Quantitative Methods for Decision-Makers with MyMathLab - Mik Wisniewski

Quantitative Methods for Decision-Makers with MyMathLab

Mik Wisniewski (Autor)

Media-Kombination
600 Seiten
2016 | 6th edition
Pearson Education Limited
978-0-273-77076-3 (ISBN)
84,25 inkl. MwSt
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This package includes a physical copy of Quantitative Methods for Decision Makers, 6th edition by Mik Wisniewski as well as access to the eText and MyMathLab Global. To access the eText and MyMathLab Global you need a course ID from your instructor. If you are only looking for the book buy ISBN 9780273770688.

 

Appealing both to students on introductory courses for quantitative methods and MBA students, this well-respected text provides an accessible introduction to an area that students often find difficult. As a manager, developing a good understanding of the business analysis techniques at your disposal is crucial. Knowing how and when to use them and what their results really mean can be the difference between making a good or bad decision and, ultimately, between business success and failure.

 

Quantitative Methods for Decision Makers helps students to understand the relevance of quantitative methods of analysis to manager’s decision-making by relating techniques directly to real-life business decisions in public and private sector organisations and focusing on developing appropriate skills and understanding of how the techniques fit into the wider management process.

Mik Wisniewski is Senior Research Fellow at Strathclyde Business School in Scotland. He also works as a freelance management consultant with clients including PriceWaterhouseCoopers, ScottishPower and Shell, and a variety of public sector organisations in the UK and internationally.

1   Introduction
2  Tools of the Trade
3  Presenting Management Information
4   Management Statistics
5   Probability and Probability Distributions
6  Decision Making Under Uncertainty
7  Market Research and Statistical Inference
8  Quality Control and Quality Management
9  Forecasting I: Moving Averages and Time Series
10  Forecasting II: Regression
11  Linear Programming
12  Stock Control
13  Project Management
14  Simulation
15  Financial Decision Making
Appendices
A  Binomial Distribution
B  Areas in the Tail of the Normal Distribution
C  Areas in the Tail of the t Distribution
D  Areas in the Tail of the x2 Distribution
E  Areas in the Tail of the F Distribution, 0.05 Level
F Solutions to Progress Check Questions

Erscheint lt. Verlag 27.4.2016
Verlagsort Harlow
Sprache englisch
Maße 195 x 265 mm
Gewicht 1271 g
Themenwelt Mathematik / Informatik Mathematik Finanz- / Wirtschaftsmathematik
ISBN-10 0-273-77076-4 / 0273770764
ISBN-13 978-0-273-77076-3 / 9780273770763
Zustand Neuware
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