000 01696nam a2200121Ia 4500
999 _c169
_d169
020 _a978-8174466303
100 _aSELVARAJ R
245 0 _aQUANTITATIVE METHODS IN MANAGEMENT
260 _bEXCEL BOOKS
650 _aFunctions Mathematics of Finance Differentiation Integration Measures of Central Tendency Measures of Dispersion Correlation and Regression Index Numbers and Time Series Testing of Hypothesis Theoretical Distribution
_vFunctions Mathematics of Finance Differentiation Integration Measures of Central Tendency Measures of Dispersion Correlation and Regression Index Numbers and Time Series Testing of Hypothesis Theoretical Distribution .Linear Function Functions Demand Functions and Supply Functions Cost Functions and Production Functions Constant and Variables Break Even Point Break Even Charts . Arithmetic Progression Geometric Progression Simple Interest Compound Interest Annuities . Implicit Functions Successive Differentiation Applications of Derivatives Maxima and Minima Optimization Model Demand Functions Supply Functions . integration . consumer's surplus. producer's surplus. mean . median. mode, geometric mean. harmonic mean, quartiles and deciles, measures of dispersion, quartile deviation, mean deviation standard deviation coefficient of variation, rank correlation, regression. Un-weighted index numbers. simple and weighted index numbers. cost of living index numbers. components of time series. business forecasting . chi square test. analysis of variance ( ANOVA) one way classification model two way classification model. theorems of probability. binomial distribution poisson distribution. normal distribution .
700 _aC LOCANATHAN
942 _cBK