Short Answer

Verifying the Net Variance Polynomial

You are reviewing an algorithm used by your company's finance department to determine the net variance between two portfolios. To do this, the algorithm subtracts the 'Expected Cost' polynomial, (p2+10pq2q2)(p^2 + 10pq - 2q^2), from the 'Total Value' polynomial, (p2+q2)(p^2 + q^2). Recall the rules for polynomial subtraction and provide the final simplified expression.

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Updated 2026-06-01

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