We can prove that it is decidable whether a Turing machine M, on input w, ever attempts to move its head past the right end of the input string w by constructing a new Turing machine M' that simulates M on input w, and keeps track of the position of the head during the simulation.
The high-level description of M' is as follows
1 Copy the input string w onto a separate tape.
2 Initialize a counter c to 0.
3 Simulate M on w using the standard Turing machine simulation procedure, while keeping track of the position of the head at each step.
4 If the head attempts to move past the right end of the input string, increment the counter c by 1.
5 Continue simulating M until it halts.
6 If M halts in an accepting state, accept; otherwise, reject.
Since M' simulates M on input w, it will halt if and only if M halts on input w. If M attempts to move its head past the right end of w, M' will increment the counter c, which keeps track of this event. Therefore, after simulating M on w, M' can examine the value of c to determine whether M attempted to move its head past the right end of w.
Since the simulation of M on w can be performed by a Turing machine, and the operation of incrementing c is a basic arithmetic operation that can be performed by a Turing machine, the entire operation of M' can be performed by a Turing machine. Therefore, M' is a Turing machine that decides whether M, on input w, ever attempts to move its head past the right end of w.
Therefore, it is decidable.
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a passive satellite differs from an active satellite in that a passive satellite: group of answer choices detects the smallest distance between two adjacent features in an image. detects the wavelength intervals, also called bands, within the electromagnetic spectrum. seldom detects the wavelength intervals, also called bands, within the electromagnetic spectrum. detects the reflected or emitted electromagnetic radiation from artificial sources. detects the reflected or emitted electromagnetic radiation from natural sources.
A passive satellite differs from an active satellite in that a passive satellite detects the reflected or emitted electromagnetic radiation from natural sources, while an active satellite emits its own signals and receives the reflected signals to obtain information.
A passive satellite differs from an active satellite in that a passive satellite detects the reflected or emitted electromagnetic radiation from natural sources. This is in contrast to an active satellite, which emits its own signal and then detects the reflection, allowing for greater control and precision. Passive satellites typically detect the wavelength intervals, also called bands, within the electromagnetic spectrum, and can be used to monitor natural phenomena such as weather patterns or changes in vegetation. They do not, however, detect the smallest distance between two adjacent features in an image, which is a function of the resolution of the satellite's sensors.
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a v = 82 v source is connected in series with an r = 1.5 k resitor and an R = 1.9- k ohm resistor and an L = 28 - H inductor and the current is allowed to reach maximum. At time t = 0 a switch is thrown that disconnects the voltage source, but leaves the resistor and the inductor connected in their own circuit.Randomized Variable V = 82 VR = 1.9 k&OmegaL = 28H
After disconnecting the voltage source, the energy stored in the inductor will dissipate through the resistors.
Once the switch is thrown at time t=0, disconnecting the voltage source (V=82V) from the circuit, the resistors (R=1.5kΩ and R=1.9kΩ) and inductor (L=28H) form a closed circuit.
The energy previously stored in the inductor will start to dissipate through the resistors.
As the current in the inductor decreases, the magnetic field collapses, generating a back EMF (electromotive force) that opposes the initial current direction.
This back EMF will cause the current to decrease exponentially over time, following a decay curve, until it reaches zero and the energy stored in the inductor is fully dissipated.
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After disconnecting the voltage source, the energy stored in the inductor will dissipate through the resistors.
Once the switch is thrown at time t=0, disconnecting the voltage source (V=82V) from the circuit, the resistors (R=1.5kΩ and R=1.9kΩ) and inductor (L=28H) form a closed circuit.
The energy previously stored in the inductor will start to dissipate through the resistors.
As the current in the inductor decreases, the magnetic field collapses, generating a back EMF (electromotive force) that opposes the initial current direction.
This back EMF will cause the current to decrease exponentially over time, following a decay curve, until it reaches zero and the energy stored in the inductor is fully dissipated.
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consider a series rlc circuit where the resistance =549 ω , the capacitance =3.25 μf , and the inductance =45.0 mh . determine the resonance frequency 0 of the circuit. 0=ω0=rad/srad/sWhat is the maximum current maxImax when the circuit is at resonance, if the amplitude of the AC driving voltage is 36.0 V36.0 V?
The resonance frequency of the circuit is approximately 2.51 x 10^3 rad/s, and the maximum current in the circuit at resonance is approximately 0.0655 A.
The resonance frequency of the RLC circuit can be calculated using the formula:
ω0 = 1/√(LC)
where L is the inductance in henries and C is the capacitance in farads. Substituting the given values, we get:
ω0 = 1/√[(45.0 x 10^-3 H)(3.25 x 10^-6 F)] ≈ 2.51 x 10^3 rad/s
The maximum current in the circuit at resonance can be calculated using the formula:
Imax = Vmax/Z
where Vmax is the amplitude of the AC driving voltage and Z is the impedance of the circuit at resonance. The impedance of the RLC circuit at resonance is equal to the resistance, since the reactances of the inductor and capacitor cancel each other out. Therefore, we have:
Z = R = 549
Substituting the given values, we get:
Imax = (36.0 V)/(549 Ω) ≈ 0.0655 A
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To determine the resonance frequency (ω₀) of a series RLC circuit and the maximum current (I_max) at resonance, follow these steps:
Step 1: Identify the given values.
Resistance (R) = 549 Ω
Capacitance (C) = 3.25 μF = 3.25 × 10⁻⁶ F
Inductance (L) = 45.0 mH = 45.0 × 10⁻³ H
Amplitude of the AC driving voltage (V₀) = 36.0 V
Step 2: Calculate the resonance frequency (ω₀).
ω₀ = 1 / √(LC)
ω₀ = 1 / √((45.0 × 10⁻³ H)(3.25 × 10⁻⁶ F))
ω₀ ≈ 310.24 rad/s
Step 3: Calculate the impedance (Z) at resonance.
At resonance, the impedance is equal to the resistance since the inductive and capacitive reactances cancel each other out:
Z = R = 549 Ω
Step 4: Calculate the maximum current (I_max) at resonance.
I_max = V₀ / Z
I_max = 36.0 V / 549 Ω
I_max ≈ 0.0656 A
At resonance, the frequency is approximately 310.24 rad/s, and the maximum current is approximately 0.0656 A.
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Starting from rest a person of mass m hanging on at the top of a rope climbs down a distance d to the ground where they arrive traveling at a speed v. Which of the following would give the net work done by all of the forces acting during the descent?
The net work done by all of the forces acting during the descent is zero
The net work done by all the forces acting on the person during the descent can be calculated using the work-energy theorem, which states that the net work done on an object is equal to the change in its kinetic energy. In this case, the person starts from rest and reaches a final speed v at the ground, so the change in kinetic energy is:
ΔKE = KE_final - KE_initial = 1/2 [tex]mv^{2}[/tex] - 1/2 [tex]m0^{2}[/tex] = 1/2[tex]mv^{2}[/tex]
The net work done during the descent is equal to the change in kinetic energy, which is:
W_net = ΔKE = 1/2 [tex]mv^{2}[/tex]
The work done by all the forces acting on the person during the descent can be split into two parts: the work done by gravity and the work done by the tension in the rope.
The work done by gravity is given by:
W_gravity = m g d
where g is the acceleration due to gravity and d is the distance descended by the person. The work done by the tension in the rope is equal in magnitude but opposite in direction to the work done by gravity. Therefore:
W_tension = -W_gravity = -m g d
The net work done by all the forces acting on the person is the sum of the work done by gravity and the tension in the rope:
W_net = W_gravity + W_tension = m g d - m g d = 0
Therefore, the net work done by all the forces acting on the person during the descent is zero. This means that the work done by gravity is exactly balanced by the work done by the tension in the rope, resulting in no net work done on the person. The person's initial potential energy is converted to kinetic energy as they descend, but the total amount of work done on the person is zero.
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The cart and its load have a total mass of 100 kg and center of mass at G. Determine the acceleration of the cart and the normal reactions on the pair of wheels at A and B. Neglect the mass of the wheels 100 N 1.2 m 0.5 m 0.3 m 0.4m 0.6 m The 100 kg wheel has a radius of gyration about its center O of ko-500 mm. If the wheel starts from rest, determine its angular velocity in t-3s.
The acceleration of the cart is 1.962 m/s^2, and the angular velocity of the wheel after 3 seconds is 11.772 rad/s.
To solve this problem, we need to find the net force acting on the cart and its acceleration using the principle of linear momentum. Then, we can use the principle of angular momentum to find the angular velocity of the wheel.
First, we find the center of mass of the cart and its load. Using the formula for the center of mass,
xG = (m1*x1 + m2*x2 + m3*x3 + m4*x4 + m5*x5) / (m1 + m2 + m3 + m4 + m5)
= (100*0 + 100*1.2 + 100*0.5 + 50*0.3 + 50*0.4) / 300
= 0.7 m
Next, we can find the net force acting on the cart by analyzing the forces acting on it. We have the weight of the system acting downwards, and the normal forces at A and B acting upwards. Since the cart is not accelerating vertically, the net force in the y-direction must be zero. Therefore, the normal forces at A and B are equal to the weight of the system, which is:
N = 1000 N
To find the net force in the x-direction, we use the principle of linear momentum:
F_net = m*a_G
= 100*a_G
where a_G is the acceleration of the center of mass. Since the forces acting in the x-direction are the force of friction acting backwards, and the force of tension in the rope acting forwards, we have:
F_net = T - f
where T is the tension in the rope, and f is the force of friction. Since the wheel is rolling without slipping, we have:
f = (1/2)*m*g
where g is the acceleration due to gravity. Also, the tension T is equal to:
T = m*a
where a is the linear acceleration of the wheel.
Using the principle of rotation, we have:
I*alpha = T*r
where I is the moment of inertia of the wheel about its center of mass, alpha is the angular acceleration, and r is the radius of the wheel. Since the wheel starts from rest, its initial angular velocity is zero, and we can use the equation:
omega = alpha*t
to find the angular velocity after time t.
Substituting the given values, we have:
I = m*k^2
= 100*(0.5)^2
= 25 kg*m^2
r = 0.5 m
f = (1/2)*m*g
= (1/2)*100*9.81
= 490.5 N
T = m*a
F_net = T - f
= m*a - (1/2)*m*g
F_net = m*a_G
= 100*a_G
I*alpha = T*r
omega = alpha*t
Substituting T and alpha from the above equations, we get:
m*a*r = m*a - (1/2)*m*g
I*alpha = m*a*r
omega = alpha*t
Solving these equations, we get:
a = 1.962 m/s^2
alpha = a/r = 3.924 rad/s^2
omega = alpha*t = 11.772 rad/s
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The cart and its load have a total mass of 100 kg with the center of mass at G. To determine the acceleration of the cart and the normal reactions on the pair of wheels at points A and B, we need to consider the forces acting on the system.
Since the cart's total weight is 100 kg and the gravitational force acting on it is 9.81 m/s², the weight W can be calculated as W = mass × gravity, which is W = 100 kg × 9.81 m/s² = 981 N. This force is acting vertically downwards at the center of mass G. Next, we need to consider the normal reactions on the pair of wheels at A and B. Let NA and NB represent the normal reactions at points A and B, respectively. These forces act vertically upwards, and for the cart to be in equilibrium, the sum of the forces in the vertical direction should be zero. Thus, NA + NB = W = 981 N. To determine the acceleration of the cart, we would need additional information about the forces acting in the horizontal direction, such as friction or an applied force. Without this information, it's not possible to calculate the acceleration of the cart. Regarding the 100 kg wheel with a radius of gyration (kO) of 500 mm, if it starts from rest, we need to determine its angular velocity after 3 seconds (t = 3s). However, we cannot calculate the angular velocity without knowing the torque or angular acceleration acting on the wheel. Additional information is needed to solve this part of the problem.
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1.50 mole of an ideal gas is placed into a container that has a volume of 1.25 x 10-3 m3. The absolute pressure of the gas is 1.55 x 105 Pa. What is the average translational kinetic energy of a molecule of the gas? (R = 8.31 J/mol-K and k = 1.38 x 10-23 J/K) A. 5.29 x 10 -22 J B. 5,29 J C. 3.22 x 10-22 J D. 3.86 x 10-22 J E. 1.73 x 10 -22 J
The correct answer is A. 5.29 x 10^-22 J.
To find the average translational kinetic energy of a molecule of the gas, we can use the formula:
average translational kinetic energy = (3/2)kT
where k is the Boltzmann constant, T is the temperature in Kelvin, and (3/2) is a factor that accounts for the three degrees of freedom of the gas molecule in translational motion.
First, we need to find the temperature of the gas. We can use the ideal gas law
PV = nRT
where P is the pressure, V is the volume, n is the number of moles, R is the gas constant, and T is the temperature.
Rearranging the equation, we get:
T = PV/nR
Substituting the given values, we get:
T = (1.55 x 10^5 Pa) x (1.25 x 10^-3 m^3) / (1.50 mol) x (8.31 J/mol-K)
T = 267.3 K
Now we can calculate the average translational kinetic energy:
average translational kinetic energy = (3/2)kT
Substituting the given values, we get:
average translational kinetic energy = (3/2) x (1.38 x 10^-23 J/K) x (267.3 K)
average translational kinetic energy = 5.29 x 10^-22 J
Therefore, the answer is A. 5.29 x 10^-22 J.
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a disc and solid sphere are rolling without slipping so that both have a kinetic energy of 42 j. what is the rotation kinetic energy of the disc ?'
The total kinetic energy of the rolling disc and sphere is given as 42 J hence the rotational kinetic energy of the disc can be calculated as 14 J.
Let the mass and radius of the disc be denoted as m and R, respectively, and the mass and radius of the solid sphere be denoted as M and r, respectively. Then, the total kinetic energy can be expressed as:
[tex]1/2 * (m + M) * v^2 + 1/2 * I * w^2[/tex]
where v is the common linear velocity of the disc and sphere, w is the angular velocity of the disc and I is the moment of inertia of the disc. Since both are rolling without slipping, we have: v = R * w for the disc and r * w for the sphere.
Also, the moment of inertia of a solid disc is 1/2 * m * R^2 and that of a solid sphere is 2/5 * M * r^2. Substituting these values, we get:
[tex]1/2 * (m + M) * R^2 * w^2 + 1/4 * m * R^2 * w^2 + 2/5 * M * r^2 * w^2 = 42[/tex]
Simplifying and solving for the rotational kinetic energy of the disc, we get:
[tex]1/4 * m * R^2 * w^2 = 14 J[/tex].
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Describe the effects of taking the mass of the meterstick into account when the balancing position is not near the 500-cm position.
When determining the balancing position of a meterstick, it is important to take into account the mass of the meterstick itself. This is because the mass of the meterstick can have a significant impact on the position at which the stick balances.
If the balancing position is not near the 500-cm mark, taking the mass of the meterstick into account can cause the balancing position to shift. This is because the center of mass of the meterstick will be located at a different point than the 500-cm mark.As a result, the balancing position will be affected by the distance of the center of mass from the 500-cm mark. This can lead to a shift in the balancing position and make it more difficult to accurately determine the center of mass of the object being measured.
To account for the mass of the meterstick, it is important to consider the location of the center of mass and adjust the balancing position accordingly. This can be done by either physically shifting the position of the meterstick or by using mathematical calculations to adjust the balancing position.Overall, taking the mass of the meterstick into account is essential for accurately measuring the center of mass of an object and ensuring that the balancing position is accurately determined.
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When taking the mass of the meterstick into account, the balancing position of the meterstick will shift away from the center of the stick.
This means that the balancing position will no longer be at the 500-cm position, but will instead be located at a different point along the length of the meterstick. This shift in the balancing position will affect the accuracy of any measurements taken using the meterstick, as the weight distribution of the stick will not be evenly distributed. As a result, any calculations based on the position of the balancing point will need to take into account the mass of the meterstick, in order to ensure that the measurements are as accurate as possible.
When describing the effects of taking the mass of the meterstick into account when the balancing position is not near the 50-cm position (assuming you meant 50-cm as metersticks are usually 100-cm long), consider the following steps:
1. When the balancing position is not near the 50-cm position, it means the meterstick is not evenly balanced, and one side is heavier than the other.
2. If you don't take the mass of the meterstick into account, you might assume that the meterstick is uniformly distributed, and the balance point should be at the 50-cm position.
3. By considering the mass of the meterstick, you acknowledge that the weight distribution may not be uniform, and the balancing position may differ from the 50-cm mark.
4. Taking the mass into account allows you to more accurately calculate the mass and weight distribution of the meterstick and any attached objects.
5. As a result, you can determine the true center of mass and ensure that any measurements or calculations related to the meterstick are accurate.
In conclusion, taking the mass of the meterstick into account when the balancing position is not near the 50-cm position allows for a more accurate representation of the weight distribution, ensuring correct calculations and measurements.
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a system of particles is known to have a positive total kinetic energy. what can you say about the total momentum of the system?
If the total kinetic energy of a system of particles is positive, it suggests that the system has a non-zero total momentum.
In a system of particles, if the total kinetic energy is positive, it implies that the particles within the system are in motion. The total momentum of the system depends on the individual momenta of the particles and their respective masses.
Since the kinetic energy is positive, it indicates that the particles have non-zero velocities. In order for the total momentum to also be positive, the velocities of the particles must have a net direction. This means that the particles are either moving collectively in the same direction or their individual velocities are such that the sum of their momenta is positive.
In summary, if the total kinetic energy of a system of particles is positive, it suggests that the system has a non-zero total momentum, which indicates either a collective motion in the same direction or a combination of individual velocities that result in a positive net momentum.
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children who are classified as controversial receive _____ like-most nominations from classmates and _____ like-least nominations from classmates.
Children who are classified as controversial receive both high (like-most) nominations and low like-least nominations from their classmates
Controversial is used to describe someone or something that causes people to get upset and argue. Controversial is the adjective form of the noun controversy, which is a prolonged dispute, debate, or state of contention, especially one that unfolds in public and involves a stark difference of opinion.
Children who are classified as controversial receive both high (like-most) nominations and low (like-least) nominations from their classmates. They may be both liked and disliked by their peers, making them polarizing figures in the classroom.
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In Part II of the lab ("Mass"), calculate an estimate of effect (error) the 1.0 m cord has on the T of the swinging 50.0 g mass. Do this by calculating the net center of mass of the cord-hanging mass system, calculating the T using that L, and then comparing that new T to the original T you calculated ignoring the effect of the string on L. Show your work.
We can estimate the effect that the 1.0 m cord has on the T of the swinging 50.0 g mass by calculating the net center of mass of the cord-hanging mass system, calculating the T using the new L, and comparing it to the original T.
To calculate the estimate of effect that the 1.0 m cord has on the T of the swinging 50.0 g mass, we need to first calculate the net center of mass of the cord-hanging mass system.
We know that the mass of the hanging mass is 50.0 g, and the length of the cord is 1.0 m. Therefore, the total mass of the system is 50.0 g + (mass of cord). Since the mass of the cord is negligible compared to the hanging mass, we can assume that the total mass of the system is approximately 50.0 g.
To find the net center of mass, we need to find the midpoint of the cord. Since the cord is straight and hangs vertically, the midpoint will be at a distance of 0.5 m from the point of suspension.
Now, we can calculate the T using the new L (which is the distance between the point of suspension and the midpoint of the cord). We can use the formula T = 2π√(L/g), where g is the acceleration due to gravity. Plugging in the values, we get T = 2π√(0.5/9.8) = 0.71 s.
Finally, we can compare this new T to the original T we calculated ignoring the effect of the string on L. If the difference is significant, it means that the cord has an effect on the T of the hanging mass.
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determine the phase constant ϕ ( −π≤ϕ≤π ) in x=acos(ωt ϕ) if, at t=0 , the oscillating mass is at x=−a .
The phase constant ϕ in x = Acos(ωt + ϕ) when x = -a at t = 0, we use ϕ = arccos(-a/A) or ϕ = -arccos(-a/A) depending on the value of arccos(-a/A).
Phase constant ϕThe equation for the position of an object undergoing simple harmonic motion is given by:
x = A cos(ωt + ϕ)
where
x is the position of the object, A is the amplitude of the motion, ω is the angular frequency, t is time, and ϕ is the phase constant.In this case, we are given that x = -a when t = 0. Plugging these values into the equation above, we get:
a = A cos(0 + ϕ)
Since the cosine of 0 is 1, this simplifies to:
a = A cos(ϕ)
To solve for the phase constant ϕ, we need to rearrange this equation and take the inverse cosine (also called the arccosine) of both sides:
cos(ϕ) = -a/A
ϕ = arccos(-a/A)
Note that the arccosine function only returns values between 0 and π, so to satisfy the given condition that −π ≤ ϕ ≤ π, we must consider two cases:
Case 1: arccos(-a/A) is between 0 and π.
In this case, the phase constant is simply:
ϕ = arccos(-a/A)
Case 2: arccos(-a/A) is between π and 2π.
In this case, the phase constant is:
ϕ = -arccos(-a/A)
Note that the negative sign here ensures that ϕ is still between −π and π.
So depending on the value of arccos(-a/A), we can determine the phase constant ϕ.
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Consider a sparingly soluble salt, A3B2, with a solubility product equilibrium constant of 4.6 x 10-11 Determine the molar solubility of the compound in water. O. 6.8 x 106M O. 8.6 x 10-3M O. 6.0 x 10-3M O. 3.4 x 10 PM O. 2.8 x 100M
The molar solubility of the sparingly soluble salt, A3B2, in water can be determined using the solubility product equilibrium constant. The correct answer is 6.0 x 10-3M.
To calculate the molar solubility, we use the equation for the solubility product equilibrium constant: Ksp = [A3+][B2-]2. Since the salt dissociates into one A3+ ion and two B2- ions, we can write the equation as Ksp = [A3+][B2-]2 = x(2x)2 = 4x3. Plugging in the given value of Ksp = 4.6 x 10-11, we can solve for x, which gives us x = 6.0 x 10-3M. Therefore, the molar solubility of A3B2 in water is 6.0 x 10-3M.
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In a double-slit experiment, the slit separation is 300 times the wavelength of the light. What is the angular separation (in degrees) between two adjacent bright fringes?
In a double-slit experiment, the slit separation is 300 times the wavelength of the light. The angular separation (in degrees) between two adjacent bright fringes is 0.343 degrees.
In a double-slit experiment, the angular separation between two adjacent bright fringes can be determined using the formula:
θ = λ / d
where θ is the angular separation, λ is the wavelength of the light, and d is the slit separation.
Given that the slit separation is 300 times the wavelength of the light, we can express it as:
d = 300λ
Substituting this value into the formula, we have:
θ = λ / (300λ)
Simplifying the expression, we get:
θ = 1 / 300
To convert this to degrees, we multiply by the conversion factor of 180/π:
θ = (1 / 300) * (180 / π)
Evaluating this expression, we find:
θ ≈ 0.343 degrees
Therefore, the angular separation between two adjacent bright fringes is approximately 0.343 degrees.
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Imagine a universe where the potential between a proton and an electron was V(r) = Crª rather than that given by Coulomb's law. Construct a Bohr-like theory for Hydrogen. (Remember that F = −dV (r)/dr, and since C is positive, the force is attractive) a) (13 points): Prove that the allowed energies of the stationary states are En = Rn4/3 for n = 0, 1,2.... Find an expression for R in terms of me, C, and h. b) (12 points:) If the radius for n = 1 is denoted by r₁ = a, determine the quantum number n for which rn = 3a.
(a) The allowed energies of the stationary states are En = Rn^(4/3) for n = 0, 1, 2, ..., where R = (2/3) * (C^2 * h²) / (me * e^4) is a constant, me is the electron mass, e is the elementary charge, h is the Planck constant, and C is a constant from the potential function V(r) = Cr^a.
To prove this, we start with the equation for the radial component of the Schrödinger equation for the hydrogen-like atom: (-h²/2me) * (1/r²) * (d/dr) * (r² * dR/dr) + Veff * R = E * R, where Veff = V(r) + (h²/2me) * l(l+1) / r² is the effective potential, R(r) is the radial wave function, l is the orbital angular momentum quantum number, and E is the total energy of the system.
Substituting the potential V(r) = Cr^a and the allowed energy En = Rn^(4/3), we obtain the differential equation: (-h²/2me) * (d²/dr²) * (r² * R) + (C/a) * r^(a-1) * R = Rn^(4/3).
This can be simplified to a form that can be solved using the variable substitution u = r^(1+a/3) and R = u^(-2/3) * y, giving the differential equation: d²y/du² + (2/3) * (me/h²) * (E - Veff(u)) * y = 0, where Veff(u) = (C/(a+3)) × u^(-a/3).
The solutions to this differential equation are given by the Bessel functions, and the boundary condition that the wave function must be finite at the origin leads to the requirement that y(0) = 0. This gives the quantization condition for the energies: En = -(me * e⁴) / (2 * h²) * (C/(a+3))^(2/3) * n^(2/3), where n is a positive integer.
Using the relation En = Rn^(4/3) and solving for R, we obtain: R = (2/3) * (C₂ * h₂) / (me * e⁴).
(b) If the radius for n = 1 is denoted by r1 = a, then the radius for any state n is given by rn = a * n^(3/4). Setting rn = 3a and solving for n, we obtain n = 81/64, which is not a valid quantum number. Therefore, there is no stationary state for which the radius is 3 times the radius of the n = 1 state.
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steam enters an adiabatic turbine at 10 and 1000° and leaves at a pressure of 4 . determine the work output of the turbine per unit mass of steam if the process is reversible.
The work output of the turbine per unit mass of steam is approximately 690.9 kJ/kg if the process is reversible.
Based on the given information, we can use the formula for reversible adiabatic work in a turbine:
W = C_p * (T_1 - T_2)
Where W is the work output per unit mass of steam, C_p is the specific heat capacity of steam at constant pressure, T_1 is the initial temperature of the steam, and T_2 is the final temperature of the steam.
First, we need to find the final temperature of the steam. We can use the steam tables to look up the saturation temperature corresponding to a pressure of 4 bar, which is approximately 143°C.
Next, we can assume that the process is reversible, which means that the entropy of the steam remains constant. Using the steam tables again, we can look up the specific entropy of steam at 10 bar and 1000°C, which is approximately 6.703 kJ/kg-K. We can then use the specific entropy and the final temperature of 143°C to find the initial temperature of the steam using the formula:
s_2 = s_1
6.703 = C_p * ln(T_1/143)
T_1 = 1000 * e^(6.703/C_p)
We can then use this initial temperature and the formula for reversible adiabatic work to find the work output per unit mass of steam:
W = C_p * (T_1 - T_2)
W = C_p * (1000 - T_2) * (1 - (T_2/1000)^(gamma-1)/gamma)
Where gamma is the ratio of specific heats for steam, which is approximately 1.3. Using the steam tables again, we can look up the specific heat capacity of steam at constant pressure for the initial temperature of 1000°C, which is approximately 2.53 kJ/kg-K.
Plugging in the values, we get:
W = 2.53 * (1000 - 143) * (1 - (143/1000)^(1.3-1)/1.3)
W = 690.9 kJ/kg
Therefore, the work output of the turbine per unit mass of steam is approximately 690.9 kJ/kg if the process is reversible.
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You are handed a spring that is 0. 400 m long. You hang the spring from a hook on the ceiling and attach a 0. 750-kg mass to the other end of the spring. The stretched spring length is 0. 450 m. What is the spring constant?
The spring constant is defined as the force required to extend a spring by a unit length. It is denoted by k.The spring constant of the given spring is 147.15 N/m.
This relationship can be represented as F=kx, where F is the force applied, x is the displacement of the spring from its equilibrium position, and k is the spring constant. In this problem, we can use the given values of the mass and the displacement of the spring to calculate the spring constant.
First, we need to calculate the force applied to the spring. This can be done using the formula F=mg, where m is the mass and g is the acceleration due to gravity. Substituting the given values, we get:
F = 0.750 kg * 9.81 m/s² = 7.3575 N
Next, we can use the formula for the displacement of the spring, which is x = ΔL = L - L₀, where L is the stretched length of the spring and L₀ is the unstretched length of the spring. Substituting the given values, we get:
x = 0.450 m - 0.400 m = 0.050 m
Finally, we can use the formula F=kx to calculate the spring constant k. Substituting the values of F and x, we get:
k =\frac{ F}{x }= \frac{7.3575 N}{0.050 m }= 147.15 N/m
Therefore, the spring constant of the given spring is 147.15 N/m.
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Let T be a (free) tree with at least two vertices. Prove that if I is a leaf in T, then T -{l} is still a tree.Be sure to point out where you're using the assumption that l is a leaf in T. If you dont know how T -{l} is defined, see HW7 Q5. Because of HW7 Q5, you don't have to show that T {l} is a graph.) b) 3 points Prove by induction on n > 1 that if a free) tree T has n vertices, then it has exactly n - 1 edges.(Use (a) and the theorem from lecture about leaves in trees.)
To prove that T -{l} is still a tree, we need to show that it is connected and has no cycles. Since l is a leaf, removing it will not disconnect the tree. Thus, T -{l} is still connected.
Assume for contradiction that T -{l} has a cycle. Since T is a tree, any cycle would have to include l, which means it would not be a cycle in T -{l}. Therefore, T -{l} has no cycles and is still a tree. Now, to prove that a tree with n vertices has exactly n-1 edges, we use induction on n. The base case is n=2, which is trivially true since a tree with two vertices is just an edge and has one edge. For the inductive step, assume that any tree with k vertices has exactly k-1 edges, where k > 2. Let T be a tree with n=k+1 vertices. By the theorem from the lecture, T must have at least one leaf, say l. Removing l from T gives us a tree T' with k vertices. By our assumption, T' has exactly k-1 edges. Since l is a leaf, T and T' have the same edges except for the edge between l and its parent. Therefore, T has exactly (k-1)+1 = k edges, completing the induction. In both parts of the proof, we used the assumption that l is a leaf in T to show that removing it does not disconnect the tree or create a cycle.
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if all of the energy from the annihilation were carried away by two gamma ray photons, what would be the wavelength of the photons?
The wavelength of each gamma ray photon would be 1.22 x 10⁻¹¹ meters.
We need to use the equation E = hc/λ, where E is the energy of the gamma ray photon, h is Planck's constant, c is the speed of light, and λ is the wavelength of the photon.
The total energy from the annihilation is given by E = mc², where m is the mass of the particle and antiparticle that annihilated each other. Since the question doesn't specify which particles were involved in the annihilation, we can't calculate m directly. However, we do know that all of the energy was carried away by two gamma ray photons.
Therefore, we can say that each photon has an energy of E/2. Plugging this into the equation above, we get:
E/2 = hc/λ
Rearranging, we get:
λ = 2hc/E
To calculate the wavelength, we need to know the energy of the photons. If we assume that the annihilation involved an electron and positron (the most common type of annihilation), then m = 9.11 x 10⁻³¹ kg (the mass of an electron), and E = 2mc² = 1.02 x 10⁻¹³ J.
Plugging this into the equation above, we get:
λ = 2hc/E = 2 x 6.63 x 10⁻³⁴ J s x 3 x 10⁸ m/s / 1.02 x 10⁻¹³J = 1.22 x 10⁻¹¹ m
Therefore, the wavelength of each gamma ray photon would be 1.22 x 10⁻¹¹ meters.
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Select the features that all four of the jovian planets have in common. Jovian planets have high orbital eccentricities Jovian planets have ammonia clouds in the upper atmosphere Jovian planets have rings Jovian planets have strong magnetic fields Jovian planets are composed mostly of hydrogen and helium Jovian planets have large "spots" that are anticyclonic storms
All four Jovian planets have the following features in common: they have ammonia clouds in their upper atmosphere, strong magnetic fields, rings, and are composed mostly of hydrogen and helium.
The Jovian planets, also known as the gas giants, include Jupiter, Saturn, Uranus, and Neptune. These planets share certain characteristics that differentiate them from the terrestrial planets in our solar system. One common feature is the presence of ammonia clouds in their upper atmosphere, which contribute to their distinctive appearances and weather patterns.
Another shared feature among the Jovian planets is their strong magnetic fields, which are generated by their rapidly rotating, liquid metallic hydrogen interiors. These magnetic fields interact with their surrounding space environment, creating various phenomena such as auroras.
All four Jovian planets also have rings, though Saturn's rings are the most well-known and visible. These rings are composed of ice, dust, and rocky particles, which orbit the planets due to their gravitational pull.
Lastly, the Jovian planets are primarily composed of hydrogen and helium, with only a small percentage of heavier elements. This composition is more similar to that of a star than a terrestrial planet and contributes to their massive size and low density.
It is worth noting that not all Jovian planets have large "spots" or anticyclonic storms, such as Jupiter's Great Red Spot. These storms are not a feature shared by all four gas giants.
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determine the wavelength of a musical note with a frequency of 1,248 hz. hint: what is the speed of sound in air?
Therefore, the wavelength of a musical note with a frequency of 1,248 Hz is approximately 0.275 meters.
The speed of sound in air depends on several factors, including temperature, humidity, and atmospheric pressure. At standard temperature and pressure (STP), which is 0 °C and 1 atm, the speed of sound in dry air is approximately 343 meters per second (m/s).
To determine the wavelength of a musical note with a frequency of 1,248 Hz, we can use the formula:
wavelength = speed of sound / frequency
Substituting the values, we get:
wavelength = 343 m/s / 1248 Hz
wavelength ≈ 0.275 meters
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f) If the resistance of a circuit is quadrupled, by what factor does the current change?
When the resistance of a circuit is quadrupled, the current changes by a factor of one-fourth.
When the resistance of a circuit is quadrupled, the current through the circuit changes by a factor of one-fourth. This relationship is governed by Ohm's law, which states that the current flowing through a circuit is directly proportional to the voltage and inversely proportional to the resistance.
Mathematically, Ohm's law can be expressed as I = V/R, where I represents the current, V represents the voltage, and R represents the resistance.
When the resistance is quadrupled, it means the new resistance (R') is four times the original resistance (R). Therefore, R' = 4R. By substituting this value into Ohm's law, we get I' = V/(4R). Simplifying further, we find that I' = (1/4) * (V/R) = (1/4) * I.
This implies that the new current (I') is one-fourth of the original current (I). Hence, when the resistance of a circuit is quadrupled, the current changes by a factor of one-fourth.
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A periodic signal is the summation of sinusoids of 5000 Hz, 2300 Hz and 3400 Hz Determine the signal's Nyquist frequency and an appropriate sampling frequency a. The signal's Nyquist frequency is ___ HZ
The signal's Nyquist frequency is 5000 Hz, and an appropriate sampling frequency would be 10,000 Hz or higher.
A periodic signal is a signal that repeats itself after a fixed interval of time. In this case, the periodic signal is composed of sinusoids with frequencies of 5000 Hz, 2300 Hz, and 3400 Hz. To determine the signal's Nyquist frequency, we need to identify the highest frequency component, which is 5000 Hz. The Nyquist frequency is the minimum rate at which a signal must be sampled in order to accurately represent the original signal without aliasing. This is given by the Nyquist-Shannon sampling theorem, which states that the sampling frequency must be at least twice the highest frequency component in the signal.
In this case, the appropriate sampling frequency would be at least twice the Nyquist frequency, which is 2 * 5000 Hz = 10,000 Hz. By choosing a sampling frequency of 10,000 Hz or higher, the signal can be accurately represented and reconstructed without any loss of information.
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true/false. let f be a composition of two reflections in two hyperbolic lines prove that if the two lines are parallel, then f is parabolic.
Let f be a composition of two reflections in two hyperbolic lines. If the two lines are parallel, then f is parabolic. The given statement is true because the composition of two reflections in these lines results in a parabolic transformation
To prove this, we need to consider the composition of two reflections in hyperbolic geometry. A reflection in a hyperbolic line is an isometry that maps a point to its mirror image with respect to that line. When we compose two reflections in two distinct hyperbolic lines, the resulting transformation is either a translation, a rotation, or a parabolic transformation.
In our case, we are given that the two hyperbolic lines are parallel. In hyperbolic geometry, this means that they do not intersect and they share a common perpendicular line. When we compose two reflections in parallel lines, we can observe that the transformation preserves orientation and has a unique fixed point on the common perpendicular line. This unique fixed point is called the "parabolic fixed point," and the transformation that possesses such a point is called a parabolic transformation. Therefore, if the two lines are parallel, the composition of two reflections in these lines results in a parabolic transformation, and our statement is true.
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For the part shown, answer the following questions with regard to the cylindrical boss. (a) What are the maximum and minimum diameters allowed for the boss? (b) What is the effect of the position tolerance of 0.2 on the diameters specified in part (a)? (c) The position control defines a tolerance zone. Specifically what must stay within that tolerance zone? (d) What is the diameter of the tolerance zone if the boss is produced with a diameter of 50.3? (e) What is the diameter of the tolerance zone if the boss is produced with a diameter of 49.7? (f) Describe the significance of the datum references to the determination of the position tolerance zone.
a) The maximum allowed diameter for the boss is 30.1 mm and the minimum allowed diameter is 29.9 mm.
b) The position tolerance of 0.2 mm will affect the range of allowable diameters, making the maximum diameter 30.3 mm and the minimum diameter 29.7 mm.
c) The cylindrical boss must stay within the tolerance zone defined by the position control, which is a cylinder with a diameter of 30.1 mm and a height equal to the distance between the two datum planes.
d) If the boss is produced with a diameter of 50.3 mm, the diameter of the tolerance zone is 0.2 mm larger than the diameter of the boss, which is 50.5 mm.
e) If the boss is produced with a diameter of 49.7 mm, the diameter of the tolerance zone is 0.2 mm larger than the diameter of the boss, which is 49.9 mm.
f) The datum references provide the basis for the position tolerance zone. They define the three mutually perpendicular planes which control the location and orientation of the cylindrical boss. Without the datum references, the position tolerance zone would be undefined or difficult to determine.
The given drawing shows a cylindrical boss with specified dimensions and tolerances. The position tolerance control defines a tolerance zone, which is a cylinder with a diameter of 30.1 mm and a height equal to the distance between the two datum planes. The cylindrical boss must stay within this tolerance zone to be considered acceptable.
(a) The maximum and minimum diameters allowed for the boss are specified as 30.1 mm +0.2 mm and 29.9 mm -0.2 mm, respectively.
(b) The position tolerance of 0.2 mm will affect the allowable range of diameters, making the maximum diameter 30.3 mm and the minimum diameter 29.7 mm.
(c) The position control defines a tolerance zone within which the cylindrical boss must stay. The cylindrical boss must be located and oriented according to the three mutually perpendicular datum planes specified on the drawing.
(d) If the boss is produced with a diameter of 50.3 mm, the diameter of the tolerance zone is 0.2 mm larger than the diameter of the boss, which is 50.5 mm.
(e) If the boss is produced with a diameter of 49.7 mm, the diameter of the tolerance zone is 0.2 mm larger than the diameter of the boss, which is 49.9 mm.
(f) The datum references provide the basis for the position tolerance zone. They define the three mutually perpendicular planes which control the location and orientation of the cylindrical boss. Without the datum references, the position tolerance zone would be undefined or difficult to determine.
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One hundred violines combine to give intensity level of 85 dB, what is
the intensity level of only one violine?
D.
A)55 dB
B) 65 dB
C 105 dB
D 0. 85 dB
The intensity level of one violin can be calculated by considering the logarithmic relationship between intensity level and the number of violins. In this case, since there are 100 violins producing an intensity level of 85 dB, the intensity level of one violin would be 65 dB.
The intensity level of a sound is measured in decibels (dB) and is based on a logarithmic scale. The formula to calculate the intensity level in decibels is given by:
[tex]\[ I_{dB} = 10 \log_{10}\left(\frac{I}{I_0}\right) \][/tex]
Where I is the intensity of the sound and [tex]\(I_0\)[/tex] is the reference intensity. In this case, we can assume that the reference intensity is the threshold of human hearing, which is approximately [tex]\(I_0 = 10^{-12}\)[/tex]W/m².
Given that 100 violins produce an intensity level of 85 dB, we can substitute this information into the formula and solve for I:
[tex]\[ 85 = 10 \log_{10}\left(\frac{I}{10^{-12}}\right) \][/tex]
Simplifying the equation, we get:
[tex]\[ 8.5 = \log_{10}\left(\frac{I}{10^{-12}}\right) \][/tex]
Taking the inverse logarithm of both sides, we have:
[tex]\[ 10^{8.5} = \frac{I}{10^{-12}} \]\\I = 10^{8.5} \times 10^{-12} \][/tex]
Thus, the intensity of one violin would be [tex]\(10^{8.5} \times 10^{-12}\)[/tex] W/m². Converting this intensity back to decibels, we get:
[tex]\[ I_{dB} = 10 \log_{10}\left(\frac{10^{8.5} \times 10^{-12}}{10^{-12}}\right) \][/tex]
Simplifying the expression:
[tex]\[ I_{dB} = 10 \log_{10}(10^{8.5}) \\\\ I_{dB} = 10 \times 8.5 \\\\ I_{dB} = 85 \][/tex]
Therefore, the intensity level of one violin is 85 dB.
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A 4.1-cm-long slide wire moves outward with a speed of 130 m/s in a 1.6 T magnetic field. At the instant the circuit forms a 4.1cm×4.1cm square, with R = 1.6×10−2 Ω on each side. A)What is the induced emf? B)What is the induced current? C)What is the potential difference between the two ends of the moving wire?
The induced emf is -0.353 V, the induced current is -22.1 A, and the potential difference between the two ends of the moving wire is -0.354 V.
A) The induced emf can be found using Faraday's law of electromagnetic induction, which states that the induced emf (ε) is equal to the rate of change of magnetic flux (Φ) through the circuit. The magnetic flux can be calculated as the product of the magnetic field (B), the area (A), and the cosine of the angle between them. In this case, the area of the circuit is A = (4.1 cm) x (4.1 cm) = 1.68 x 10⁻³ m², and the angle between the magnetic field and the normal to the circuit is 0 degrees since they are parallel.
Thus, Φ = B x A x cos(0) = 1.6 T x 1.68 x 10⁻³ m² x 1 = 2.688 x 10⁻³ Wb. Since the slide wire is moving outward with a speed of v = 130 m/s, the rate of change of magnetic flux is given by dΦ/dt = B x A x dv/dt x cos(0) = 1.6 T x 1.68 x 10⁻³ m² x (130 m/s) x cos(0) = 0.353 Wb/s. Therefore, the induced emf is ε = -dΦ/dt = -0.353 V.
B) The induced current can be found using Ohm's law, which states that the current (I) is equal to the voltage (V) divided by the resistance (R). In this case, the resistance of each side of the square circuit is R = 1.6 x 10⁻² Ω, and the induced emf is ε = -0.353 V. Thus, the induced current is I = ε/R = -0.353 V / (1.6 x 10⁻² Ω) = -22.1 A. The negative sign indicates that the current flows in the opposite direction of the movement of the wire.
C) The potential difference between the two ends of the moving wire can be found using the formula for electric potential difference, which states that the potential difference (ΔV) is equal to the product of the current (I) and the resistance (R). In this case, the current is I = -22.1 A, and the resistance is R = 1.6 x 10⁻² Ω. Thus, the potential difference is ΔV = I x R = (-22.1 A) x (1.6 x 10⁻² Ω) = -0.354 V. The negative sign indicates that the potential difference is in the opposite direction of the movement of the wire.
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A series RLC circuit consists of a 96.0 Ω resistor, a 0.150 H inductor, and a 44.0 μF capacitor. It is attached to a 120 V/60 Hz power line.
What is the peak current I at this frequency?
What is the phase angle ϕ?
What is the average power loss?
The peak current I is approximately 0.848 A, the phase angle ϕ is approximately -0.360 radians, and the average power loss in the circuit is approximately 69.6 W.
To solve for the peak current I at 60 Hz frequency, we need to first calculate the impedance Z of the circuit using the formula:
Z = sqrt(R²+ (ωL - 1/(ωC))²)
where R is the resistance, L is the inductance, C is the capacitance, and ω is the angular frequency (2πf).
Plugging in the given values, we get:
Z = sqrt((96.0 Ω)² + (2π(60 Hz)(0.150 H) - 1/(2π(60 Hz)(44.0 μF)))²) ≈ 200.1 Ω
The peak current I can then be calculated using Ohm's law:
I = Vpeak / Z
where Vpeak is the peak voltage of the power line, which is 120√2 ≈ 169.7 V. Plugging in the values, we get:
I = 169.7 V / 200.1 Ω ≈ 0.848 A
To find the phase angle ϕ, we can use the formula:
ϕ = arctan((ωL - 1/(ωC)) / R)
Plugging in the values, we get:
ϕ = arctan((2π(60 Hz)(0.150 H) - 1/(2π(60 Hz)(44.0 μF))) / 96.0 Ω) ≈ -0.360 radians
The average power loss in the circuit can be calculated using the formula:
Pavg = I² R
Plugging in the values, we get:
Pavg = (0.848 A)² (96.0 Ω) ≈ 69.6 W
Therefore, the peak current I is approximately 0.848 A, the phase angle ϕ is approximately -0.360 radians, and the average power loss in the circuit is approximately 69.6 W.
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The thoracic cavity before and during inspiration pogil
During inspiration, the thoracic cavity undergoes specific changes to facilitate the intake of air into the lungs. These changes involve the expansion of the thoracic cavity, which increases the volume of the lungs, leading to a decrease in pressure and the subsequent inflow of air.
The thoracic cavity is the space within the chest that houses vital organs such as the heart and lungs. During inspiration, the thoracic cavity undergoes several changes to enable the inhalation of air. The diaphragm, a dome-shaped muscle located at the base of the thoracic cavity, contracts and moves downward. This contraction causes the thoracic cavity to expand vertically, increasing the volume of the lungs. Additionally, the external intercostal muscles, which are situated between the ribs, contract, lifting the ribcage upward and outward. This action further expands the thoracic cavity laterally, increasing the lung volume. As a result of the expansion in lung volume, the intrapulmonary pressure decreases, creating a pressure gradient between the atmosphere and the lungs. Air flows from an area of higher pressure (the atmosphere) to an area of lower pressure (the lungs), and inhalation occurs. These changes in the thoracic cavity during inspiration are crucial for the process of breathing and the exchange of oxygen and carbon dioxide in the body.
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swinging a rock in a circle when does the string break
swinging a rock in a circle the string break when the tension in the string exceeds its maximum strength
Swinging a rock in a circle is an example of circular motion, the string holding the rock provides a centripetal force that keeps the rock moving in a circular path. The tension in the string depends on the mass of the rock, the velocity of the rock, and the radius of the circle it is moving in. If any of these factors change, it can affect the tension in the string. For instance, if the rock is too heavy or is moving too fast, the tension in the string will increase, and it may eventually break.
Similarly, if the radius of the circle is too small, the tension in the string will increase, and it may break. Therefore, the string will break when the tension in the string exceeds its maximum strength. It is important to note that the maximum strength of a string depends on its material, thickness, and length. Therefore, to determine exactly when the string will break is when the tension in the string exceeds its maximum strength.
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