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一、12204010掌握建设工程项目质量控制的概念和原理 二、12204020掌握建设工程项目质量控制系统的建立和运行 三、1Z204030掌握建设工程项目施工质量控制和验收的方法 四、1Z204040熟悉建设工程项目质量的政府监督 五、1Z204050熟悉常见的工程质量统计分析方法的应用 六、1Z204060了解GB/T19000IS9000(2000版)质量管理体系标准 七、1Z204070了解建设工程项目设计质量控制的内容和方法
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▪ Interpret the mean and standard deviation for a discrete probability distribution ▪ Explain covariance and its application in finance ▪ Use the binomial probability distribution to find probabilities ▪ Describe when to apply the binomial distribution ▪ Discuss the Hypergeometric distribution ▪ Review the Poisson distribution
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How to construct various control charts Which control charts to use for a particular type of data How to measure the capability of a process The basic themes of quality management and Deming’s 14 points The basic aspects of Six Sigma
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Demand Management Qualitative Forecasting Methods Time Series Analysis – Static method – Adaptive method Simple & Weighted Moving Average Forecasts Exponential Smoothing Exponential Smoothing with trend Exponential Smoothing with trend & seasonality Simple Linear Regression
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To use regression analysis to predict the value of a dependent variable based on an independent variable The meaning of the regression coefficients bo and b . To evaluate the assumptions of regression analysis and know what to do if the assumptions are violated . To make inferences about the slope and correlation coefficient . To estimate mean values and predict individual values
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 Recognize situations in which to use analysis of variance  Understand different analysis of variance designs  Perform a single-factor hypothesis test and interpret results  Conduct and interpret post-hoc multiple comparisons procedures  Analyze two-factor analysis of variance tests
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 Test hypotheses for the difference between two independent population means (standard deviations known or unknown)  Test two means from related samples for the mean difference  Complete a Z test for the difference between two proportions  Use the F table to find critical F values  Complete an F test for the difference between two variances
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 Formulate null (H0) and alternative hypotheses (H1) for applications involving one sample population mean or proportion  Formulate a decision rule for testing a hypothesis  Know how to use the critical value and p-value approaches to test the null hypothesis (for both mean and proportion problems)  Know what Type I and Type II errors are
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To describe the properties of central tendency, variation and shape in numerical data To calculate descriptive summary measures for a population To construct and interpret a box-and-whisker plot To describe the covariance and coefficient of correlation as a measure of the strength of the relationship between two numerical variables
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像统计函数、工程函数一样,在 Excel 中还提供了许多财务函数。财务函数可以进行一般的 财务计算,如确定贷款的支付额、投资的未来值或净现值,以及债券或息票的价值。这些财务函 数大体上可分为四类:投资计算函数、折旧计算函数、偿还率计算函数、债券及其他金融函数
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