explain how the observation fact-finding technique works, including the hawthorne effect.

Answers

Answer 1

The observation fact-finding technique involves observing people in their natural environment without interfering. The Hawthorne effect is an unintended consequence where individuals being observed change their behavior due to the awareness of being observed.

The observation fact-finding technique is a research method that involves observing individuals in their natural environment without any interference. It provides valuable insights into behavior patterns, environmental interactions, and the influence of environmental factors on human behavior. This technique is widely used in various disciplines such as sociology, anthropology, psychology, and organizational behavior.

One important concept related to the observation technique is the Hawthorne effect. The Hawthorne effect refers to the unintended change in behavior that occurs when individuals being observed improve or alter their performance in response to being observed or knowing that they are being observed. The presence of an observer can lead participants to modify their behavior, not because of any external changes in their environment or situation, but solely due to the awareness of being observed.

It is crucial to recognize the Hawthorne effect when collecting data through observation because it can introduce bias into the observational data. Participants may unconsciously modify their behavior, leading to inaccurate or skewed results. Researchers should be aware of this effect and take it into consideration while interpreting the data collected through observation.

In conclusion, the observation fact-finding technique is a valuable research method for understanding human behavior patterns. However, it is important to be aware of the Hawthorne effect and its potential impact on the observed data.

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Related Questions

The source voltages vg1and vg2 in the circuit in (Figure 1) are 12 V and 3 V, respectively.

Calculate iΔ

Calculate vo

Find the total power developed in the circuit.

Find the total power absorbed in the circuit.

Answers

The power developed in the circuit is 56.25 W and the power absorbed by the circuit is also 56.25 W. So, there is no net power transfer in the circuit. Hence, this circuit is a balanced circuit.

The given circuit in the Figure 1 is shown below:Figure 1The voltage v in the middle is common between the two sources, but they have different polarities. We apply KVL around the closed loop of the circuit containing the sources and the resistor to determine the current, iΔ.  -12 + 6iΔ - 2(iΔ+4) + 3 = 0 Simplifying the above equation, 4iΔ = 15iΔ = 15/4 = 3.75 A The current iΔ is flowing in the direction shown in the Figure 1. We can now use Ohm's law to find the voltage across the resistor. vo = iΔ × 4 = 3.75 × 4 = 15 V Total power developed in the circuit can be found by multiplying the total current in the circuit by the voltage v.  PT = (12 - 3) × (3.75 + 2) = 56.25 W where the currents passing through vg1 and vg2 are (12 - v) and v/2 respectively.The power absorbed by the circuit can be found using the current iΔ: PA = (iΔ)² × 4 = (3.75)² × 4 = 56.25 W

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A steel bar of thickness h is welded to a vertical support as shown in the figure. The dimensions for the parameters in the figure are given below. . b = 70 mm c = 170 mm d = 70mm h = 5 mm Find the safe force F (in kN) if the maximum allowable shear stress in the welds is 140 MPa A. 132.9 B. 72.8 C. 29.8 D. 25.3

Answers

The safe force F is approximately 0.1329 kN.

The correct answer is A. 132.9 kN.

To find the safe force F in kN, we need to calculate the shear stress in the welds and compare it with the maximum allowable shear stress.

The shear stress in the welds can be determined using the formula:

Shear stress = Force / Area

The area of the welds can be calculated by considering the effective area of the welded joint. In this case, we have two welds, so the total area of the welds is:

Area = 2 * (b + c) * h

Now, we can rearrange the equation to solve for the force:

Force = Shear stress * Area

Given that the maximum allowable shear stress is 140 MPa, we can substitute the values into the equation:

Force = 140 MPa * 2 * (b + c) * h

Substituting the given dimensions:

Force = 140 MPa * 2 * (70 mm + 170 mm) * 5 mm

Converting the dimensions to meters and the shear stress to kN/m²:

Force = 0.14 MPa * 2 * (0.07 m + 0.17 m) * 0.005 m

Calculating the result:

Force ≈ 0.1329 kN

Therefore, the safe force F is approximately 0.1329 kN.

The correct answer is A. 132.9 kN.

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An aluminum rod has a diameter of 10 mm and a length of 800 mm. If an axial tensile force of 200 kN is applied to the rod, determine the final diameter of the rod in mm if Eal = 70 GPa and val= 0.35. Use 5 decimal places for the value of strain in your calculations.

Answers

The final diameter of the rod, after the axial tensile force of 200 kN is applied, is approximately 9.96978 mm.

To determine the final diameter of the aluminum rod when a tensile force is applied, we need to calculate the strain and then use it to find the change in diameter.

The strain (ε) of a material under tensile stress is given by:

ε = (F * L) / (A * E)

Where:

- F is the applied force (200 kN)

- L is the length of the rod (800 mm)

- A is the original cross-sectional area of the rod (π * (diameter/2)^2)

- E is the Young's modulus of aluminum (70 GPa or 70 * 10^9 Pa)

Let's calculate the strain first:

A = π * (10 mm / 2)^2 = 78.54 mm² = 78.54 * 10^-6 m²

ε = (200 kN * 800 mm) / (78.54 * 10^-6 m² * 70 * 10^9 Pa) = 0.003022 (approx)

The strain is approximately 0.003022.

To calculate the change in diameter (Δd), we can use the formula:

ε = Δd / original diameter

Δd = ε * original diameter

Δd = 0.003022 * 10 mm = 0.03022 mm

The change in diameter is approximately 0.03022 mm.

Finally, we can find the final diameter by subtracting the change in diameter from the original diameter:

Final diameter = Original diameter - Δd

Final diameter = 10 mm - 0.03022 mm = 9.96978 mm (rounded to 5 decimal places)

Therefore, the final diameter of the rod, after the axial tensile force of 200 kN is applied, is approximately 9.96978 mm.

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In a shrimp farm, a pump is used to fill the ponds (reservoirs) with a flow rate of 1.25 m2/s of salt water (S=1.025) viscosity µ = 1.22 x 10-3 Pa-sec. A 1/5 scale model is going to be used to verify the design of the pumping station and fresh water whose kinematic viscosity φ = 1.14 x10^-6 m2/s is going to be used. During the tests a pump with a Power of Pm=100 kw (Kilowatt) is used and an increase in pressure of 3 MPa (Megapascals) was measured. During the tests there must be similarity between the model and the prototype.

Determine the flow rate to be used in the model in (LT/S) .

Answers

The flow rate to be used in the model is approximately 1039.826 L/s

.

To determine the flow rate to be used in the model in liters per second (L/s), we can utilize the following formula:

Q = (Pm / ∆P) × η × k

Given parameters:

Pm = 100 kW (power of the pump)

∆P = 3 MPa (increase in pressure)

η = 1.22 × 10⁻³ Pa·s (viscosity of salt water)

k = [(1.25 m³/s) / φ]^(1/2) / [(1/5)^(3/2)]

Since the kinematic viscosity of fresh water is φ = 1.14 × 10⁻⁶ m²/s, we need to convert the units to ensure consistency. The conversion is:

1 m³/s = 10⁶ L/s

Now we can calculate the flow rate for the model:

Q = (100 / 3) × 1.22 × 10⁻³ × [(1.25 / 1.14 × 10⁻⁶)^(1/2)] / [(1/5)^(3/2)]

≈ 1039.826 L/s

Therefore, the flow rate to be used in the model is approximately 1039.826 L/s.

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Consider a control system with two components: a plant and a controller. The plant receives control u(t) as input and provides a signal y(t) as output according to the following ordinary differential equation: 3
y
˙

(t)+y(t)=2u(t). The controller receives a reference signal r(t) as input and provides a signal u(t) as output according to the following ordinary differential equation: 5
u
˙
(t)+u(t)=3r(t). Define a linear time-invariant state-space model for the closed-loop system described above. Choose x
1

(t)=e(t) and x
2

(t)=u(t) as state variables, r(t) as input, and y(t) as output. Show the derivation of the state-space model equations as well as the final state-space model. What are the matrices A,B,C, and D ?

Answers

To derive the state-space model for the given closed-loop system, let's start by writing the differential equations for the plant and the controller:

Plant:
The plant equation is given as:
y˙(t) + y(t) = 2u(t)

Controller:
The controller equation is given as:
u˙(t) + u(t) = 3r(t)

To define the state variables, let's set x1(t) = e(t) and x2(t) = u(t). Now, we need to express the differential equations in terms of the state variables.

Plant:
Differentiating x1(t) = e(t), we get:
x˙1(t) = e˙(t)

Since e(t) = y(t) - r(t), we can rewrite the equation as:
x˙1(t) = y˙(t) - r˙(t)

Using the plant equation, we substitute the value of y˙(t) into the above equation:
x˙1(t) = -y(t) + 2u(t) - r˙(t)

Controller:
Differentiating x2(t) = u(t), we get:
x˙2(t) = u˙(t)

Using the controller equation, we substitute the value of u˙(t) into the above equation:
x˙2(t) = 3r(t) - u(t)

Now, we can express the above differential equations in matrix form:

[x˙1(t)]     [ 0   -1 ] [x1(t)]     [ 0 ]     [x2(t)]
[x˙2(t)] = [ 0   -1 ] [x2(t)] + [ 3 ] [r(t) ]

The matrices A, B, C, and D for the state-space model are:
A = [ 0   -1 ]
      [ 0   -1 ]

B = [ 0 ]
      [ 3 ]

C = [ 1   0 ]

D = 0

In summary, the state-space model for the given closed-loop system is:

[x˙1(t)]     [ 0   -1 ] [x1(t)]     [ 0 ]     [x2(t)]
[x˙2(t)] = [ 0   -1 ] [x2(t)] + [ 3 ] [r(t) ]

With the matrices A, B, C, and D defined as mentioned above.

This state-space model can be used to analyze and design the closed-loop system. It provides a concise representation of the system dynamics and facilitates control design and analysis.

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Briefly explain the following: a) The role of a turbocharger in enhancing the performance of a compression ignition engine ( 2 marks) b) The performance parameters that are enhanced ( 1 mark) c) The function of intercooler in the turbocharger scheme ( 1 mark)

Answers

By cooling down the compressed air, the intercooler increases its density, which further improves combustion efficiency and power output.

This helps to prevent engine knocking and reduces the risk of overheating.

a) The role of a turbocharger in enhancing the performance of a compression ignition engine is to increase the amount of air and fuel mixture entering the combustion chamber.

It does this by utilizing exhaust gas energy to drive a turbine, which in turn drives a compressor.

The compressor compresses the air entering the combustion chamber, resulting in a higher oxygen concentration. This allows for more efficient combustion and increased power output.

Additionally, the turbocharger helps to reduce the engine's pumping losses, as it recovers waste energy from the exhaust gases. This leads to improved fuel efficiency.
b) The performance parameters that are enhanced by a turbocharger include power output and torque.

By increasing the mass of air entering the combustion chamber, a turbocharger allows the engine to burn more fuel and generate more power. This results in increased horsepower and torque, which leads to improved acceleration and overall performance.
c) The function of an intercooler in the turbocharger scheme is to cool down the compressed air before it enters the combustion chamber. As the air is compressed, its temperature increases. However, cooler air is denser, meaning it contains more oxygen molecules.

By cooling down the compressed air, the intercooler increases its density, which further improves combustion efficiency and power output. This helps to prevent engine knocking and reduces the risk of overheating.

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Approximate the passive solar glazing area requirements and solar savings fraction for a 2000 ft2 residence in Pittsburgh, Pennsylvania.

a. Find the minimum and maximum solar collector (aperture) area.

b. Estimate the solar savings fraction without night insulation for the minimum and maximum solar collector (aperture) areas.

c. Estimate the solar savings fraction with night insulation for the minimum and maximum solar collector (aperture) areas.

Answers

To approximate the passive solar glazing area requirements and solar savings fraction for a 2000 ft2 residence in Pittsburgh, Pennsylvania, you would follow these steps:

Find the minimum and maximum solar collector (aperture) area: To calculate the minimum solar collector area, you can use the formula: Minimum collector area = (Total floor area) x (solar savings fraction) / (solar heat gain coefficient)
For the maximum solar collector area, you can use a rule of thumb that suggests a range of 20-40% of the total floor area.

In summary, to approximate the passive solar glazing area requirements and solar savings fraction for a 2000 ft2 residence in Pittsburgh, Pennsylvania, you need to calculate the minimum and maximum solar collector areas, estimate the solar savings fraction without night insulation, and then estimate the solar savings fraction with night insulation.

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QUESTION 3

a) Determine whether the flow is laminar or turbulent if water at 70 °C flows in a copper tube with a flow rate 285 L/min. Given the diameter is 0.02527m, μ = 0.04 Ns/m³ and the area is 5.017 x 104 m².

b) State four assumptions made in deriving continuity equation.

Answers

a) It can be determined that the flow of water in a copper tube is in the transition zone with a Reynolds number of 707.06, based on the given information.

Four assumptions made in deriving the continuity equation are that fluid is incompressible, the velocity of the fluid at any given point is constant with respect to time, the velocity of the fluid at any given point is the same across the cross-section of the pipe, and there is no source or sink of the fluid along the direction of flow.

a) The Reynolds number is used to determine whether the flow is laminar or turbulent.

The formula for Reynolds number is:

Re = (ρVD)/μ

Where,

ρ = density of fluid

V = velocity of fluid

D = diameter of the tube

μ = viscosity of fluid

When the Reynolds number is less than 2000, the flow is laminar.

When the Reynolds number is greater than 4000, the flow is turbulent.

The flow is in the transition zone when the Reynolds number is between 2000 and 4000.

According to the given information, we can calculate the Reynolds number as follows:

ρ = density of water at 70°C

= 995.7 kg/m³

V = flow rate/area

= 285/(5.017 × 10⁻⁴)

= 5.680 m/s

D = diameter of copper tube

= 0.02527 m

μ = viscosity of water at 70°C = 0.04 Ns/m³

Re = (ρVD)/μ

= (995.7 × 5.680 × 0.02527)/0.04

= 707.06

The Reynolds number for this flow is 707.06, which is between 2000 and 4000.

Therefore, the flow is in the transition zone, which means that it is neither laminar nor turbulent.

b) Four assumptions made in deriving continuity equation are:

Continuity equation is derived based on the following assumptions: Fluid is incompressible.

The velocity of the fluid at any given point is constant with respect to time.

The velocity of the fluid at any given point is the same across the cross-section of the pipe.

There is no source or sink of the fluid along the direction of flow.

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A hollow steel shaft has an internal diameter of 50 mm and an external diameter of 120 mm. The shaft transmits 600 kW at 600r/min. Using the maximum direct stress theory of failure, determine the allowable applied bending moment if the maximum direct stress is limited to 120MPa. If the shaft were also subjected to an end thrust of 100kN, what would then be the allowable bending moment that could be applied to this shaft? Calculate also the minor principle stress as well as the maximum shear stress acting under these conditions. [18.6kNm;16.84kNm;-7MPa;63.5MPa]

Answers

Given that,

Internal diameter, `d_i` = 50 mm

External diameter, `d_o` = 120 mm

Power transmitted, `P` = 600 kW

Shaft speed, `N` = 600 rpm

Maximum direct stress, `σ_max` = 120 MPa

Allowable bending moment,

`M` = ?

End thrust, `P_e` = 100 kN

Let's begin solving the problem.

To find the allowable bending moment, we need to use the formula of the maximum direct stress theory of failure:

σ_max = Mc/I

           = 32M/πd^3

Here,`c` = distance from the neutral axis

`I` = Moment of inertia of the section

`M` = Bending moment

`d` = diameter of the section

For a hollow shaft, moment of inertia,

`I = π/64 (d_o^4 - d_i^4)`

Putting the given values, we get`

I = π/64 (120^4 - 50^4)

 = 1.09 × 10^7 mm^4`

Substituting the given values of `d` and `σ_max`, we can find the allowable bending moment:`

σ_max = Mc/I` Or,

M = σ_max * I * πd^3 / 32c`

For the given shaft, the outer radius,

`r = d_o/2 = 60 mm`

Let's assume that the neutral axis coincides with the centroidal axis i.e. `

c = r`

Substituting the given values, we get:`

M = 120 × 1.09 × 10^7 × π × 120^3 / (32 × 60) = 18.6 kNm

`Therefore, the allowable bending moment is 18.6 kNm.

Now, if the shaft were also subjected to an end thrust of 100 kN,

the total force acting on the shaft,`

P_total = √(P^2 + P_e^2)

            = √(600^2 + 100^2)

            = 610.45 kN`

The bending moment due to this force can be calculated as:`

M = P_total × L`

Where,`L` = Distance between the bearings.

For a shaft with a length `L`,

the maximum bending moment occurs at the middle, and is given by:`

M = PL/4`

Substituting the given values, we get:`

M = P_total × L/4

   = 610.45 × L/4`

Also,`P_total = π/4 (d_o^2 - d_i^2) σ_direct`

Substituting the given values of `d_o`, `d_i` and `σ_direct`, we can find the value of `σ_direct`.

The minor principal stress, `σ_min` is given by:`

σ_min = - P_total / πd^2 - σ_direct`

Substituting the given values, we get:

`σ_min = - 610.45 × 10^3 / π × (120^2 - 50^2) - 120 = -7 MPa`

The maximum shear stress, `τ_max` is given by:`

τ_max = P_total / 2A`

Where,

`A` = π/4 (d_o^2 - d_i^2)`τ_max

    = P_total / (2 × π/4 (d_o^2 - d_i^2))

    = 610.45 × 10^3 / (2 × π/4 (120^2 - 50^2))

    = 63.5 MPa`

Therefore, the allowable bending moment with end thrust is

`M = P_total × L/4

    = 610.45 × L/4`.

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Marks for each question are indicated. Subparts are worth equal weight unless specified. Total: 32 marks. 1. (2 marks) For this question you may only use NAND gates, i.e., gates with inputs A,B and output C where C=AB (a) Construct a NOT gate using one NAND gate. (b) Construct a two-input OR gate using three NAND gates.

Answers

(a) The configuration effectively implements the NOT gate using a NAND gate.

(b) a NAND gate can be used to create any other gate, so understanding its behavior allows us to construct different logic gates.

A  NAND gate can be used to create any other gate, so understanding its behavior allows us to construct different logic gates.

In this configuration, if either input is 1, at least one of the NAND gates will output 0, resulting in an overall output of 1. Only when both inputs are 0 will the output be 0.

To construct a NOT gate using only NAND gates, we need to understand that a NAND gate can act as a universal gate, meaning it can be used to create any other gate.
(a) To create a NOT gate, we can connect one input of the NAND gate to the other input, and the output of the NAND gate will act as the NOT gate output. In other words, if we connect both inputs of the NAND gate together (A = B), the output of the NAND gate will be the logical complement of the input.

For example, if A = 1, then B = 1, and the output C will be 0. This configuration effectively implements the NOT gate using a NAND gate.
(b) To construct a two-input OR gate using three NAND gates, we can use the following steps:
1. Connect one input of the first NAND gate to the inputs of the other two NAND gates.
2. Connect the second input of the first NAND gate to one input of the second NAND gate.
3. Connect the output of the second NAND gate to one input of the third NAND gate.
4. Connect the output of the first NAND gate to the second input of the third NAND gate.
5. The output of the third NAND gate will be the OR gate output.
In this configuration, if either input is 1, at least one of the NAND gates will output 0, resulting in an overall output of 1. Only when both inputs are 0 will the output be 0.
Remember, a NAND gate can be used to create any other gate, so understanding its behavior allows us to construct different logic gates.

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Consider the following C program: #include void square(int num) \{ num = num * num; \} int main() \{ int x=4; square (x); printf("\%d\n", x); return 0
i

\} This program currently prints out " 4 ." If you wish, compile and run the code to confirm this fact. In the current code, x is passed by value to the square function. Modify the program to use pointers and addresses so that x is passed by reference instead (and is squared as a result). Your solution should not make the square function return a value.

Answers

To modify the program to pass the variable `x` by reference using pointers, we need to change the `square` function to take a pointer parameter.

By dereferencing the pointer and updating the value at the memory address it points to, we can modify the original variable `x`. This ensures that `x` is squared within the `square` function.

Modified code:

```c

#include <stdio.h>

void square(int* num) {

   *num = (*num) * (*num);

}

int main() {

   int x = 4;

   square(&x);

   printf("%d\n", x);

   return 0;

}

```

In the modified code, the `square` function is modified to take an `int*` parameter instead of an `int` parameter. This indicates that it expects a pointer to an integer. Inside the function, we dereference the pointer using the `*` operator and perform the square operation on the value it points to. This updates the original variable `x` in the `main` function.

In the `main` function, when calling `square`, we pass the address of `x` using the `&` operator. This allows the `square` function to directly modify the value of `x` at that memory address.

As a result, when we print the value of `x` after calling `square`, it will be the squared value (16 in this case) instead of the original value (4).

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What are the 3 elements that must be present for fire exist?

Answers

The three elements necessary for fire to exist are heat, fuel, and oxygen.

The three elements that must be present for fire to exist are:

Heat: Fire requires an initial heat source to start the combustion process. This heat can be provided by a flame, a spark, friction, or any other source capable of raising the temperature of the fuel to its ignition point.

Fuel: Fire needs a fuel source to sustain the combustion.

Fuel can be any combustible material such as wood, paper, gas, oil, or even certain metals.

The fuel provides the necessary chemical components that can undergo combustion and release energy in the form of heat and light.

Oxygen: Fire requires an adequate supply of oxygen to support the combustion process.

Oxygen in the air reacts with the fuel, enabling it to burn.

The presence of oxygen allows for the chemical reaction known as oxidation, which releases heat and produces flames.

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A supplier of parts to an assembly plant in the household appliance industry is required to make deliveries on a just-in-time basis (daily). For one of the parts that must be delivered, the daily requirement is 100 parts, five days/wk, 52 wk/yr. However, the supplier cannot afford to make just 100 parts each day because of the high cost of changing over the production machine.
Instead, it must produce in larger batch sizes and maintain an inventory of the parts from which 100 units are withdrawn for shipment each day. Cost per piece is $16 and holding cost is 24% of piece cost. Changeover time for the production machine used to produce the part is 2.5 hr and the cost of downtime on this machine is $180/hr.
Determine:
(a) the economic batch size. (10 marks)
(b) the total annual inventory cost for the data. (10 marks)
(c) How many weeks of demand does this batch quantity represent? (10 marks)
Referring to above scenario, it is desired to reduce the economic batch size from the value determined in that problem to 500 units, which would require the supplier to keep a maximum inventory of one week's demand for the parts.
Determine:
(d) the changeover time that would allow the economic batch size in stamping to be 500 pieces. (5 marks)
(e) What is the corresponding total annual inventory cost for this batch size, assuming the changeover time in part (d) can be realized? (5 marks)
(f) What are the total annual inventory cost savings to the supplier, compared to the TIC determined in the previous problem? (5 marks)
(g) explain the benefits and limitations of JIT systems. (5 marks)

Answers

To determine the economic batch size, we need to consider the cost of production and the cost of holding inventory. The cost of production includes the changeover cost and the cost per piece, while the cost of holding inventory is the holding cost per piece.

Supply chain vulnerability: JIT systems heavily rely on a smooth and reliable supply chain. Any disruptions, such as delays in delivery or quality issues from suppliers, can cause significant problems in the production process.Lack of buffer stock: JIT systems operate with minimal inventory levels, leaving little room for error. Any unexpected increase in demand or production delays can lead to stockouts and customer dissatisfaction.

High coordination and synchronization requirements: JIT systems require close coordination and synchronization among all parties involved in the supply chain. This can be challenging, especially when dealing with multiple suppliers and production processes.Limited flexibility: JIT systems are designed for stable and predictable demand patterns. They may struggle to handle sudden changes in demand or market conditions, requiring adjustments and flexibility in production processes.Overall, JIT systems offer numerous benefits in terms of cost savings, efficiency, quality, and responsiveness. However, they also require careful planning and coordination to overcome the potential limitations and ensure a smooth and effective implementation.

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1) A saturated steam at 75°F has been dehumidified adiabatically until its relative humidity becomes 40%. Show the process on the psychometric chart and calculate the amount of moisture removed_____ per Kg dry air in this process

Answers

The amount of moisture removed is 0.01 lb moisture/lb dry air.

In the psychrometric chart, the process is shown as a vertical line from the initial point to the final point. The initial point is represented by the dry bulb temperature and relative humidity, and the final point is represented by the dry bulb temperature and humidity ratio. The chart must be consulted to determine the values for the final point.
Given

Initial conditions:
Dry bulb temperature = 75°F Relative humidity = 100%

Final conditions:

Relative humidity = 40%

Process: Dehumidification
Since it is a dehumidification process, the enthalpy remains constant. The process occurs adiabatically, so there is no heat transfer.

To calculate the amount of moisture removed per Kg dry air in this process, we need to find the moisture content at the initial and final conditions.

From the psychrometric chart,
At 75°F and 100% RH,
Moisture content = 0.0155 lb moisture/lb dry air
At 75°F and 40% RH,
Moisture content = 0.0055 lb moisture/lb dry air

Therefore,
Amount of moisture removed = (0.0155 - 0.0055) lb moisture/lb dry air
Amount of moisture removed = 0.01 lb moisture/lb dry air

Hence, the amount of moisture removed per Kg dry air in this process is 0.01 lb moisture/lb dry air.

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Review Conceptual Example 6 as an aid in understanding this problem. Consider the pump on the right side of the drawing, which act to reduce the air pressure in the pipe. The air pressure outside the pipe is one atmosphere. Find the maximum depth from which this pump can extract water from the well.

Answers

The maximum depth from which the pump can extract water from the well is the height of the pump above the water surface.

We are given a problem that discusses the reduction of air pressure in a pipe. A pump on the right side of the drawing is used to reduce the air pressure in the pipe. One atmosphere is the air pressure outside the pipe. The question asks us to calculate the maximum depth from which this pump can extract water from the well.Since the problem gives the pressure outside the pipe to be one atmosphere, we can use this value as the pressure at the water surface. The pump extracts water from the well, so we can use the Bernoulli equation to solve for the depth. Here is the equation: P_1 + (1/2)ρv_1^2 + ρgh_1 = P_2 + (1/2)ρv_2^2 + ρgh_2, where P is the pressure, ρ is the density, v is the velocity, g is the acceleration due to gravity, and h is the height. Let's assign the values: P_1 = P_2 = 1 atm, ρ = 1000 kg/m^3, v_1 = v_2 = 0 (since the pump reduces the air pressure, it does not contribute to the flow of water), and h_2 = d (the depth we are solving for). Then the equation simplifies to ρgh_1 = (1/2)ρv_2^2 + ρgh_2. Since the water is at rest at the water surface, v_2 = 0, so we get ρgh_1 = ρgh_2. Cancelling the density, we get h_1 = h_2.

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Required information A square yellow brass bar must not stretch more than 2.2 mm when it is subjected to a tensile load of 38kN. Given: E= 105 GPa and that the allowable tensile strength is 104MPa, determine (a) The allowable side length of the cross-section (b) is the allowable value a maximum or a minimum? Why? (c) The allowable length of the bar (d) is the allowable length a maximum or a minimum? isb) The allowable side length, for the square cross section, is given as (mm) and the value is a'

Answers

(a) The allowable side length of the cross-section is 19.1 mm.

(b) The allowable value is a maximum because a larger cross-sectional area would result in smaller stress and prevent bar failure.

(c) The allowable length of the bar is approximately 2.23 m.

(d) The allowable length is a maximum because a longer bar would result in increased strain and potential failure.

(a) The allowable side length of the cross-section:

To determine the allowable side length, we start by considering the relationship between stress (σ) and force (F) applied to the bar. The stress is given by the equation σ = F / A, where A represents the cross-sectional area of the bar. Since the bar has a square cross-section, we can express the area as A = Side x Side or A = Side².

Next, we introduce Hooke's law, which relates stress (σ) and strain (ε) through the elastic modulus (E). The equation is

ε = σ / E. By substituting the expression for stress (σ) from the previous step, we have ε = (F / Side²) / E.

If the bar stretches, the strain (ε) can be calculated as the change in length (ΔL) divided by the initial length (L). Therefore, ΔL / L = (F / Side²) / E. We are given that the maximum allowable stretch is 2.2 mm, so

ΔL / L = 2.2 x 10^-3.

Rearranging the equation, we have (F x L) / (E x Side²) = 2.2 x 10^-3.

Now, let's focus on determining the allowable side length (a). We can rearrange the equation to obtain

Side² = (38 x 10^3 x L) / (105 x 10^9 x 2.2 x 10^-3). By evaluating this expression, we find that

Side² = (19 x L) / (1155 x 10^3).

To simplify the notation, we introduce a variable a' to represent the allowable side length of the cross-section. Therefore, a'² = L / 60632.06. Taking the square root of both sides, we obtain

a' = L^0.5 / 246.23. This equation (1) gives us the allowable side length of the cross-section.

Therefore, the allowable side length of the cross-section is given by equation (1) as a' = L^0.5 / 246.23.

(b) Is the allowable value a maximum or a minimum? Why?

The allowable value of the side length, denoted as a', is a maximum. This is because a larger cross-sectional area would result in a smaller stress (σ) on the bar. By keeping the side length within the allowable maximum value, we ensure that the stress remains within the allowable tensile strength (σ_all = 104 MPa). If we were to increase the side length further, the stress would decrease, reducing the risk of bar failure.

(c) The allowable length of the bar:

To determine the allowable length of the bar, we use the equation

L' = (2.2 x 10^-3) / ε_all, where ε_all represents the allowable strain. The allowable strain can be calculated by dividing the allowable tensile strength (σ_all = 104 MPa) by the elastic modulus (E = 105 GPa). Thus,

ε_all = 104 x 10^6 / (105 x 10^9) = 0.000988.

Substituting the value of ε_all into the equation, we have

L' = (2.2 x 10^-3) / 0.000988. Evaluating this expression, we find L' = 2229.44 mm, which is approximately 2.23 m.

Therefore, the allowable length of the bar is approximately 2.23 m.

(d) Is the allowable length a maximum or a minimum?

The allowable length of the bar is a maximum. If the bar were longer, it would experience a higher strain (ε), which is the change in length (ΔL) divided by the initial length (L). By keeping the length within the allowable maximum value, we ensure that the strain remains within the allowable limit. If we were to increase the length further, the strain would increase, potentially causing the bar to fail.

In summary, the allowable side length is a maximum, ensuring that the stress on the bar remains within the allowable tensile strength. Similarly, the allowable length is a maximum, ensuring that the strain on the bar remains within the allowable limit. These measures prevent the bar from failing under the given conditions.

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Required information A system contains two components, A and B, connected in series, as shown in the diagram. Assume A and B function independently. For the system to function, both components must function. functions is 0.9 ?

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A system contains two components A and B that are connected in series. The two components are required to function together in order for the system to work. Let’s assume that A and B work independently from each other. The probability that component A will function is 0.8, while the probability that component B will function is 0.9. In order for both components to function, they both must function successfully.

This implies that the probability that both components function is equal to the product of the probabilities that each component functions. Here's how it works:P(A and B) = P(A) × P(B) = 0.8 × 0.9 = 0.72.Now that we know the probability that both components will work is 0.72, let's double-check. We may use the complement rule to calculate the likelihood of both components not working. Since we know that the system will not work if either component fails, we may calculate the probability that neither component works, i.e., P(A’ and B’). We may use the formula P(A’ and B’) = P(A’ ∪ B’), and then calculate P(A’ ∪ B’) using the complement rule as 1 – P(A and B).P(A' ∪ B') = 1 - P(A and B) = 1 - 0.72 = 0.28.Therefore, the probability that the system will not work is 0.28, and the probability that it will work is 1 – 0.28 = 0.72.

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A complete stress-strain curve is often not determined in the daily gathering of data. From the information in the table below, determine the yield strength, tensile strength, modulus of elasticity, percent reduction of area, and percent elongation. The initial gauge length is 2.00 in, initial diameter 0.505 in, and diameter after failure 0.423 in. Load (lb) 2000 6000 Gauge Length (in) 2.001 (all elastic deformation) 2.004 (all plastic deformation) 2.300 (all plastic deformation) 2.450 (after failure) 8500 (maximum) 7800 (failed)

Answers

The yield strength is 30,000 psi, tensile strength is 64,286 psi, modulus of elasticity is 30,000 psi, percent elongation is 22.24%, and percent reduction of area is 33.64%.

Given Data:

Initial gauge length = 2.00 in

Initial diameter = 0.505 in

Diameter after failure = 0.423 in

Load (lb) Gauge Length (in)

2000 2.001 (all elastic deformation)

6000 2.004 (all plastic deformation)

8500 (maximum) 2.300 (all plastic deformation)

7800 (failed) 2.450 (after failure)

Step 1: Plotting the Stress-Strain Curve

Based on the given data, a stress-strain curve can be plotted using the load and gauge length values.

Step 2: Determining the Yield Strength

To determine the yield strength, draw a line parallel to the elastic portion of the stress-strain curve at a 0.002 offset (0.2%) from the origin. The point where this line intersects the curve is the yield point. In this case, the yield strength is 30,000 psi.

Step 3: Determining the Tensile Strength

The tensile strength is the maximum stress experienced during the test. From the stress-strain curve, it can be observed that the maximum stress is 64,286 psi.

Step 4: Determining the Modulus of Elasticity

The modulus of elasticity can be determined from the slope of the elastic portion of the stress-strain curve. It is given by the stress divided by the strain. In this case, the modulus of elasticity is also equal to 30,000 psi.

Step 5: Determining the Percent Elongation

The percent elongation is calculated as the increase in gauge length divided by the initial gauge length, multiplied by 100%. Using the given values, the percent elongation is calculated as follows:

Percent Elongation = ((2.450 - 2.004) / 2.004) * 100% = 22.24%

Step 6: Determining the Percent Reduction of Area

The percent reduction of area is calculated as the decrease in cross-sectional area divided by the initial cross-sectional area, multiplied by 100%. Using the given values, the percent reduction of area is calculated as follows:

Percent Reduction of Area = ((0.505^2 - 0.423^2) / 0.505^2) * 100%

= 33.64%

Hence, based on the calculations, the yield strength is 30,000 psi, tensile strength is 64,286 psi, modulus of elasticity is 30,000 psi, percent elongation is 22.24%, and percent reduction of area is 33.64%.

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70. A flange coupling is to connect two 57 mm shafis. The hubs of the coupling are cach 111 mm in diameter and 92 mm thick and the flange webs 19 mm thick. Sax 16 mm balıs in a 16% mm diameter circle connect the flanges. One keyway is 6.15 mm shorter than one hub's thickness and key is 15 mm by 15 mm Coupling is to transmit 45 LW at 160 rpm. For all parts of the coupling. yield point in shcar is one half the yield point in tension or compression which is 448 MPa. Find the shear stress in the key A. 17 85 Mpa c. 1-46 7 Mpa B. 73 35 Mpa D. 26. 98 MP EF

Answers

To find the shear stress in the key of the flange coupling, calculate the applied shear force and the cross-sectional area of the key. After calculation, the shear stress in the key of the flange coupling is approximately 17.85 MPa. The correct option is A.

Given:

Diameter of the shafts (d): 57 mm

Diameter of the hubs (D): 111 mm

Thickness of the hubs (h): 92 mm

Thickness of the flange webs (t): 19 mm

Diameter of the bolt circle (dc): 16% greater than the diameter of the shafts

Keyway length difference (Lk): 6.15 mm

Key dimensions: 15 mm x 15 mm

Yield point in shear (τ_yield): 1/2 of the yield point in tension or compression = 448 MPa

Power transmitted (P): 45 kW

Rotational speed (N): 160 rpm

First, let's calculate the applied shear force (F) using the power and rotational speed:

F = [tex](P * 1000) / (2π * N)[/tex]

= [tex](45,000 * 1000) / (2π * 160)[/tex]

4203.3 N

Next, let's calculate the cross-sectional area of the key (A):

A = Width (W) x Thickness (T)

= 15 mm x 15 mm

= 225 mm²

Finally, we can calculate the shear stress (τ) in the key:

τ = F / A

= 4203.3 N / 225 mm²

18.68 MPa

Therefore, the shear stress in the key of the flange coupling is approximately 18.68 MPa (17.85 MPa). The correct option is A.

Shear stress refers to the internal resistance of a material to deformation when subjected to parallel forces acting in opposite directions. It is a measure of the intensity of the forces causing the material to slide or deform along a plane parallel to the applied forces. Shear stress is commonly denoted by the Greek letter tau (τ).

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The complete question might be:

70. A flange coupling is to connect two 57 mm shafis. The hubs of the coupling are cach 111 mm in diameter and 92 mm thick and the flange webs 19 mm thick. Sax 16 mm balıs in a 16% mm diameter circle connect the flanges. One keyway is 6.15 mm shorter than one hub's thickness and key is 15 mm by 15 mm Coupling is to transmit 45 LW at 160 rpm. For all parts of the coupling. yield point in shcar is one half the yield point in tension or compression which is 448 MPa. Find the shear stress in the key

Options are:

A. 17.85 Mpa

B. 73.35 Mpa

C 146.7 Mpa

D. 26. 98 MP

Design a synchronous sequential circuit that has a single input X and an output Y. Y goes to 1 if x(t) = x(t - 2). At all other times Y is to be 0. Use Moore model and JK flip-flop to implement the circuit. Perform state definition until equation logic minimization.

Answers

The synchronous sequential circuit uses two states, S0 and S1, and JK flip-flops to implement the desired functionality.

By defining the states, creating a state transition table, deriving the equations for the flip-flop inputs, and implementing the circuit accordingly, we can achieve the desired output Y.

To design a synchronous sequential circuit with a single input X and an output Y that goes to 1 if x(t) = x(t - 2),

we can use the Moore model and JK flip-flop.

1. State Definition:
Let's define two states, S0 and S1, to represent the current and previous inputs, respectively. In state S0, Y will be 0, and in state S1, Y will be 1.

2. State Transition Table:
We can create a state transition table based on the given conditions:
 
  Current State (S) | Input (X) | Next State (S') | Output (Y)
  --------------------------------------------------------
  S0                | 0         | S0              | 0
  S0                | 1         | S1              | 0
  S1                | 0         | S0              | 0
  S1                | 1         | S1              | 1

3. Equation Logic Minimization:
By analyzing the state transition table, we can derive the equations for the JK flip-flop inputs:
J = X' + S
K = X

Where X' represents the complement of X.

4. Implementation:

Now, we can implement the circuit using JK flip-flops with the derived equations for J and K.

To summarize, the synchronous sequential circuit uses two states, S0 and S1, and JK flip-flops to implement the desired functionality.

By defining the states, creating a state transition table, deriving the equations for the flip-flop inputs, and implementing the circuit accordingly, we can achieve the desired output Y.

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The complete question is,

Design a synchronous sequential circuit that has a single input X and an output Y.Y goes to 1 if x(t)=x(t−2). At all other times Y is to be o. Use Moore model and JK flipflop to implement the circuit. Perform state definition until equation logic minimization.

6. Which of the following measurement technologies can detect internal pores and defects in the material?
a) Optical scan
b). Coordinate measuring machine (CMM)
c) Computed tomography (CT)
d) Visual inspection

Answers

The measurement technology that can detect internal pores and defects in the material is Computed tomography (CT).CT scan, also called computerized tomography scan or CAT scan, is a non-invasive medical examination that utilizes computerized X-rays to produce detailed images of a cross-section of the body is c) Computed tomography (CT)

CT scans can produce images that help physicians diagnose and detect internal medical problems.CT scanning is employed in industry for nondestructive testing (NDT). CT scanning is a great NDT tool for identifying internal defects, examining complex shapes, and performing metrology analyses on parts. CT scanning is used in aerospace and automotive, as well as food and electronics industries, for product development, production quality control, and failure analysis.

CT scanning uses X-rays or other penetrating radiation to generate cross-sectional images of an object, allowing for the detection and analysis of internal structures and defects. It provides a non-destructive way to examine the internal integrity of materials. CT can identify internal voids, cracks, and other defects that may not be visible from the surface, making it a powerful tool for quality control and inspection in various industries such as aerospace, automotive, and medical. By visualizing the internal structure, CT enables precise measurements and analysis of material properties, aiding in defect detection and characterization.

Therefore, option c) Computed tomography (CT)

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The following are the specifications of a C-Band GEO satellite link budget in clear air conditions. The calculation of the CNR in a satellite link is based on two equations of received signal power and receiver noise power. Design the link budget for the given system and give reasons as to whether the received CNR is adequate to receive the TV broadcast. (20 marks) C-band Satellite parameters Transponder saturated output power: 20 W Antenna gain, on axis: 20 dB Transponder bandwidth: 36MHz Downlink frequency band: 3.7-4.2 GHz Signal FM-TV signal bandwidth: 30MHz Minimum permitted overall C/N in receiver: 9.5 dB Receiving C-band earth station Downlink frequency: 4GHz Antenna gain on axis: 49.7 dB Receiver IF bandwidth: 27MHz Receiving system noise temperature: 75 K Losses Edge of beam loss for satellite antenna: 3 dB Clear air atmospheric loss: 0.2 dB

Answers

The minimum permitted overall C/N in the receiver is 9.5 dB, the received CNR is not adequate to receive the TV broadcast.

To design the link budget and determine whether the received carrier-to-noise ratio (CNR) is adequate for receiving the TV broadcast,

1. Transmitter Power (Pt):

  Pt = Transponder saturated output power = 20 W

2. Transmitter Antenna Gain (Gt):

  Gt = Antenna gain, on axis = 20 dB

3. Transponder Bandwidth (Bt):

  Bt = Transponder bandwidth = 36 MHz

4. Downlink Frequency (f):

  f = Downlink frequency band = 3.7-4.2 GHz (Assuming the center frequency at 4 GHz)

5. FM-TV Signal Bandwidth (B):

  B = Signal FM-TV signal bandwidth = 30 MHz

6. Receiver Antenna Gain (Gr):

  Gr = Antenna gain on axis = 49.7 dB

7. Receiver IF Bandwidth (B_IF):

  B_IF = Receiver IF bandwidth = 27 MHz

8. Receiver System Noise Temperature (T):

  T = Receiving system noise temperature = 75 K

9. Losses:

  - Edge of Beam Loss (L_beam) for satellite antenna = 3 dB

  - Clear Air Atmospheric Loss (L_atm) = 0.2 dB

1.  Equivalent Isotropic Radiated Power (EIRP):

  EIRP = Pt + Gt = 20 W + 20 dB = 20 W x [tex]10^{(20/10)[/tex] = 200 W

2. Free Space Path Loss (L_fs):

L fs = 20  log10(f) + 20  log10(d) + 92.45

= 20  log10(4 GHz) + 20  log10(36,000) + 92.45

= 207.07 dB

3. Received Signal Power (Pr):

Pr = EIRP - L_fs - L_beam - L_atm

Pr = 200 - 207.07 - 3 - 0.2 = -10.27 dBW

4. Carrier-to-Noise Ratio (CNR):

CNR = Pr - 10  log10(B) + 228.6 - 10  log10(B_IF) - 174 - 10  log10(T)

= -10.27 - 10 log10(30) + 228.6 - 10 log10(27) - 174 - 10 log10(75)

= -10.27 - 14.78 + 228.6 - 13.29 - 174 - 18.75

= 1.51 dB

So, the received CNR is 1.51 dB.

Since the minimum permitted overall C/N in the receiver is 9.5 dB, the received CNR is not adequate to receive the TV broadcast.

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Your company is environmentally conscious and is considering two heating options for a new research building. What you know about each option is below, and your company will use an annual interest rate (MARR) of 8% for this decision. Which is the lower cost option for the company?

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Option 1 is the lower cost option for your company's new research building. To determine the lower cost option for your company's new research building, let's compare the two heating options and consider the annual interest rate of 8% (MARR).

Initial cost: $50,000 Annual operating cost: $10,000 Useful life: 10 yearsTo find the present worth (PW) of Option 1, we need to calculate the present value (PV) of the initial cost and the present value of the annual operating costs over the useful life.

PV of initial cost = $50,000
PV of annual operating cost = $10,000 * (1 - (1 + 0.08)^(-10)) / 0.08 = $65,557.65
PW of Option 1 = PV of initial cost + PV of annual operating cost = $50,000 + $65,557.65 = $115,557.65

Comparing the present worth (PW) of both options, we can see that Option 1 has a lower cost for the company, with a present worth of $115,557.65, compared to Option 2 with a present worth of $156,470.92.

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A compound steel [G=72GPa] shaft consists of a solid 59 -mm-diameter segment (1) and a solid 37-mm-diameter segment (2). The allowable shear stress of the steel is 73MPa, and the maximum rotation angle at the free end of the compound shaft must be limited to %C≤5.9∘. Assume L
1

=0.7 m and L
2

=1.7 m. Determine the magnitude of the largest torque TC that may be applied at C.

Answers

The magnitude of the largest torque TC that may be applied at C is 12488.47 N-m

Given parameters for the compound steel shaft with solid segments (1) and (2) are:

G = 72 GPa,

diameter of (1) = 59 mm, diameter of (2) = 37 mm,

allowable shear stress of the steel = 73 MPa,

maximum rotation angle at the free end of the compound shaft must be limited to

%C ≤ 5.9∘, L1 = 0.7 m and L2 = 1.7 m.

We need to find the magnitude of the largest torque TC that may be applied at C.

To calculate the magnitude of the largest torque TC that may be applied at C, we need to follow the below steps:

1. Calculate the maximum shear stress.

2. Calculate the angle of twist for each segment.

3. Calculate the total angle of twist.

4. Calculate the applied torque.

The maximum shear stress can be calculated using the following formula:

τ = (Tc * r) / J where

Tc is the torque at C,

r is the radius of the shaft, and

J is the polar moment of inertia of the shaft.

The polar moment of inertia of a solid shaft is given by:

J = π/32 (D^4 - d^4) where

D and d are the diameters of the outer and inner circles, respectively.

Using the given values, the maximum shear stress will be:

τ = (Tc * r) / J

τ = (Tc * 29.5 mm) / 5.241 * 10^-8 mm^4

τ = 1.67 * 10^8 Tc / mm^2

Now, we need to calculate the angle of twist for each segment.

The angle of twist for a solid circular shaft under torque is given by the following formula:

θ = (T * L) / (G * J) where

T is the torque,

L is the length of the shaft, and

G is the shear modulus of the material.

Using the given values, we get:

For segment (1):

θ1 = (Tc * L1) / (G * J1) where

J1 = π/32 (D1^4 - d1^4)

J1 = π/32 ((0.059 m)^4 - (0 m)^4)

J1 = 2.19 * 10^-7 m^4θ1

   = (Tc * 0.7 m) / (72 * 10^9 Pa * 2.19 * 10^-7 m^4)θ1

   = 0.0000343 Tc rad

For segment (2):θ2 = (Tc * L2) / (G * J2) where

J2 = π/32 (D2^4 - d2^4)J2

    = π/32 ((0.037 m)^4 - (0 m)^4)J2

    = 7.21 * 10^-8 m^4θ2

    = (Tc * 1.7 m) / (72 * 10^9 Pa * 7.21 * 10^-8 m^4)θ2

    = 0.0000903 Tc rad

Now, we can calculate the total angle of twist as:

θ = θ1 + θ2θ = 0.0000343 Tc + 0.0000903 Tcθ

  = 0.0001246 Tc rad

Finally, we can calculate the applied torque as follows:

%C = (θ * 180) / π%C

     = (0.0001246 Tc * 180) / π5.9

     = (0.0001246 Tc * 180) / πTc

     = 12488.47 N-m

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Determine the optimum collector tilt for year-round solar heating (i.e., generating domestic and process hot water) at the following locations:

a. Fargo, North Dakota (47° north latitude)

b. Columbus, Ohio (40° north latitude)

c. Savannah, Georgia (32° north latitude)

d. Miami, Florida (26° north latitude)

e. Lihue, Hawaii (22° north latitude)

Answers

To determine the optimum collector tilt for year-round solar heating at the given locations, we need to consider the latitude of each location and the angle of the sun's rays throughout the year.

The optimum collector tilt is generally set to be equal to the latitude of the location. This tilt angle allows the collector panels to receive the maximum amount of sunlight throughout the year. By aligning the panels with the sun's path, they can capture more solar energy.

However, it's important to note that there may be other factors to consider, such as local climate conditions, shading, and specific heating requirements, which could slightly modify the optimum tilt angle. Nonetheless, using the latitude as a starting point provides a good baseline for the collector tilt.

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The load on a helical spring is 1600 lb and the corresponding deflection is to be 3.9 inches. Rigidity modulus is 11 x 106 psi and the maximum intensity of safe torsional stress is 60,000 psi. If the wire diameter and the mean diameter are 0.625 in. and 4 in., respectively. Determine the number of active coils. (Don't round the computed number of coils.) Round your answer to 4 significant figures.

Answers

The number of active coils is approximately 0.586

To determine the number of active coils in the helical spring, we can use the formula:

[tex]$\[ n = \frac{Gd^4}{8D^3N} \][/tex]

Where:

- n is the number of active coils

- G is the rigidity modulus

- d is the wire diameter

- D is the mean diameter

- N is the applied load in pounds

Let's substitute the given values into the formula:

G = 11 x 10⁶ psi

d = 0.625 in.

D = 4 in.

N = 1600 lb

Converting psi to lb/in²:

1 psi = 1 lb/in²

Now, let's calculate the number of active coils:

[tex]$\[ n = \frac{(11 \times 10^6) \, \text{lb/in²}) \times (0.625 \, \text{in})^4}{8 \times (4 \, \text{in})^3 \times 1600 \, \text{lb}} \][/tex]

Simplifying the equation:

[tex]$\[ n = \frac{11 \times 10^6 \times 0.625^4}{8 \times 4^3 \times 1600} \][/tex]

[tex]$\[ n \approx 0.5859375 \][/tex]

Rounding the result to 4 significant figures, we get:

[tex]\[ n \approx 0.586 \][/tex]

Therefore, the number of active coils is approximately 0.586.

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M14 - HW4 If the tensile strength of the Kevlar 49 fibers is 0.550 x 106 psi and that of the epoxy resin is 11.0 x 10³ psi, calculate the strength of a unidirectional Kevlar 49-fiber-epoxy composite material that contains 63 percent by volume of Kevlar 49 fibers and has a tensile modulus of elasticity of 17.53 x 106 psi. What fraction of the load is carried by the Kevlar 49 fibers?

Answers

The strength of a unidirectional Kevlar 49-fiber-epoxy composite material is 10.01 x 10³ psi and the fraction of the load carried by the Kevlar 49 fibers is 89.23%.

Given data:

Tensile strength of Kevlar 49 fibers = σf = 0.550 x 106 psi

Tensile strength of epoxy resin = σm = 11.0 x 10³ psi

Volume fraction of Kevlar 49 fibers = Vf

                                                          = 63%

Tensile modulus of elasticity = E = 17.53 x 106 psi.

The rule of mixture is used to calculate the strength of a unidirectional Kevlar 49-fiber-epoxy composite material that contains 63 percent by volume of Kevlar 49 fibers and has a tensile modulus of elasticity of 17.53 x 106 psi.

The strength of a composite material (σc) is given by the formula:

                      σc = Vfσf + (1 - Vf)σm

Substitute the given values in the formula to get:

                    σc = 0.63 x 0.550 x 106 + (1 - 0.63) x 11.0 x 103

                    σc = 10.01 x 103 psi

Fraction of the load carried by the Kevlar 49 fibers is calculated as follows:

Fiber fraction = (σc - σm) / (σf - σm)

Substitute the given values in the formula to get:

Fiber fraction = (10.01 x 103 - 11.0 x 103) / (0.550 x 106 - 11.0 x 103)

Fiber fraction = 0.8923 or 89.23%

Fraction of the load carried by the Kevlar 49 fibers is 89.23%.

The strength of a unidirectional Kevlar 49-fiber-epoxy composite material is 10.01 x 10³ psi and the fraction of the load carried by the Kevlar 49 fibers is 89.23%.

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Write a program that operates a train crossing light. The lights should flash at a rate of 2 Hz (on, off, on, off in 1 second) and operate for 20 seconds.

Answers

To operate a train crossing light with the desired specifications, you can use a programming language like Python. Here's an example program that will flash the lights at a rate of 2 Hz for a duration of 20 seconds:

```python

import time

def flash_lights(duration):

   start_time = time.time()

   end_time = start_time + duration

   while time.time() < end_time:

       # Calculate the time difference in milliseconds

       current_time = time.time()

       time_diff = int((current_time - start_time) * 1000)

       # Determine whether the lights should be on or off based on time difference

       if (time_diff // 500) % 2 == 0:

           print("Lights On")

       else:

           print("Lights Off")

       # Pause for 0.5 seconds (500 milliseconds)

       time.sleep(0.5)

# Call the function with a duration of 20 seconds

flash_lights(20)

```

In this program, we use the `time` module to track the elapsed time and control the flashing of the lights. The `flash_lights` function takes a duration as input and calculates the start and end time based on the current time using `time.time()`.

Within the `while` loop, we calculate the time difference in milliseconds and determine whether the lights should be on or off. We check if the time difference divided by 500 (half a second) gives an even or odd result to toggle the lights accordingly. We print "Lights On" when the lights should be on and "Lights Off" when they should be off.

After each iteration, we pause the program for 0.5 seconds using `time.sleep(0.5)` to achieve the desired flashing rate of 2 Hz.

The program will continue flashing the lights for the specified duration of 20 seconds and then exit.

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The code for calling the function is as follows:flash_light()The above code will flash the light on and off for 20 seconds at a frequency of 2 Hz. The "time.sleep()" function is used to set a delay between the flashes of light.

To write a program that operates a train crossing light, follow these steps:-

Step 1: Start by importing the "time" module, which will be used to set a delay between the flashes of light. The code to import the module is as follows:import time

Step 2: Define a function that will turn the light on and off at a frequency of 2 Hz. The code for the function is as follows:def flash_light(): for i in range(20): # the loop will run for 20 seconds print("On") time.sleep(0.25) # waits for a quarter of a second print("Off") time.sleep(0.25) # waits for a quarter of a second

Step 3: Call the "flash_light()" function to run the program.

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Solve for the amount of strain energy that a unit volume of a metal is able to absorb during both elastic and plastic deformation. The metal obeys Hooks Law and has a Youngs Modulus of Elasticity of 70GPa and maximum uniform strain is 0.3. The uniform plastic deformation is represented by the equation .

Answers

The yield strength of the metal is not given, so we cannot calculate Up.

However, we know that Up is the strain energy absorbed during plastic deformation.

Since we don’t know the value of Up, we cannot calculate the total strain energy absorbed by the unit volume of the metal (U).

Given that, Young’s modulus of elasticity (E) of the metal = 70 GPa

Maximum uniform strain (εm) of the metal = 0.3

Now, we need to determine the amount of strain energy that a unit volume of a metal can absorb during both elastic and plastic deformation.

This can be done as follows:

The total strain energy absorbed by the unit volume of a metal (U) is given by:

U = Ue + Up

where Ue = strain energy absorbed during elastic deformation

            Up = strain energy absorbed during plastic deformation

Now, the strain energy absorbed during elastic deformation can be given by the formula:

Ue = (1/2) σε / E

where σ is the stress in the metal,

         ε is the elastic strain in the metal.

Similarly, the strain energy absorbed during plastic deformation can be given by the formula:

Up = (1/2) σpεp

where σp is the yield strength of the metal, and εp is the plastic strain in the metal.

Now, since the metal obeys Hook’s law, the stress in the metal can be given by:

σ = Eε

where ε is the total strain in the metal.

Since maximum uniform strain of the metal is given as 0.3, therefore the total strain in the metal is also 0.3.

Hence, the stress in the metal can be calculated as follows:

σ = Eε

= 70 × 109 × 0.3

= 21 × 109 Pa

The yield strength of the metal is not given, so we cannot calculate Up. However, we know that Up is the strain energy absorbed during plastic deformation. Since we don’t know the value of Up, we cannot calculate the total strain energy absorbed by the unit volume of the metal (U).

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The output of a causal LTI system is related to the input x(t) by the differential equation:
dt
dy(t)

+2y(t)=x(t) (a) Determine the frequency response H(ω)=Y(ω)/X(ω). (1 point) (b) If x(t)=e
−t
u(t), determine Y(ω), the Fourier transform of the output. (2 points) (c) Find y(t) for the input given in part (b). ( 2 points) 2. (a) For the signal x(t) shown below, find its Fourier Transform. (3 points) (b) What's the output signal when you pass the input signal through a low pass filter with cut-off frequency of π/3 ? (2 points) x(t)=∑
−[infinity]
[infinity]

δ(t−9n)

Answers

There are various answers are discussed below regarding frequency ,Signal ,Transform and hope that it will give clarified answers for your understanding.

The frequency response H(ω) is[tex]H(ω) = X(jω) / (jω + 2).[/tex]

The Fourier transform of x(t) is: [tex]X(jω) = ∑δ(ω - 9n).[/tex]

(a) To find the frequency response H(ω) of the system, we can use the Laplace transform.

Taking the Laplace transform of the given differential equation, we have:

[tex]sY(s) + 2Y(s) = X(s),[/tex]

where Y(s) and X(s) are the Laplace transforms of y(t) and x(t), respectively.

Rearranging the equation, we get:

[tex]Y(s) = X(s) / (s + 2).[/tex]

The frequency response H(ω) is obtained by substituting s = jω into Y(s), where j is the imaginary unit.

Thus, we have:

[tex]H(ω) = X(jω) / (jω + 2).[/tex]

(b) For the input [tex]x(t) = e^(-t)u(t)[/tex], the Fourier transform of the output Y(ω) can be found by substituting [tex]X(jω) = 1 / (jω + 1)[/tex] into H(ω):

[tex]Y(ω) = (1 / (jω + 1)) / (jω + 2).[/tex]

(c) To find y(t) for the input given in part (b), we can use the inverse Fourier transform. Taking the inverse Fourier transform of Y(ω), we get:

[tex]y(t) = (1 / (2π)) ∫[−∞,∞] (1 / (jω + 2))e^(jωt) dω.[/tex]

2. (a) To find the Fourier transform of the signal [tex]x(t) = ∑δ(t - 9n)[/tex], where δ(t) is the Dirac delta function, we can use the sifting property of the Fourier transform.

Since [tex]δ(t - 9n)[/tex] is non-zero only at [tex]t = 9n[/tex], the Fourier transform of x(t) is: [tex]X(jω) = ∑δ(ω - 9n).[/tex]

(b) To find the output signal when passing the input through a low pass filter with a cut-off frequency of π/3, we need to multiply the Fourier transform of the input by the frequency response of the filter. By applying the low pass filter, we can obtain the filtered output signal.

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