Faculty: Alicia Strandberg Tags: calculatecoefficient of determinationestimateinterpretlinear regression modelmodel assumptionpredictresidualssample correlation coefficientslopestandard deviation
Baye’s Rule Total Running Time: 34:16 calculate, interpret, multiplicative rule, probability, tree diagram Baye’s Rule
Binomial Distribution Total Running Time: 04:31 Binomial Distribution, Binomial Probability, Binomial Table, Mean Deviation, standard deviation Binomial Distribution
Correlation Analysis Total Running Time: 08:06 coefficient of determination, curvilinear, interpreting correlation coefficients, no linear relationship, positive and negative correlations, r2 Correlation Analysis
Correlation and Linear Regression Total Running Time: 27:04 conditions and properties of correlation, correlation tables, f test, lurking variables and causation, r squared, residuals, scatterplots, variation Correlation and Linear Regression
Displaying Describing Quantitative Data PT2 Total Running Time: 24:36 5 Number Summary, mean, median, mode, outliers, range, standard deviation, Standardized Value, z-score Displaying Describing Quantitative Data PT2
Evaluating a Loss Exposure Total Running Time: 05:21 black swan event, coefficient of variation, expected loss, standard deviation Evaluating a Loss Exposure
Expected Value Total Running Time: 13:22 Discrete Random Variables, expected value, random variables, standard deviation Expected Value
Individual Income Tax Overview pt1 Total Running Time: 23:58 calculate, formula, individual tax liability Individual Income Tax Overview pt1
Introduction to Tax Total Running Time: 32:42 calculate, decision, federal, forecasting, investment, local, personal, political, state, system, tax rate structure Introduction to Tax
Linear Regression Total Running Time: 16:09 Explanatory Variable, residuals, Response Variable, standardized residuals Linear Regression
Measuring risk and return Total Running Time: 15:08 correlation of assets, Expected returns, goals of business, historical returns, returns on portfolios, standard deviation Measuring risk and return
Multiple Regression Total Running Time: 31:32 assumptions, coefficient, estimation, extrapolation pitfall, linear regression model, model, multicollinearity, prediction, significance, test Multiple Regression
Multiple Regression Practice Total Running Time: 37:02 assumptions, coefficient, estimation, extrapolation pitfall, linear regression model, model, multicollinearity, prediction, significance, test Multiple Regression Practice
Normal Distribution Total Running Time: 08:49 Bell-Shaped, mean, normal distribution, Normal Table, standard deviation, Symmetrical Normal Distribution
Numerical Measures of Variability Total Running Time: 07:49 range, standard deviation, variance Numerical Measures of Variability
Simple Regression Practice Total Running Time: 23:28 coefficient of determination, Correlation Coefficients, linear regression model, model assumptions, standard deviation of the residuals Simple Regression Practice
Types of Random Variables Total Running Time: 09:06 continuous random variable, discrete random variable, expected value, probability distribution, standard deviation Types of Random Variables
Understanding Residuals Total Running Time: 08:36 high-leverage point, large residuals, residuals, residuals for groups Understanding Residuals