Checking date: 21/06/2022


Course: 2022/2023

Statistical Data Analysis
(17450)
Bachelor in Management of Information and Digital Contents (Plan: 376 - Estudio: 340)


Coordinating teacher: MARIN DIAZARAQUE, JUAN MIGUEL

Department assigned to the subject: Statistics Department

Type: Basic Core
ECTS Credits: 6.0 ECTS

Course:
Semester:

Branch of knowledge: Social Sciences and Law



Requirements (Subjects that are assumed to be known)
None
Objectives
1. Analyze univariate and bivariate data 2. Solve probability problems 3. Use random variables 4. Show and understand basic concepts in Estimation techniques 5. Be able to solve problems in Estimation 6. Be able to solve problems using the statistical software R. 1. Capacity for analysis and synthesis. 2. Knowledge of statistical software. 3. Resolution of problems. 4. Team working. 5. Critical reasoning. 6. Oral and written communication skills.
Skills and learning outcomes
Description of contents: programme
1. Introduction. 1.1. Concepts and use of Statistics. 1.2. Statistical terms: populations, subpopulations, individuals and samples. 1.3. Types of variables. 2. Analysis of univariate data with R. 2.1. Representations and graphics of a qualitative variable: bar plots. 2.2. Representations and graphics of a quantitative variable: histograms, densities and box-plots. 2.3. Graphics for related observations in time and space: line graphics and map visualization. 2.4. Numerical summaries. 3. Analysis of bivariate data with R. 3.1. Association among quantitative variables: scatter plots and correlograms. 3.2. Association among qualitative variables: mosaic plots. 3.3 Association among qualitative and quantitative variables: box-plots. 3.4 Associations among statistical units and variables: heat maps. 3.4 Numerical summaries of associations: covariance and correlation. 4. Probability and probabilistic models. 4.1. Random experiments, sample space, elemental and composite events. 4.2. Properties of Probability. Conditional Probability and its properties. 4.3. Random variables and their characteristics. 4.4. Discrete probability models: Bernoulli variables and related distributions. 4.5. Continuous probability models: the normal distribution and related distributions. 4.6. Introduction to the bivariate normal distribution. 5. Introduction to Statistical Inference. 5.1. Parameter point estimation. 5.2. Goodness-of-fit to a probability distribution. Graphical methods. 5.3. The sample mean distribution. 5.4. Confidence interval for the mean. 5.5 Hypothesis testing on a mean: use and interpretation of a p-value.
Learning activities and methodology
14 Theoretical support materials available on the Web, and 14 sessions based on problem-solving sessions and practical computing tasks. No group tutorials except during the last week before the final exam.
Assessment System
  • % end-of-term-examination 60
  • % of continuous assessment (assigments, laboratory, practicals...) 40

Basic Bibliography
  • Newbold, P. . Estadística para los Negocios y la Economía. . Prentice-Hall. 1997
  • Newbold, P., Carlson, W., & Thorne, B.. Statistics for business and economics. . Pearson.. 2012
Recursos electrónicosElectronic Resources *
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The course syllabus may change due academic events or other reasons.