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MATHEMATICS & STATISTICS FOR MANAGERS

(THEORY – III , IV & V UNITS)


16CCBB4
BBA - II SEMESTER
SECTION – A (2 MARKS)
1.What is meant by Statistics?
A branch of knowledge and a body of
techniques dealing with numerical statements.

2.Definition – Statistics:
According to Spiegel” It is concerned with
scientific method for collecting, organizing, summarizing, presenting and
analyzing data, as well as drawing valid conclusions and making
reasonable decisions on the basis of such analysis”.

3.What are the functions of Statistics?


Collection, Numerical presentation,
Classification and Tabulation, Diagrammatic representation, Reduction of
Data, Forecasting, Policy making, Effect measuring and testing hypothesis.

4.What are the scope of Statistics?


Statistics, Industry and Commerce, Statistics
and Economics.

5.Define Classification:
It is the process of arranging data according
to the common characteristics possessed by the individual items.

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6.Enumerate the types of Classification:
Geography, Chronology, Quality and
Quantity.

7.Explain Class frequency:


The number of values which belong to a
class is known as the class frequency or the frequency. Under quantitative
classification, 171 is given as the frequency of the class 35 – 49.

8. Mid – Value:
Mid – value or midpoint of a class is the
average of its lower and upper limits as well as boundaries.

9.What do you understand Tabulation?


A Statistical Table is a systematic
arrangement of data in columns and rows. Classified data are presented in
tabulate form.

10.What are the parts to be involved in a Good Table?


Identification Number, Title, Head note,
Stubs, Captions, Body of the Table, Foot Notes and Source.

11.Explain the Diagrams and Charts:


One of the most effective and interesting
alternative way in which a statistical data may be presented is through
diagrams and graphs. There are several ways in which statistical data may
be displayed pictorially such as different types of graphs and diagrams.

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12.What are the types of Diagrams?
One dimensional Diagrams – Bar Diagrams
Two dimensional Diagrams – Rectangles, squares and Circles including Pie
diagram Three dimensional diagrams – Cubes Pictograms and Cartograms.

13.Discuss Graphs:
One goal of statistics is to present data in a
meaningful way. It's one thing to see a list of data on a page, it's another to
understand the trends and details of the data.

14.What is the meaning of Measures of Central Tendency?


Measures of central tendency which are also
known as averages, gives a single value which represents the entire set of
data. The set of data may have equal or unequal values. Measures of central
tendency are also known as “Measures of Location”.

15.Definition - Measures of Central Tendency:


“An average is a value which is typical or
representative of a set of data” - Murray R.Speiegel.

16.What are the different kind of Measures of Central Tendency?


a) Arithmetic Mean
b) Median
c) Mode
d) Geometric Mean
e) Harmonic Mean

17. What is meant by Arithmetic Mean?

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It is the total of the values of the items
divided by their number. A.M is the abbreviation X is the symbol for
arithmetic mean. The terms ‘Mean’ and ‘Average’ also refer to arithmetic
mean.

18. Explain Weighted Arithmetic Mean:


All values do not carry equal importance.
Hence, values have different weight age and arithmetic mean is calculated
on the basis of their relative importance.

19. Define Median:


It is the value of the middle most item when
all the items are in order of Magnitude. M denotes Median.

20. What is meant by Mode?


It is the value which has the greatest
frequency density. Z denotes Mode.

21. Expand and Explain G.M:


Geometric Mean is the appropriate root
(corresponding to the number of items) of the product of the values of the
items.

22. Explain H.M:


Harmonic Mean is the reciprocal of the
mean of reciprocals of the values of the items.

23. What is meant by Measure of Dispersion?

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Measures of Dispersion in particular
help in finding out the variability or Dispersion/Scatteredness of
individual items in a given distribution. The variability (Dispersion or
Scatteredness) of the data may be known with reference to the central
value (Common Average) or any arbitrary value or with reference to other
values in the distribution. The mean or even Median and Mode may be
same in two or more distribution.

24. Definition – Measure of dispersion:


“ Dispersion is the measure of variation of
the items” - A.L.Bowley. In a group of individual items, all the items are
not equal. There is difference or variation among the items. For example, if
we observe the marks obtained by a group of students, it could be easily
found the difference or variation among the marks.

25. Discuss Quartiles:


Quartiles are three in number and are
denoted by Q1, Q2 and Q3. Quartiles are positional values. Their role is
similar to that of median.

26. How many parts of the Quartiles:


Q1 is the value of an item below which
there would be one quarter of the items.
Q2 is the Median and
Q3 is the value of an item below which
there would be three quarters of the items.

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27. What do you mean by Range? Give the Formula:
Range is the difference between the
largest and the smallest of the values.
Symbollically, Range =L-S
where L = Largest value
S = Smallest value
Co-efficient of Range is given by =L–S/ L+S

28. Explain Deciles:


Deciles are nine in numbers and are
denoted by D1, D2,,D3 and D4. Deciles are positional values, They divided the
total frequency into ten equal parts.

29. What is Percentiles?


Percentiles are ninety nine in number
and are denoted by P1, P2, P3and P99.They are intended to divide the total
frequency into hundred equal parts.

30. What are the useful in Percentiles?


It is a very useful measure in Education
and Psychology. Percentile ranks of scores are also calculated, Kelly’s
measure of skewness is based on Percentiles.

31. Discuss Quadratic Mean:


It is a rarely used measure. It is used
when there are both positive and negative values. It is greater than
arithmetic mean and it gives greater importance to higher values by
considering the squares of the values.

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32. Enumerate Moving Average:
It is one of the most useful measures in
estimating trend of a time series. Moving total is divided by the specified
number to get the corresponding moving average.

33. Discuss Progressive Average:


It is used by many business houses and
other establishments to know the average sales, revenue, cost. It facilitates
periodical evaluation of performances.

34. Explain Quartile Deviation:


It is half of the difference between the
first and the third quartiles. Q.D = Q3 - Q1 / 2

35. Give the formula for Co-efficient of Quartile Deviation:


Co-efficient of Quartile Deviation = Q3 - Q1
Q3 + Q1
36. Define M.D:
Mean Deviation is the arithmetic mean
of the absolute deviations of the values from their arithmetic mean or
median or mode.

37. What do you meant by Standard Deviation?


Standard Deviation is the root mean
square deviation of the values from their arithmetic mean. S.D. is the
abbreviation of standard Deviation and it is represented by the symbol
read as sigma. The square of standard deviation is called variance
denoted by 2 .

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38. Give the formula for Co-efficient of Variation:
Co-efficient of variation denoted by
C.V. and is given by C.V. = ( x 100)%
X
39. What are the observations Of Co-efficient of Variations?
(i) Co-efficient of variation is a
percentage expression, it is used to compare two or more groups.
(ii) The group which has less
coefficient of variation is said to be more consistent or more stable, and the
group which has more co-efficient of variation is said to be more variable
or less consistent.

40. Explain Skewness:


Central value of a group of items and
their closeness to the central value are considered. The third aspect is
known as Skewness.

41. Definition – Skewness:


“Skewness is the degree of Asymmetry.
Or departure from symmetry of a distribution. (Murray R.Spiegel)

42. Explain Moments:


Moments are the mean of various
powers of deviations of items. If the deviations are about arithmetic mean.
The moments are called as Central Moments.

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43. Discuss Raw Moments:
The deviations are taken from values
other than the A.M. the moments are called as raw moments. These
deviations are measured from origin which is Zero.

44. Definition – Kurtosis:


Kurtosis in Greek means
“Bulginess”.(G.Simpson and F.Kafka): Kurtosis is the degree of peakedness
of a distribution, usually taken relative to a normal distribution.

45. Define Correlation:


It is the degree of relation between two
variables. It may also be said as the co-variation between two variables. A
correlation between age and height in children is fairly causally
transparent, but a correlation between mood and health in people is less so.
Does improved mood lead to improved health, or does good health lead to
good mood. or both? In other words, a correlation can be taken as
evidence for a possible causal relationship, but cannot indicate what the
causal relationship,

46. How should you calculate the values for Correlation?


The value of r is such that -1 < r < +1.
The + and – signs are used for positive linear correlations and negative
linear correlations, respectively.

47. Explain Positive correlation:


If x and y have a strong positive linear

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correlation, r is close to +1. An r value of exactly +1 indicates a perfect
positive fit. Positive values indicate a relationship between x and y
variables such that as values for x increases, values for y also increase.

48. Discuss Negative correlation:


If x and y have a strong negative linear
correlation, r is close to -1. An r value of exactly -1 indicates a perfect
negative fit. Negative values indicate a relationship between x and y such
that as values for x increase, values for y decrease.

49. Elaborate No correlation:


If there is no linear correlation or a
weak linear correlation, r is close to 0. A value near zero means that
there is a random, nonlinear relationship between the two variables.
Note : that r is a dimensionless
quantity; that is, it does not depend on the units employed.

50. Explain Perfect Correlation:


A perfect correlation of ± 1 occurs only
when the data points all lie exactly on a straight line. If r = +1, the slope of
this line is positive. If r = -1, the slope of this line is negative.

51. What do you understand by Partial Correlation?


If a population or data-set is
characterized by more than two variables, a partial correlation coefficient
measures the strength of dependence between a pair of variables that is
not accounted for by the way in which they both change in response to
variations in a selected subset of the other variables.

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52. Discuss Bivariate Correlation:
If a pair (X, Y) of random
variables follows a bivariate normal distribution, the conditional mean
E(X|Y) is a linear function of Y, and the conditional mean E(Y|X) is a linear
function of X. The correlation coefficient r between X and Y, along with
the marginal means and variances of X and Y, determines this linear
relationship.where E(X) and E(Y) are the expected values of X and Y,
respectively, and σx and σy are the standard deviations of X and Y,
respectively.

53. Explain Rank Correlation:


A rank correlation coefficient can
measure that relationship, and the measure of significance of the rank
correlation coefficient can show whether the measured relationship is
small enough to likely be a coincidence. For example: If there is only one
variable, the identity of a college football program, but it is subject to
two different poll rankings (say, one by coaches and one by sportswriters).

54. What are the different symbols of Correlation?


 Spearman's ρ
 Kendall's τ
 Goodman and Kruskal's γ
55. Discuss Increasing Rank Correlation:
An increasing rank
correlation coefficient implies increasing agreement between rankings. The
coefficient is inside the interval [−1, 1] and assumes the value: 1 if the
agreement between the two rankings is perfect; the two rankings are the
same. 0 if the rankings are completely independent. −1 if the disagreement

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between the two rankings is perfect; one ranking is the reverse of the
other.

56. Elaborate Spearman’s Rank Correlation:


Spearman's rank correlation
coefficient or Spearman's rho, named after Charles Spearman and often
denoted by the Greek letter (rho) or as , is a nonparametric measure of
statistical dependence between two variables. It assesses how well the
relationship between two variables can be described using a monotonic
function. If there are no repeated data values, a perfect Spearman
correlation of +1 or −1 occurs when each of the variables is a perfect
monotone function of the other.

57. What is meant by Co-efficient of Correlation?


This method of studying correlation is
the simplest of all he methods. The only thing that is required under this
method is to find out the direction of change of X variable and Y variable.
The formula applicable is: RC = ± √[± (2 c-)/ n] Where RC stands for
coefficient of correlation by the concurrent method; C stands for the
number of concurrent deviations or the number of positive signs obtained
after multiplying Dx with Dy. N = number of pairs of observations
compared.

58. Explain Regression Analysis:


Regression analysis is a statistical
process for estimating the relationships among variables. It includes many
techniques for modeling and analyzing several variables, when the focus is
on the relationship between a dependent variable and one or more
independent variables (or 'predictors'). More specifically, regression
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analysis helps one understand how the typical value of the dependent
variable (or 'criterion variable') changes when any one of the independent
variables is varied, while the other independent variables are held fixed.

59. What are the models of Regression?


Regression models involve the
following variables: The unknown parameters, denoted as β, which may
represent a scalar or a vector. The dependent variable, Y. In various fields
of application, different terminologies are used in place of dependent and
independent variables. A regression model relates Y to a function of X and
β.

60. What is meant by Linear Regression?


In linear regression, the model
specification is that the dependent variable, is a linear combination of the
parameters (but need not be linear in the independent variables).

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