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სილაბუსის გარჩევა
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2
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თეორია
Microsoft Excel 2021: Data Analysis and Business Modeling -Wayne L. Problems NN
Winston-წიგნიდან:
Chapter 66 An introduction to optimization with Excel Solver
Chapter 67 Using Solver to determine the optimal product mix (Problems: NN 2,5 )
Chapter 68 Using Solver to schedule your workforce (Problems: NN 2,6)
Task N2

პროექტი=14%:
Using Solver to solve transportation or distribution
problems
Chapter 70 N6
Using Solver
Chapter 71 for capital budgeting N3,5,6,8
Using Solver for financial planning N3, 6, 9

თემა პროექტზე
დროულად თავისუფალი
გადმოგზავნა ! შესრულება
, მაგრამ დაცვაზე=3 მაგისტრი ერთ
არგამოსვლა ჯგუფში!
საპატიო
მიზეზით=-5%-ს!, სხვა შემთხვევაში=-14%!).
აუცილებლად ქართულ სამუშაო სივრცეში.
კომენტარებითაც
სახელის დარქმევა და მასშტაბირებადობა!
შეგიძლიათ სხვადასხვა ამოცანები გააერთიანოთ)
სახელით
Sensitivity,
ჩატარების დროLimits.
=მითითებულ ლექციაზე. პრეზენტაციის წარდგენის
დრო=10-15 წუთი
ინტერფეისი =Excel (3-სცენარი მაინც), Load/Save Model და Print Screen-იც
გააკეთეთ Scenario
რომელ ამოცანაზეც ჩათვლით
ნავთობგადასამუშავებელ საჭიროდ
, ფინანსურ .
, სპორტულ ან სხვა იდეებს.
(განათავსებთ
ზოგიერთი მაგალითი შეგიძლიათ ნახოთ აქ : Solver.com).
თქვენს Drive-ზე იგივე სახელით: Project
OM12_Surname_Name (დავალებების საქაღალდე).
N

1
2
3
თეორია Problems NN
Microsoft Excel 2021: Data Analysis and Business Modeling -Wayne L. Winston- წიგნიდან:
Problems:
Chapter 75 Warehouse location and the GRG Multistart and Evolutionary SolvNN 1-6
Problems:
Chapter 76 Penalties and the Evolutionary Solver NN4, 6
Problems:
Chapter 77 The traveling salesperson problem NN4
[2]
Task N4 (მომდევნო ლექციისთვის პროეტის დაცვაა, ხოლო დავალება გაქვთ LN5-თვის)
James R. Evans, Business Analytics Methods, Models, and Decisions, Pearson Education Limited 2017
Chapter 4: Descriptive Statistical Measures
სრულად წასაკითხად და გასარჩევად.
N თეორია

Microsoft Excel 2021: Data Analysis and Business


Modeling -Wayne L. Winston-წიგნიდან: Chapter N3, 4,
15and Decisions, Pearson Education Limited 2017:
2 Chapter 5: Probability Distributions and Data Modeling
Problems NN

Problems: NN 3-18,3-19; N4-4, N4-5,


N4-6; N5-6, N5-10 new.
Problems: NN 1-4
Data Analysis and Business Modeling -Wayne L. Winston
N წიგნიდან:
1 CHAPTER 79- Introduction to Monte Carlo simulation
2 CHAPTER
CHAPTER 80-Calculating an optimal
81-Simulating stock pricesbid
and asset-
3 allocation modeling
4 Decision Making with Insight, Chapter N2
Problems NN
N1-7
N1-7
წასაკითხად
წასაკითხად

Decision Making with Insight


N
1
2

3
Data Analysis and Business Modeling -Wayne L. Winston
წიგნიდან:81-Simulating stock prices and asset-allocation
CHAPTER Problems NN
modeling
CHAPTER 82-Simulating stock prices and asset-allocation N1-7
N1,3,4, 8, 10,
modeling 12.

Decision Making with Insight, Chapter N3 წასაკითხად

https://people.highline.edu/mgirvin/AllClasses/348/348/AllFilesBI348Analytics.htm
Lookup&Reference&Logical&Stati
Topics: stical Category
Central Limit Theorem
Flaw of Averages მქონე ფუნქციების გამოყენება
Descriptive Statistical Measures უნდა შეგეძლოთ!
Probability Distributions
Density Function
Monte Carlo Simulation
Diversification
Sensitivity Analysis/Advanced Sensitivity Analysis
Uncertain Value
Correlation Matrix
Resampling historical data (bootstrapping)
CDF
PDF
Data Analysis
Integer Tools
optimality %,from Add/Innconstraint,
AllDifferent
Multistart, Mutation Rate...
“The economic order quantity inventory model”
Advanced sensitivity analysis
confidence interval
Functions
Solver
მოდელის მასშტაბირება უნდა შეგეძლოთ
Ctrl+T (Format as Table)
Naming
NPV, XNPV, FV, PV, PMT, Rate, Nper, IRR, XIRR
array formulas and functions
CountIfs(), If(), IFs()
Aggregate()
Index()
Match()
Lookup(), Vlookup(), XLookup()...
Data Table (1-way, 2-way, more-way with scenario, Goal
Randarray()
Sequence()
Function
AVEDEV function
AVERAGE function
AVERAGEA function
AVERAGEIF function
AVERAGEIFS function
BETA.DIST function
BETA.INV function
BINOM.DIST function
BINOM.DIST.RANGE function
BINOM.INV function
CHISQ.DIST function
CHISQ.DIST.RT function
CHISQ.INV function
CHISQ.INV.RT function
CHISQ.TEST function
CONFIDENCE.NORM function
CONFIDENCE.T function
CORREL function
COUNT function
COUNTA function
COUNTBLANK function
COUNTIF function
COUNTIFS function
COVARIANCE.P function
COVARIANCE.S function
DEVSQ function
EXPON.DIST function
F.DIST function
F.DIST.RT function
F.INV function
F.INV.RT function
F.TEST function
FISHER function
FISHERINV function
FORECAST function
FORECAST.ETS function
FORECAST.ETS.CONFINT function
FORECAST.ETS.SEASONALITY function
FORECAST.ETS.STAT function
FORECAST.LINEAR function
FREQUENCY function
GAMMA function
GAMMA.DIST function
GAMMA.INV function
GAMMALN function
GAMMALN.PRECISE function
GAUSS function
GEOMEAN function
GROWTH function
HARMEAN function
HYPGEOM.DIST function
INTERCEPT function
KURT function
LARGE function
LINEST function
LOGEST function
LOGNORM.DIST function
LOGNORM.INV function
MAX function
MAXA function
MAXIFS function
MEDIAN function
MIN function
MINIFS function
MINA function
MODE.MULT function
MODE.SNGL function
NEGBINOM.DIST function
NORM.DIST function
NORM.INV function
NORM.S.DIST function
NORM.S.INV function
PEARSON function
PERCENTILE.EXC function
PERCENTILE.INC function
PERCENTRANK.EXC function
PERCENTRANK.INC function
PERMUT function
PERMUTATIONA function
PHI function
POISSON.DIST function
PROB function
QUARTILE.EXC function
QUARTILE.INC function
RANK.AVG function
RANK.EQ function
RSQ function
SKEW function
SKEW.P function
SLOPE function
SMALL function
STANDARDIZE function
STDEV.P function
STDEV.S function
STDEVA function
STDEVPA function
STEYX function
T.DIST function
T.DIST.2T function
T.DIST.RT function
T.INV function
T.INV.2T function
T.TEST function
TREND function
TRIMMEAN function
VAR.P function
VAR.S function
VARA function
VARPA function
WEIBULL.DIST function
Z.TEST function
analyzing precedents/dependents
Automatic Except for Data Tables option...
asset-allocation modeling

SumProduct()

Rand()
Randbetween()
median, mode
Descriptive statistics

Description
Returns the average of the absolute deviations of data points from their mean
Returns the average of its arguments
Returns the average of its arguments, including numbers, text, and logical values
Returns the average (arithmetic mean) of all the cells in a range that meet a given criteria
Returns the average (arithmetic mean) of all cells that meet multiple criteria
Returns the beta cumulative distribution function
Returns the inverse of the cumulative distribution function for a specified beta distribution
Returns the individual term binomial distribution probability
Returns the probability of a trial result using a binomial distribution
Returns the smallest value for which the cumulative binomial distribution is less than or equal to a criterion value
Returns the cumulative beta probability density function
Returns the one-tailed probability of the chi-squared distribution
Returns the cumulative beta probability density function
Returns the inverse of the one-tailed probability of the chi-squared distribution
Returns the test for independence
Returns the confidence interval for a population mean
Returns the confidence interval for a population mean, using a Student's t distribution
Returns the correlation coefficient between two data sets
Counts how many numbers are in the list of arguments
Counts how many values are in the list of arguments
Counts the number of blank cells within a range
Counts the number of cells within a range that meet the given criteria
Counts the number of cells within a range that meet multiple criteria
Returns covariance, the average of the products of paired deviations
Returns the sample covariance, the average of the products deviations for each data point pair in two data sets
Returns the sum of squares of deviations
Returns the exponential distribution
Returns the F probability distribution
Returns the F probability distribution
Returns the inverse of the F probability distribution
Returns the inverse of the F probability distribution
Returns the result of an F-test
Returns the Fisher transformation
Returns the inverse of the Fisher transformation
Returns a value along a linear trendNote: In Excel 2016, this function is replaced with FORECAST.LINEAR as part of th
Returns a future value based on existing (historical) values by using the AAA version of the Exponential Smoothing (
Returns a confidence interval for the forecast value at the specified target date
Returns the length of the repetitive pattern Excel detects for the specified time series
Returns a statistical value as a result of time series forecasting
Returns a future value based on existing values
Returns a frequency distribution as a vertical array
Returns the gamma function value
Returns the gamma distribution
Returns the inverse of the gamma cumulative distribution
Returns the natural logarithm of the gamma function, Γ(x)
Returns the natural logarithm of the gamma function, Γ(x)
Returns 0.5 less than the standard normal cumulative distribution
Returns the geometric mean
Returns values along an exponential trend
Returns the harmonic mean
Returns the hypergeometric distribution
Returns the intercept of the linear regression line
Returns the kurtosis of a data set
Returns the k-th largest value in a data set
Returns the parameters of a linear trend
Returns the parameters of an exponential trend
Returns the cumulative lognormal distribution
Returns the inverse of the lognormal cumulative distribution
Returns the maximum value in a list of arguments
Returns the maximum value in a list of arguments, including numbers, text, and logical values
Returns the maximum value among cells specified by a given set of conditions or criteria
Returns the median of the given numbers
Returns the minimum value in a list of arguments
Returns the minimum value among cells specified by a given set of conditions or criteria.
Returns the smallest value in a list of arguments, including numbers, text, and logical values
Returns a vertical array of the most frequently occurring, or repetitive values in an array or range of data
Returns the most common value in a data set
Returns the negative binomial distribution
Returns the normal cumulative distribution
Returns the inverse of the normal cumulative distribution
Returns the standard normal cumulative distribution
Returns the inverse of the standard normal cumulative distribution
Returns the Pearson product moment correlation coefficient
Returns the k-th percentile of values in a range, where k is in the range 0..1, exclusive.
Returns the k-th percentile of values in a range
Returns the rank of a value in a data set as a percentage (0..1, exclusive) of the data set
Returns the percentage rank of a value in a data set
Returns the number of permutations for a given number of objects
Returns the number of permutations for a given number of objects (with repetitions) that can be selected from the t
Returns the value of the density function for a standard normal distribution
Returns the Poisson distribution
Returns the probability that values in a range are between two limits
Returns the quartile of the data set, based on percentile values from 0..1, exclusive
Returns the quartile of a data set
Returns the rank of a number in a list of numbers
Returns the rank of a number in a list of numbers
Returns the square of the Pearson product moment correlation coefficient
Returns the skewness of a distribution
Returns the skewness of a distribution based on a population: a characterization of the degree of asymmetry of a di
Returns the slope of the linear regression line
Returns the k-th smallest value in a data set
Returns a normalized value
Calculates standard deviation based on the entire population
Estimates standard deviation based on a sample
Estimates standard deviation based on a sample, including numbers, text, and logical values
Calculates standard deviation based on the entire population, including numbers, text, and logical values
Returns the standard error of the predicted y-value for each x in the regression
Returns the Percentage Points (probability) for the Student t-distribution
Returns the Percentage Points (probability) for the Student t-distribution
Returns the Student's t-distribution
Returns the t-value of the Student's t-distribution as a function of the probability and the degrees of freedom
Returns the inverse of the Student's t-distribution
Returns the probability associated with a Student's t-test
Returns values along a linear trend
Returns the mean of the interior of a data set
Calculates variance based on the entire population
Estimates variance based on a sample
Estimates variance based on a sample, including numbers, text, and logical values
Calculates variance based on the entire population, including numbers, text, and logical values
Returns the Weibull distribution
Returns the one-tailed probability-value of a z-test
g functions, but it's still available for compatibility with earlier versions.
N
1
2
3
4
5
Data Analysis and Business Modeling -Wayne L. Winston
წიგნიდან
Chapter 58: Problems NN
An introduction
Chapter 59 to probability გაარჩიეთ ყველა
An
Theintroduction to random variables
binomial, hypergeometric, and negative binomial გაარჩიეთ ყველა
random variables
Chapter 61 გაარჩიეთ ყველა
The Poisson
Chapter 83 and exponential random variable გაარჩიეთ ყველა
Using resampling to analyze data NN 1-4

https://www.statology.org/triangular-distribution-excel/
Triangular Distribution | Real Statistics Using Excel (real-statistics.com)
https://www.youtube.com/watch?v=IuxWEBXlyBM
Data Analysis and Business Modeling -Wayne L. Winston
წიგნიდან: Problems NN
1 Chapter N84 წასაკითხად
2 Chapter 85 Determining customer value N1, N2
3 Chapter 86 The economic order quantity inventory modelN1, N2
4 Chapter 87 Inventory modeling with uncertain demand წასაკითხად
Data Analysis and Business Modeling -Wayne L. Winston
წიგნიდან
Chapter 73 : Problems NN
1 The Winters method and the Forecast Sheet tool N1-5
2 Chapter
Chapter 87
93 Inventory modeling with uncertain demand N1-3
3 Use Analyze
Chapter 96 Data to find patterns in your data წასაკითხად
4 Advanced sensitivity analysis N1,2
Task N1

Task N2

Task N3

Task N4

Task N5

Task N6

Task N7

Task N8

Task N9

Task N10
განახლებულია მწვანე ფერის
ტოპიკები
Sheet with outline: !
"Midterm&Final
Functions&Topics"
თეორია
Microsoft Excel 2021: Data Analysis and Business Modeling -
Wayne L. Winston-წიგნიდან:
Chapter 66 An introduction to optimization with Excel Solver
Chapter 67 Using Solver to determine the optimal product mix
Chapter 68 Using
Using Solver Solver
to solve to schedule or
transportation your workforce
distribution
problems
Chapter 70
Using Solver
Chapter 71 for capital budgeting
Using Solver for financial planning
Chapter 75 Warehouse location and the GRG Multistart and
Evolutionary Solver engines
Chapter 76 Penalties and the Evolutionary Solver
Chapter
James R.77Evans,
The traveling
Businesssalesperson problem Models, and
Analytics Methods,
Decisions, Pearson Education Limited 2017
Chapter
Microsoft4:Excel
Descriptive Statistical
2021: Data Measures
Analysis and Business Modeling -
Wayne L. Winston- წიგნიდან : Chapter
Decisions, Pearson Education Limited 2017: N3, 4, 5
Chapter 5: Probability
Data Analysis Distributions
and Business Modelingand Data Modeling
-Wayne L. Winston
წიგნიდან:
CHAPTER 79- Introduction to Monte Carlo simulation
CHAPTER
CHAPTER 80-Calculating an optimal
81-Simulating stock pricesbid
and asset-allocation
modeling
Decision Making
Data Analysis andwith Insight,Modeling
Business Chapter -Wayne
N2 L. Winston
წიგნიდან :
CHAPTER 81-Simulating stock prices and asset-allocation
modeling
CHAPTER 82-Simulating stock prices and asset-allocation
modeling
Decision
Data Making
Analysis andwith Insight,Modeling
Business Chapter -Wayne
N3 L. Winston
წიგნიდან
Chapter 58 :
An introduction
Chapter 59 to probability
An
Theintroduction to random variables
binomial, hypergeometric, and negative binomial
random variables
Chapter 61
The Poisson
Chapter 83 and exponential random variable
Using resampling
Data Analysis and to analyze Modeling
Business data -Wayne L. Winston
წიგნიდან:
Chapter N84
Chapter 85 Determining customer value
Chapter 86 The economic order quantity inventory model
Chapter
Chapter 7387 Inventory modeling with uncertain demand
The Winters method and the Forecast Sheet tool
Chapter 87 Inventory modeling with uncertain demand
Chapter 93
Use Analyze
Chapter 96 Data to find patterns in your data
Advanced sensitivity analysis
Problems NN

(Problems: NN 2,5 )
(Problems: NN 2,6)
N6
N3,5,6,8
N3, 6, 9

Problems: NN 1-6
Problems: NN4, 6
Problems: NN4
სრულად წასაკითხად და
გასარჩევად
Problems: NN. 3-18,3-19; N4-4, N4-5,
N4-6; N5-6, N5-10 new.
Problems: NN 1-4
Problems NN
N1-7
N1-7
წასაკითხად
წასაკითხად
Problems NN
N1-7
N1,3,4, 8, 10, 12.
წასაკითხად
Problems NN
გაარჩიეთ ყველა
გაარჩიეთ ყველა
გაარჩიეთ ყველა
გაარჩიეთ ყველა
NN 1-4
Problems NN
წასაკითხად
N1, N2
N1, N2
წასაკითხად
N1-5
N1-3
წასაკითხად
N1,2

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