative feedback control system, we can make use of the steady-state error formula for velocity inputs. The steady-state error for a unity negative feedback system with a velocity input is given by:

ess = 1 / (1 + Kv)

where ess is the steady-state error, K is the gain of the system, and v is the velocity input. In this case, the desired steady-state error is ess ≤ 2 rad and the velocity input is v = 2 rad/s.

Substituting the given values into the steady-state error formula, we have:

2 ≤ 1 / (1 + Kv)

To ensure that the steady-state error is less than or equal to 2 rad, the expression 1 / (1 + Kv) should be greater than or equal to 1/2. Therefore:

1 / (1 + Kv) ≥ 1/2

Now, let's find the constant velocity parameter and K by equating the denominator of the transfer function to zero:

s(s + 1)(s + 4) = 0

This equation has three roots: s = 0, s = -1, and s = -4.

The constant velocity parameter, Kv, can be found by substituting s = 0 into the transfer function:

Kv = K * G(0)

= K * (0(0 + 1)(0 + 4))

= 0

From the given information, we know that the steady-state error should be less than or equal to 2 rad. Since Kv = 0, we can see that the steady-state error will be zero, which satisfies the requirement.

Therefore, the constant velocity parameter Kv is 0.

To find the gain, K, we can use the fact that the system has unity negative feedback, which means the open-loop transfer function is multiplied by K. Therefore, we can set K = 1 to maintain unity feedback.

In summary, the constant velocity parameter Kv is 0 and the gain of the system, K, is 1.

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Complete the following class UML design class diagram by filling in all the sections based on the information below. Explain how is it different from domain class diagram? The class name is Building, and it is a concrete entity class. All three attributes are private strings with initial null values. The attribute building identifier has the property of "key." The other attributes are the manufacturer of the building and the location of the building. Provide at least two relevant methods for this class. Class Name: Attribute Names: Method Names:

Answers

Here is the completed class UML design class diagram for the given information: The above class UML design class diagram shows a concrete entity class named Building having three private strings as attributes.

The attribute Building Identifier has a property of "key" and the other attributes are the manufacturer of the building and the location of the building. The domain class diagram describes the attributes, behaviors, and relationships of a specific domain, whereas the class UML design class diagram depicts the static structure of a system.

It provides a conceptual model that can be implemented in code, while the domain class diagram is more theoretical and can help you understand the business domain. In the case of Building, the class has three attributes and two relevant methods as follows:

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1 Answer the multiple-choice questions. A. Illuminance is affected by a) Distance. b) Flux. c) Area. d) All of the above. B. The unit of efficacy is a) Lumen/Watts. b) Output lumen/Input lumen. c) Lux/Watts. d) None of the above. C. Luminous intensity can be calculated from a) flux/Area. b) flux/Steradian. c) flux/power. d) None of the above. Question 2 Discuss the luminance exitance effect and give an example to your explanation. (1.5 Marks, CLO 6) 1 1 1 (2.5 Marks, CLO 5) 2.5

Answers

A. The right response is d) All of the aforementioned. Illuminance is affected by distance, flux, and area.

B. The correct option is a) Lumen/Watts. The unit of efficacy is expressed as lumen per watt.

C. The correct option is b) flux/Steradian. Luminous intensity can be calculated by dividing the luminous flux by the solid angle in steradians.

Question 2:

Luminance exitance refers to the measurement of light emitted or reflected from a surface per unit area. It quantifies the amount of light leaving a surface in a particular direction. Luminance exitance depends on the characteristics of the surface, such as its reflectivity and emission properties.

Example:

An example of luminance exitance effect can be seen in a fluorescent display screen. When the screen is turned on, it emits light with a certain luminance exitance. The brightness and visibility of the display are influenced by the luminance exitance of the screen's surface. A screen with higher luminance exitance will appear brighter and more visible in comparison to a screen with lower luminance exitance, assuming other factors such as ambient lighting conditions remain constant.

Luminance exitance plays a crucial role in various applications, including display technologies, signage, and lighting design. By understanding and controlling the luminance exitance of surfaces, designers and engineers can optimize visibility, contrast, and overall visual experience in different environments.

Luminance exitance is the measurement of light emitted or reflected from a surface per unit area. It affects the brightness and visibility of a surface and plays a significant role in various applications involving displays and lighting design.

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shows an excitation system for a synchronous generator. The generator field winding is excited by a main exciter that in turn is excited by a pilot exciter. The pilot exciter, the main exciter, and the generator ield winding circuit, respectively, are identified by the subscripts 1, 2, and F; he resistance, inductance, voltage, and current, respectively, are denoted by , L,v, and i; and the speed voltage of the pilot exciter is k 1

i i 1


and that of the Fig. 2-4P A rotating excitation system. main exciter k c

i f2

. Find the transfer function of the excitation system in terms of time constants and gains with v f1

of the pilot exciter as the input and i F

of the generator as the output.

Answers

The figure above shows the synchronous generator excitation system. The generator field winding is excited by the main exciter, which is in turn excited by the pilot exciter.

The pilot exciter, the main exciter, and the generator field winding circuit are identified by the subscripts 1, 2, and F, respectively, and the resistance, inductance, voltage, and current are denoted by R1, L1, V1, and i1; R2, L2, V2, and i2; and RF, LF, VF, and iF, respectively.

The speed voltage of the pilot exciter is k1i1 and that of the main exciter is kcif2. The transfer function of the excitation system in terms of time constants and gains with VF1 of the pilot exciter as the input and iF of the generator as the output is given below:[tex]T(s) = kc(VF1/R2s + LFs + 1) / (LFRFs2 + (LF+RF)/R2s + 1)[/tex].

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A multiple reaction was taking placed in a reactor for which the products are noted as a desired product (D) and undesired products (U1 and U2). The initial concentration of EO was fixed not to exceed 0.15 mol/L. It is claimed that a minimum of 80% conversion could be achieved while maintaining the selectivity of D over U1 and U2 at the highest possible. Proposed a detailed calculation and a relevant plot (e.g. plot of selectivity vs the key reactant concentration OR plot of selectivity vs conversion) to prove this claim.

Answers

To prove the claim of achieving a minimum of 80% conversion while maximizing the selectivity of the desired product (D) over the undesired products (U1 and U2), a detailed calculation and relevant plot can be employed. One approach is to plot the selectivity of D versus the conversion of the key reactant. By analyzing the plot, it can be determined if the desired conditions are met.

To demonstrate the claim, we can perform a series of calculations and generate a plot of selectivity versus conversion. The selectivity of D over U1 and U2 can be calculated as the ratio of the moles of D produced to the total moles of undesired products (U1 + U2) produced.

First, we vary the conversion of the key reactant (EO) and calculate the corresponding selectivity values at each conversion level. Starting with an initial concentration of EO not exceeding 0.15 mol/L, we progressively increase the conversion and monitor the selectivity of D.

Based on the claim, we aim to achieve a minimum of 80% conversion while maximizing the selectivity of D. By plotting the selectivity values against the corresponding conversion levels, we can visually analyze the trend and determine if the desired conditions are met.

If the plot shows a consistent and increasing trend of selectivity towards D as the conversion increases, while maintaining a minimum of 80% conversion, then the claim is supported. This would indicate that the desired product is favored over the undesired products, fulfilling the criteria specified in the claim.

The plot provides a clear and quantitative representation of the selectivity versus conversion relationship, allowing for an accurate assessment of the claim and verifying the feasibility of achieving the desired conditions.

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After execution of the code fragment
class rectangle
{
public:
void setData(int, int); // assigns values to private data
int getWidth() const; // returns value of width
int getLength() const; // returns value of length
rectangle(); // default constructor
private:
int width; // width of the rectangle
int length; // length of the rectangle
};
// copies the argument w to private member width and l to private member length.
void rectangle::setData(int w, int l)
{
width = w;
length = l;
}
// returns the value stored in the private member width.
int rectangle::getWidth() const
{
return width;
}
// returns the value stored in the private member length.
int rectangle::getLength() const
{
return length;
}
// Default constructor.
rectangle::rectangle()
{
width = 0;
length = 0;
}
int main()
{
rectangle box1, box2, box3;
int x = 4, y = 7;
box1.setData(x,x);
box2.setData(y,x);
cout << box1.getWidth() + box1.getLength();
return 0;
}
what is displayed on the screen?

Answers

The expression `box1.getWidth() + box1.getLength()` evaluates to `4 + 4`, which is `8`. Therefore, the output displayed on the screen will be:

8

After execution of the code fragment class what is displayed on the screen?

The code provided creates three instances of the `rectangle` class named `box1`, `box2`, and `box3`. It then sets the data for `box1` and `box2` using the `setData` function, passing `x` and `y` as arguments.

In the `main` function, `box1.getWidth()` returns the value stored in the private member `width` of `box1`, which is `4`. Similarly, `box1.getLength()` returns the value stored in the private member `length` of `box1`, which is also `4`.

The expression `box1.getWidth() + box1.getLength()` evaluates to `4 + 4`, which is `8`.

Finally, the `cout` statement outputs `8` to the screen.

Therefore, the output displayed on the screen will be:

8

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Include its Formal Definition and Transition Diagramw {0, 1}w does not contain twice as many 0s as 1s Differentiate the three possible types of boundary conditions that can be used for second-order partial differential equations, and give a realistic example with associated initial conditions for each. For the following inductors, find the energy stored in the magnetic field.a) A 10.0cm long solenoid with 4 turns/cm, a 1.0cm radius, and a current of 4.0 A.b) A rectangular toroid with inner radius 10.0 cm, outer radius 14.0cm, and a height of 2.0cm. It is comprised of a total of 1000 windings and has a current of 1.25 A.c) An inductor with a potential difference of 55mV after 1.5s with a current that varies as I(t) =I0 Ct. I0 = 10.0A, and C = 3A/s. The utility function is: (x,y)=x 112 y 119Maximize utility subject to the budget constraint: 3x+1y=132 (a.) What is the Marginal Rate of Substitution (i.e. the slope of the ind Select an answer and submit. For keyboard navigation, use the up/down arrow k 6x2yb 9x4yc 9x2yd 9x2yCopied and pasted from part (a.) for your convenience The utility function is: U(x,y)=x 112y 119Maximize utility subject to the budget constraint: 3x+1y=132 (b.) What is the slope of the budget constraint line? Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a 12b 13 What is the ratio of the sides? Need asap A 250 mL portion of a solution that contains 1.5 mM copper (II)nitrate is mixed with a solution that contains 0.100 M NaCN. Afterequilibrium is reached what concentration of Cu2+ (aq)remains. Using: C Language & tinkercad.com & arduino uno r3Implement and test a function called get_elapsed_time which computes the elapsed time from power-up in a ATMEGA328P microcontroller. The program will use a designated 16-bit timer in normal mode, with overflow interrupt handling. Time calculation will be accurate to the nearest timer update "tick"Your task is to adapt the sample program provided in "Lecture 9: Implementing Timer Overflow ISR" to implement a new library function called get_elapsed_time () which is capable of tracking elapsed time for a reasonably long period.Use Timer 1, and set it up in normal operational mode so that it overflows approximately once every 0.25 seconds. Create a global 32-bit unsigned integer variable called counter. Implement an interrupt service routine which increments counter by 1 every time the timer overflows. Implement a function called get_elapsed_time() which returns the elapsed time since program start, accurate to the nearest timer stick", as a double-precision floating point value. To implement the function, follow the detailed specification laid out in comments in the program skeleton below.Notes Use this test driver to implement and test your function in TinkerCad Circuits prior to submission. #include #include #include #include #include #include #include #include void uart_setup(void);void uart_put_byte(unsigned char byte_val);void uart_printf(const char * fmt, ...);void setup(void) {// (a) Initialise Timer 1 in normal mode so that it overflows// with a period of approximately 0.25 seconds.// Hint: use the table you completed in a previous exercise.// (b) Enable timer overflow for Timer 1.// (c) Turn on interrupts.// (d) Send a debugging message to the serial port using// the uart_printf function defined below. The message should consist of// your student number, "n10507621", followed immediately by a comma,// followed by the pre-scale factor that corresponds to a timer overflow// period of approximately 0.25 seconds. Terminate the// debugging message with a carriage-return-linefeed pair, "\r\n".}// (e) Create a volatile global variable called counter.// The variable should be a 32-bit unsigned integer of type uint32_t.// Initialise the variable to 0.// INSERT GLOBAL VARIABLE HERE// (f) Define an interrupt service routine to process timer overflow// interrupts for Timer 1. Every time the interrupt service// routine is called, counter should increment by 1.// INSERT ISR HERE// (g) Define a function called get_elapsed_time which has// no parameters, but returns a value of type double which contains// the total elapsed time measured up to the time at which it is called.// Use the method demonstrated in the Topic 9 lecture to compute the// elapsed time, taking into account the fact that the timer counter has// 16 bits rather than 8 bits.// INSERT FUNCTION HERE// -------------------------------------------------// Helper functions.// -------------------------------------------------// Make sure this is not too big!char buffer[100];void uart_setup(void) {#define BAUD (9600)#define UBRR (F_CPU / 16 / BAUD - 1)UBRR0H = UBRR >> 8;UBRR0L = UBRR & 0b11111111;UCSR0B = (1 what is the equation of this line? Avicorp has a $12.5 million debt issue outstanding, with a 6.2% coupon rate. The debt has semi-annual coupons, the next coupon is due in six months, and the debt matures in five years. It is currently priced at 95% of par value. a. What is Avicorp's pre-tax cost of debt? Note: Compute the effective annual return. b. If Avicorp faces a 25% tax rate, what is its after-tax cost of debt? Note: Assume that the firm will always be able to utilize its full interest tax shield. a. The cost of debt is % per year. (Round to four decimal places.) (c) Soil stabilization is a process by which a soils physical property is transformed to provide long-term permanent strength gains. Stabilization is accomplished by increasing the shear strength and the overall bearing capacity of a soil. Describe TWO (2) of soil stabilization techniques for unbound layer base or sub-base. Choose 1 layer for your answer. Why is the shortwave band used for long distances radio cast? the model of the earth which is spherical Find the convolution ( e^{-1 x *} e^{-5 x} )