Statistics
Statistics
Statistics
B.Sc (Statistics)
Under CBCS Pattern (w.e.f. 2015-2016)
Paper VI
(Elective) To choose 1 out of 2. 3 Th 3 35
Disciplinary 1). Operations Research-I 3 Pr 1 10+7+5 18 75
2) Econometric Methods.
Sem VI Paper VII Time series, Index 3 Th 3 35 75
numbers, Vital Statistics 3 Pr 1 10+7+5 18
and Demand analysis
UNIT-I
Descriptive Statistics: Concept of Primary and secondary data, Methods of collection and editing of
primary data, Designing a questionnaire and a schedule, Sources and editing of secondary data,
Classification and tabulation of data, Measures of Central tendency (mean, median, mode, geometric
mean and harmonic mean) with simple applications, Absolute and relative measures of dispersion (range,
Quartile deviation, mean deviation and standard deviation) with simple applications, Importance of
moments, central and non central moments and their interrelationships, Sheppard’s corrections for
moments for grouped data, Measures of skewness based on Quartiles and moments and kurtosis based on
moments with real examples.
Unit-II
Probability Theory: Basic Concepts in Probability- deterministic and random experiments, trail,
outcome, sample space, event and operations of events, mutually exclusive events and exhaustive events,
equally likely and favourable outcomes with examples, Mathematical, Statistical and axiomatic
definitions of probability with merits and demerits, Properties of probability based on axiomatic
definition, Conditional Probability and independence of events, Addition and Multiplication Theorems for
n events, Boole’s inequality and Baye’s theorem with examples.
Unit-III
Random Variables: Definition of random variable, discrete and continuous variables, functions of
random variables, Probability mass function and Probability Density functions with illustrations,
Distribution function and its properties, Transformation of one dimensional random variable ( Simple 1-1
functions only), Notion of bivariate random variable , bivariate distribution and statement of its
properties, Joint, marginal and conditional distributions, Independence of random variables.
Unit-IV
List of Practicals:
List of Practicals:
UNIT-I
Bivariate data scattered Diagram, sample correlation coefficient, computation of
correlation coefficient for grouped data. Product moment correlation coefficient and its
properties, correlation ratio, spearman’s rank correlation coefficient and its properties.
Principle of least squares, simple linear regression, correlation verses regression,
properties of regression coefficients.
UNIT-II
Fitting of quadratic and power curves. Concepts of partial and multiple correlation
coefficients(only for three variables).Analysis of categorical data, independence and
association, partial association of attributes, various measures of association(Yule’s)for
two way data and coefficient of contingency(Pearson and Tcherprow),coefficient of
colligation.
UNIT-III
Concepts of population, parameter, random sample, statistic, sampling distribution and
standard error of sample mean(s) and sample proportion(s).exact sampling distributions-
statement and properties of Chi-square, t and F Distributions and their inter relationships.
Independence of sample mean and variance in random sampling from normal
distributions. Point estimation of a parameter, concept of bias and mean square error of
an estimate. Criteria of a good estimator .consistency, unbiasedness, efficiency and
sufficiency with examples.
UNIT-IV
Statement of Neyman’s factorization theorem, derivations of sufficient statistics in case
of Binomial, poisson, normal and exponential (one parameter only) distributions.
Estimation by method of moments, Maximum likelihood (ML), statements of asymptotic
properties of MLE.concept of Interval estimation, confidence intervals of the parameters
of the normal population by pivot method.
List of reference books:
LIST OF PRACTICALS
1) Generation of random sample from uniform(0,1), uniform (a,b) and exponential distributions.
4) Fitting of power curves of the type y=axb and exponential curves y=abx and y=aebx by the
method of least squares.
11) Simulation of random sample from uniform (0, 1), uniform (a, b) and exponential, Normal
and Poisson distribution using MS-Excel.
12) Fitting of a straight line and parabola by method of least squares using MS-Excel.
13) Fitting of power curves of the type y=axb and exponential curves y=abx and y=aebx by the
method of least squares using MS-Excel.
LIST OF PRACTICALS
1. Small sample test for single mean and difference of means and correlation coefficient.
2. Large sample test for mean(s), proportion(s), standard deviation(s) and correlation
coefficient.
3. Paired t-test.
6. Non parametric tests for single and related samples (Sign test and Wilcoxon-signed rank
test) and one sample run test.
7. Non parametric tests for two independent samples (Median test, Wilcoxon-Mann-
Whitney U test, Wald Wolfowitz run test).
8. Small sample test for mean(s), paired t-test and correlation coefficient using MS-Excel.
9. Small sample test for single variance and difference of Variances using MS-Excel.
10. Chi-square test for goodness of fit and independence of attributes using MS-Excel.
11. Large sample test for mean(s) with and without using raw data using MS-Excel.
OSMANIA UNIVERSITY COLLEGE FOR WOMEN, KOTI, HYDERABAD-95
B.Sc. III year- V Semester,Statistics Syllabus(w.e.f. 2017-2018)
Paper-V
(w.e.f. 2017-2018)
Sampling Techniques
1. Simple random sampling with and without replacement. Comparison between SRSWR
and SRSWOR.
2. Stratified random sampling with proportional and optimum allocations. Comparison
between proportional and optimum allocations with SRSWOR.
3. Systematic sampling with N = nk. Comparison of Systematic sampling with Stratified
and SRSWOR
Designs of Experiments
4. Analysis of CRD
5. Analysis of RBD with and without missing observation. Comparison of RBD with CRD
6. Analysis of LSD with and without missing observation. Comparison of LSD with RBD
and CRD
Paper-VII: Time series, Index numbers, Vital Statistics and Demand analysis.
UNIT-I
Time series: -Time series and its components with illustrations, additive, multiplicative and
mixed models. Determination of trend by least squares, moving average methods. Growth curves
and their fitting with reference to Modified exponential, Gompertz and Logistic curves.
Determination of seasonal indices by Ratio to moving average, ratio to trend and link relative
methods.
UNIT-II
Index Numbers: -Concept, construction, uses and limitations of simple and weighted index
numbers. Laspeyer’s, Paasche’s and Fisher’s index numbers, criterion of a good index numbers,
problems involved in the construction of index numbers. Fisher’s index as ideal index number.
Fixed and chain base index numbers. Cost of living index numbers and wholesale price index
numbers. Base shifting, splicing and deflation of index numbers.
UNIT-III
Vital statistics: Introduction, definition and uses of vital statistics. Sources of vital statistics,
registration method and census method. Rates and ratios, Crude death rates, age specific death
rate, standardized death rates, crude birth rate, age specific fertility rate, general fertility rate,
total fertility rate. Measurement of population growth, crude rate of natural increase- Pearl’s vital
index. Gross reproductive rate sand Net reproductive rate, Life tables, construction and uses of
life tables and Abridged life tables.
UNIT – IV
Demand Analysis: Introduction. Demand and supply, price elasticity of supply and demand.
Methods of determining demand and supply curves, Leontief’s ,Pigous’s methods of determining
demand curve from time series data, limitations of these methods Pigou’s method from time
series data. Pareto law of income distribution curves of concentration.
Paper-VII
(w.e.f. 2017-2018)
Vital Statistics
Demand Analysis
Index Numbers
Vital Statistics
Demand Analysis
UNIT-I
Statistical Quality Control: Importance of SQC in industry. Statistical basis of Shewart control
charts. Construction of control charts for variables (mean, range and standard deviation).
Interpretation of control charts.
UNIT-II
Construction of control charts for attributes (p, np, and c- charts with fixed and varying sample
sizes). Interpretation of control charts. Natural tolerance limits and specification limits, process
capability index. Concept of Six sigma and its importance.
UNIT – III
Acceptance sampling plans: Concept of AQL and LTPD. Producers risk and consumer’s risk.
Single and Double sampling plans for attributes and their OC and ASN functions. Design of
single and double sampling plans for attributes using Binomial and Poisson distributions
UNIT – IV
Reliability: Introduction. Hazard function, Exponential distribution as life model, its memory
less property. Reliability function and its estimation. System reliability - series, parallel and k out
of N systems and their reliabilities.
Official Statistics: - Functions and organization of CSO and NSSO. Agricultural Statistics, area
and yield statistics. National Income and its computation, utility and difficulties in estimation of
national income.
Paper-VIII (A)
(w.e.f. 2017-2018)
(w.e.f. 2017-18)
Objectives:
To frame and solve Game Theory and Network Problems , with their applications.
Unit-I:
Game theory – Introduction, Basic terms- Competitive game, zero sum and non zero sum games,
strategy, two person zero sum games, pay off matrix, The minimax and maximin principle,
Games without saddle point- mixed strategies. Graphic solution of 2xn, mx2 games.
Unit- II:
Dominance property- principle of dominance to reduce the size of the game, generalized
Dominance property, Arithmetic method for nxn games, General solution of rectangular games,
game against passivity.
Unit III:
Network scheduling by PERT/CPM – Network and basic components, logical sequencing, Rules
of network construction, distinction between PERT and CPM.
Unit IV:
Float concept- Total float, Free float, Independent float, Interfering float, Event slacks, Time
scale representation of floats and slacks. Critical path analysis, Probability considerations in
PERT.
Paper-VIII (B)
(w.e.f. 2017-18)
List of practicals :
Game theory:
Network scheduling:
Paper-VI (A)
(w.e.f. 2017-18)
Operations Research
Objective:
To impart knowledge of inference techniques for economic phenomena.
UNIT – I
Nature of Econometrics – Model building – Role of econometrics –Multiple regression,
Polynomial regression, Estimation of the parameter, Structural and reduced forms.
UNIT – II
The two variable linear model – Least squares estimators – Properties of the least squares
estimators – Inference in the least squares model, the k – variable linear model – Assumptions of
the linear model.
UNIT – III
Ordinary least squares (OLS) estimators – Properties of OLS estimators – Guass – Markov
theorem – Inference problems. Problems in linear model – Multicollinearity – specification error
.
.
UNIT – IV
Autocorrelation – Heteroscedasticity , Special models – Dummy variables, Lagged variables –
Sources of lagged variables – Koyck scheme and Almon lags.
Paper-VI (B)
(w.e.f. 2017-18)
Time:2hrs Max.marks:18
List of Practicals: