santon04@ucu.ac.
cy
KEYFORMULAS
Lind, Marchal,and Wathen ,
l2th edition
in Business
and Economics,
StatisticalTechniques
. Coefficientof variation
CHAPIER
3
. Population
mean
cv: : (1oo)
>X
p=t
[3-ll
. Pearson'scoefficientof skewness
. Sample mean, raw data
13.21
- l \ l
e k :
w,Xr+w2X2*...*wnXn
' wn
wt'wz'
14-31
. Softwarecoefiicientof skewness
. Weighted mean
n
3(X - Median)
s
-^=
x =>x
l+21
f-tx-xl'l
-
(n-1Xn'2llzt s
l3-31
/i
tHt
CHAPTER
5
. Geometric mean
GM = {T)(x,\(\).
lx.l
1941
. Specialruleof addition
P(A or B\ - P(A) + P(B)
. Geometric mean rate of increase
au2l
. Complement
rule
a i t _ r- ' -
"'"'
-r Value at end of Deriod
\ Value at start of period
lrn'v
tHI
P(Al=1-P(-A\
IHI
o Generalruleof addition
. Range
Range : Largest value - Smallest value
tmt
P(A or B) = P(A\ + P(B\ - P(A andBl
t$4I
. Specialruleof multiplication
. Mean deviation
rY-t
MD:--T
I'J-^4
P(A andB) : P(A)P(B)
. Population variance
P(AandBl = P(A\P(BIA\
.-- -r(X*p)2
N
tHl
5tx -r,f":
t3-el
P(A).P(B]A)
P(A) ' P(B A) + P(A2l . P(B A2)
t$4
. Multiplication
formula
Totalarrangements: (mxn)
. Sample variance
tffil
. Bayes'Theorem
P ( A 1 B ) '=
. Population standard deviation
tHl
o Generalruleof multiplication
tSI
. Numberof permutattons
s . = >n(-x1 - x ) ,
[3-101
. Sample standard deviation
frl
(n
ll
Isel
. Numberof combinations
^ - l5lx:tt
"-
P-
[3-1 1]
n-1
. Samplemean,groupeddata
x = znf u
[3-12]
[3-13]
CHAPTER
6
. Meanof a probability
distribution
o,=)[(x-rr),P(x)]
. Binomialprobability
distribution
Pt5l=,C,d(1-r)n-x
. Location of a percentile
tFlI
tF2l
tNl
. Meanof a binomialdistribution
*o
[+10]
. Variance
of a probability
distribution
4
CHAPTER
to:(n+1)
t(n - rll
p: >[xPE)]
. Sample standard'deviation,grouped data
ir
": ,i:Y_
^n!
[4-1]
p=nl
lF4l
. Sampleproportion
. Varianceof a binoinialdistribution
d=nr(1'-r)
IHI
P-n
tHl
. Hypergeometric
probabilitydiskibution
PP4= Gc'X" 'sC' ')
. Confidenceintervalfor proportion
tffil
. Poissonprobabilitydistribution
Pod-gnil
tHI
pjzop
.
Standard
enor of proportion
o r : , '\ 4n _ P )
tFn
t9-51
. Confidenceintervalfor proportion
7
CHAPTER
. Meanof a uniformdistribution
P - ' 'tP(\n
_a + D
rr-1I
(b-aY
12
,^ f - P ^U/ r
b_a
P-31
and0elsewhere
ila<x<b
. Normalprobability
distribution
PE)=-:e
[.Iy]
ovzT
rr-41
^\l:l
P^el
\E/
lel0]
10
CHAPTER
. z distribution
asa teststatistic
p
-_XoltG
. zdistribution,
o unknown
X-p
tlcll
tlG2l
s/tG
. Testof hypothesis,one proportion
. Standard normal value
. _X
teel
. Sample size for proportion
. Uniformprobability
distribution
pE\:
,2
,^, =/ z s \
\F/
tz-21
tsl
. Samplesizefor estimatingmean
o Standarddeviationof a uniformdistribution
"_
Pl
rr-51
_r
z:P
C,
tlNl
. Testof hypothesisproportion
8
CHAPTER
. Standard
enorof mean
z: -+:T(r
t
,',
:-
\,6
t&1I
X-v
s/\,G
,:;M
te2l
s/x{i
IlHI
. TYPell error
. z-value,population shape and o unknown
,:\__p
t1G4t
o Onesampletest of mean,smallsample
o z-value, p and o known
X-v
- T,|
\n
X.- v,
o/fi
18-31
IlHI
11
CHAPTER
. Test statistic for difference between two large sample means
9
CHAPIER
x,-x,
. Confidence intervalfor p, n > 30
Xxz:7
I$11
o Confidence intervalfor p, o unknown
Xt t]
t$21
is? , s3
\ n ,- t
111-4
. Two-sampletest of proportions
Pt-Pz
-_
'- p)
,En-n"\ p"(1
\nt-n,
tl1-31
. Standarderror of estimate
. Pooledproportion
p " = -X- -, + X o
n1+n2
^ _w-w
.r , \- n _ 2
[11-01
[1SI
o Confidenceinterval
. Pooledvariance
_o (n,-1)s?+(n2-1)st
"?,=-ffi
X t - X-T\
'
[J1
t13-4
- Predictioninterval
. Two-sampletest of means-small samples
,' =
y, I r(,, ,) 1T* _lI -_S.
rn >x-x)'
tlll
Y't t(sy
),TJ
t
t11-61
r / s- \fnl r- + - l
I
fizl
. -6.-ry.
>tX-X),
n3-sl
14
CHAFTER
r Multipleregression
eguation
. Paired t test
t
r=--:-sa/r/i
Y ' - a + b d 1+ b ; X 2 + . . ' + b h x k
t11-4
n4-11
o Multiple
standard
enor
12
CHAFTER
. Testfor comparing
twovariances
sye k= \ry
'-ssl?
[12-11
. Coefficientof multipledetermination
. Sum of souares.total
ss total = l(X - Xc)z
112-4
. Globattest of hypothesis
v, - x"r=
-' r.,G;fI;ll
I
\n,
t=,r##;1l
t12-31
. Sum of squares,treatments
SST = SS total - SSE
. Confidnceintervalfor means
nzl
t=b,,-o
11/+-51
S6,
t12-51
ls
cHAPTER
. Chi-squaretest statistic
o: >[(L#]
tl241
. Sum of squares,two way ANOVA
SSE = SStotal - SST - SSB
llelr
. Testingfor a particularregressioncoefficient
11241
. Sum of squares.blocks
SSB:k>(Xb-XGF
nr
"': d*
. Sum of squares,error
ssE= >6 - x"F
n+4
[1$11
. Expected frequency
(Rowtojalxcg'lumntotal)
f. _
'"
Grandtotal
112-4
CHAPIER13
o Coefficientof conelation
t1$4
CHAPIER16
' Signtest
- x'xY- r)
r _>(x
( n- l ) s r s y
(x * .s0)- p
llFll
' wilcoxon rank-sumtest
r conelation test of hypothesis
, =r{n
'_=,T
tt13-11
13'11
-,
\4_r,
t ^ r- n l n 1 + n 2 + 1 )
ft13-4
13-21
,=':+
o Linearregressionequation
Y'=a+bX
|U&i{il
IlNl
.Kruskal-Waltistest
. Slopeof the regressionline
sy
b=rq
H:
tlgrt
. Interceptof the regressionline
a=l-ox
tlHl
ns+'t
12
'h.xl
fEn'F - PnJ' -'
t"
n'
- 3(n + 1)
o spearmanrank conelation
6>d2
rs=1 -;F-
- PRJ'I
l
"r
llHl
t1641
. Paascheprice index
. Hypothesistest, rank correlation
t=r"E
n6-a
"=ffioool
tlrul
. Fisher'sidealindex
I7
C1IAPIER
. Grandmean
Fisher'sideal
=
inoex
R
" k=y
trs*I
tlz-1r
' Valueindex
. contror rimits,mean
tct=*-n ,a
ucu:i+nf
v:ffitr ool
n 7 -4 1
. Controllimits,range
ns- 4
. Realincome
UCL = DrF
LCL = D3F
n7-51
. Meanproportiondefective
Sum of the numberdefective
P=ffi
[17l
Monevincon
Realrncome= --6oj
r'*r
nHl
cHAPTERIS
. Lineartrend
. Controllimits,proportion
Y':a+bt
UCL and LcL = 'pl n- s ,'@
n7-sl
log Y' = log a + logb(t)
. Controllimits,c-barchal
ucLand LcL:.
* 3\6
t17-9t
CHAPIER18
. Simpteindex
p = 3 tr ool
Po
tr&lr -
o Simpleaverageof price relatives
p =2P,
n
-11U21
. Simpleaggregateindex
e=prrool
trrct
p: 34 rrool
zP&lo
rlHl
+o
. Laspeyresprice index
[1S11
. Log trend equation
n92l
GHAPTERm
. Expectedmonetaryvalue
= >tP(Sr)' v(A,,9)l
EMV(Ar)
' Expectedopportunitvcost
t2Gll
EOL(A,= >(P(S,).F6,, Si))
. Expectedvalueof perfectinformation
a2l}.2l
EVPI= Expectedvalueunderconditionof certainty
Expectedvalueof optimaldecisionunder
conditionsof uncertainty
t2O-31