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| Section | Objectives |
|---|---|
| Data Analysis Fundamentals | - Data Visualization Techniques - Descriptive Statistics - Data Quality and Cleaning - Data Types and Measurement Scales |
| Data-Driven Culture and Communication | - Presenting Data Insights - Ethical Considerations in Data Use - Stakeholder Communication - Building Data-Informed Organizations |
| Business Intelligence and Analytics | - Predictive Analytics Basics - Data Mining Concepts - Dashboards and Reporting - Key Performance Indicators (KPIs) |
| Decision-Making Frameworks | - Cost-Benefit Analysis - Evidence-Based Decision Making - Risk Analysis and Assessment - Rational Decision Models |
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NEW QUESTION # 103
A student is surveying chief executive officers to understand their levels of satisfaction with work-life balance over a period of three years. The student receives responses to a survey with a question regarding how many hours a week each CEO works. Which statistical approach should be used to summarize the data for analysis?
Answer: B
Explanation:
The question asks how to summarize responses about how many hours each CEO works per week. Since hours worked is a numerical variable, a measure of central tendency is appropriate for summarizing the data.
The mean is the standard choice for describing the average number of hours worked across respondents. It provides a single representative value that can be used to understand the general workload pattern in the group. A bell curve is a distribution shape rather than a summary statistic. A scatterplot is a graphical tool used to display relationships between two quantitative variables, not to summarize one variable's central value. The median can also summarize numerical data, especially if there are strong outliers, but the most direct and standard summary for average hours worked is the mean unless the question specifically emphasizes skewness or resistance to outliers. Since the prompt asks for a statistical approach to summarize the data for analysis, the best answer is mean.
NEW QUESTION # 104
What describes fact-based decision-making according to quality management principles?
Choose 2 answers.
Answer: B,C
Explanation:
Fact-based decision-making is a central quality management principle because it encourages organizations to rely on evidence, measurement, and analysis rather than assumptions or intuition alone. Decisions foster trust in plans when stakeholders can see that choices are grounded in objective information and sound reasoning.
This strengthens accountability and confidence in management actions. Fact-based decisions also help reduce external bias because they rely on verified information rather than opinions, pressure, or unsupported judgment. In contrast, decisions based only on the instincts of experienced leaders do not reflect the core meaning of fact-based management, even though experience may still be valuable. The statement about supplier relationships is not a defining description of fact-based decision-making and does not capture the principle itself. Quality management emphasizes using reliable data to guide planning, improve processes, and support consistent outcomes. Therefore, the two correct answers are that such decisions foster trust in plans and reduce external bias.
NEW QUESTION # 105
What is a disadvantage of using a balanced scorecard?
Answer: D
Explanation:
A key disadvantage of using abalanced scorecardis that itrequires significant time and effort to develop a meaningful and effective template. In data-driven decision making, the value of a balanced scorecard depends on careful selection of performance measures that align with organizational strategy.
Developing a balanced scorecard involves defining strategic objectives, selecting appropriate metrics, setting targets, and ensuring data availability. This process can be resource-intensive, especially in large or complex organizations. However, once implemented, the balanced scorecard offers substantial long-term benefits.
The other options are incorrect because the balanced scorecard explicitly includes both financial and nonfinancial measures and is designed to link operations with strategy. While implementation may involve some cost, expense alone is not typically cited as its primary disadvantage.
Therefore, the correct answer isA.
NEW QUESTION # 106
A spa wants to determine which duration of its massage packages is the most popular. The spa has 30-minute,
50-minute, and 75-minute sessions. Which statistical measure should be used and is less affected by outliers and skewed data?
Answer: C
Explanation:
The spa wants to know which package duration is the most popular, meaning which session length occurs most frequently in the data. The statistical measure used to identify the most frequently occurring category or value is the mode. Because the massage durations are offered in discrete categories of 30, 50, and 75 minutes, the mode is the best measure for determining customer preference. It directly identifies the package selected most often. Standard deviation measures variability, not popularity. Mean and median are measures of central tendency, but they do not answer the question of which option is chosen most frequently. Although the wording mentions being less affected by outliers and skewed data, the strongest reason to choose the mode is that popularity is fundamentally a frequency question. The mode is especially useful for categorical or discrete-choice data where the goal is to identify the most common option rather than the center of a numerical distribution. Therefore, the correct answer is mode because it shows which massage duration customers prefer most often.
NEW QUESTION # 107
A nonprofit organization ran a fundraiser and would like to determine the amount of a typical donation.
Which statistic is less affected by outliers and skewed data and should be used to determine the amount of a typical donation?
Answer: B
Explanation:
In data-driven decision making, themedianis the preferred measure of central tendency when data contain outliers or are skewed. Fundraising donation amounts often exhibit right-skewed distributions, where a small number of very large donations can significantly inflate the mean. Using the mean in such cases may misrepresent what a "typical" donor gives.
The median represents the middle value when donation amounts are ordered from smallest to largest. Because it depends only on position rather than magnitude, it isrobust to extreme values. This makes it especially useful for summarizing typical behavior in skewed financial data.
The mean is sensitive to outliers, the z-score measures standardized distance from the mean, and the mode identifies the most frequent value but may not reflect central tendency in continuous donation data. Therefore, the statistic that best represents a typical donation amount is themedian, making optionCcorrect.
NEW QUESTION # 108
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