Rabu, 30 Mei 2012

[R247.Ebook] Free Ebook Guide for a Church under Islam: The Sixty-Six Canonical Questions Attributed to Theodoros Balsamon, by Patrick Demetrios Viscuso

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Guide for a Church under Islam: The Sixty-Six Canonical Questions Attributed to Theodoros Balsamon, by Patrick Demetrios Viscuso

In the Christian East, the pastoral manuals of the Church took a literary form known as "Questions/Answers." The authors of these canonical works were bishops and priests who usually wrote to guide clergy in addressing issues arising from diocesan and parish life. Unlike any of these other guides, in the present work an entire church subject to Islamic persecution sought the counsel of its sole Eastern sister church that was free from Muslim conquest. This pastoral guide for a church under Islam sets forth a pattern meant for a patriarchate to apply in addressing issues arising in a society under the domination of an alien religion that regarded itself as superior by nature.

In addition to the main issue, the twelfth-century document has a number of interesting features relevant for Church history, including its record of ancient Christian practices regarding liturgy, fasting, preparation for the Eucharist, burial of the dead, deaconesses, and the internal life of Arabic Christians living in what would become modern Egypt, Palestine, Lebanon, and Syria. The translation as well as its annotations and introductory history represent a time capsule of the Church's history in the aftermath of the Muslim conquests of the Middle East and just before the taking of Constantinople in 1204 by the Latin Crusaders.

  • Sales Rank: #1072537 in Books
  • Published on: 2014
  • Binding: Paperback
  • 155 pages

About the Author
The Rev. Dr. Patrick Viscuso is Professor of Canon Law at the Antiochian House of Studies, a past president of the Byzantine Studies Association of North America, and a specialist in Byzantine and Oriental canonical legislation. His other works include books dealing with canon law, Byzantine history, and reform within the Orthodox Church. His most recent articles focus on the relationship of marriage to ordination, purity issues, divorce, and women's superstitions in late Byzantium. He is a member of the Orthodox Delegation to the North American Orthodox-Roman Catholic Theological Consultation.

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Rabu, 23 Mei 2012

[A269.Ebook] PDF Download Martingale Methods in Financial Modelling (Stochastic Modelling and Applied Probability), by Marek Musiela, Marek Rutkowski

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Martingale Methods in Financial Modelling (Stochastic Modelling and Applied Probability), by Marek Musiela, Marek Rutkowski

A new edition of a successful, well-established book that provides the reader with a text focused on practical rather than theoretical aspects of financial modelling

Includes a new chapter devoted to volatility risk

The theme of stochastic volatility reappears systematically and has been revised fundamentally, presenting a much more detailed analyses of interest-rate models

  • Sales Rank: #3597462 in Books
  • Published on: 2010-01-14
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.00" h x 1.67" w x 6.00" l, 2.10 pounds
  • Binding: Paperback
  • 638 pages

Review

From the reviews:

" …This book is an impressive work of scholarship in mathematical finance in the area of option pricing. …contains the latest results and references. …The presence of many explicit formulae, for various types of derivatives, will make this book attractive to practitioners; and its breadth of content will make it useful for anyone who considers research in mathematical finance." (The Australian and New Zealand Journal of Statistics)

" …On the whole, this book presents a very wide range of topics and will appeal to both practitioners and mathematicians. …the second part gives an excellent overview of the state of the art in term structure research and will set a clear standard for some time to come." (MathSciNet)

" ...The book contains a wealth of material expressed in a clear mathematical way. A definite bonus is the very extensive list of references which gives the reader a most welcome basis from which to explore further the realm of mathematical finance. …The book can be used ideally both as an introductory and as an advanced text on mathematical finance." (Short Book Reviews)

" …This book is a comprehensive and up-to-date presentation of the martingale approach for pricing and hedging derivative securities. …provides a wide range of topics and will appeal to both practitioners and mathematicians. When only special cases or models are provided, the authors give useful references that will help researchers to obtain even more insight in the topics." (ZentralblattMATH)

From the reviews of the second edition:

"The book starts at an elementary level of mathematics as well as of market and product knowledge. … In summary, the book gives a very broad insight into advanced modern financial mathematics, in particular fixed income models. … It will serve as a basic source of knowledge of the described topics in financial mathematics." (Ludger Overbeck, Mathematical Reviews, Issue 2005 m)

From the Back Cover

This book provides a comprehensive, self-contained and up-to-date treatment of the main topics in the theory of option pricing. The first part of the text starts with discrete-time models of financial markets, including the Cox-Ross-Rubinstein binomial model. The passage from discrete- to continuous-time models, done in the Black-Scholes model setting, assumes familiarity with basic ideas and results from stochastic calculus. However, an Appendix containing all the necessary results is included. This model setting is later generalized to cover standard and exotic options involving several assets and/or currencies. An outline of the general theory of arbitrage pricing is presented. The second part of the text is devoted to the term structure modelling and the pricing of interest-rate derivatives. The main emphasis is on models that can be made consistent with market pricing practice.

In the 2nd edition, some sections of the former Part I are omitted for better readability, and a brand new chapter is devoted to volatility risk.

In the 3rd printing of the 2nd edition, the second Chapter on discrete-time markets has been extensively revised. Proofs of several results are simplified and completely new sections on optimal stopping problems and Dynkin games are added. Applications to the valuation and hedging of American-style and game options are presented in some detail.

As a consequence, hedging of plain-vanilla options and valuation of exotic options are no longer limited to the Black-Scholes framework with constant volatility.

Part II of the book has been revised fundamentally. The theme of volatility risk appears systematically. Much more detailed analysis of the various interest-rate models is available. The authors' perspective throughout is that the choice of a model should be based on the reality of how a particular sector of the financial market functions. In particular, it should concentrate on defining liquid primary and derivative assets and identifying the relevant sources of trading risk.

This long-awaited new edition of an outstandingly successful, well-established book, concentrating on the most pertinent and widely accepted modelling approaches, provides the reader with a text focused on the practical rather than the theoretical aspects of financial modelling.

About the Author

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Most helpful customer reviews

60 of 66 people found the following review helpful.
yes, but ...
By steve
I've been using this book on and off over the last year. At first I was very impressed with the level of detail in the mathematics, especially as it was the only book at the time focussing on risk-neutral methods and covering BGM. But I've become increasing disillusioned with it of late. It's difficult to explain, but although the whole book is written in traditional theorem-proof style, there are no real proofs! (I have a PhD in math and have done research for 10 years so I should know a little about proofs.) The only "proofs" provided are basically symbol shifting, but the heart of the math is strangely absent. This is especially strange given the Springer series in which it appears.
In short, if you want a catalogue of methods this book does the job, but if you want a deeper understanding try Lars Nielsens book.

20 of 20 people found the following review helpful.
At the Forefront of Modern Mathematical Finance
By Paul Thurston
This advanced text provides an excellent account of the current state-of-the art of options pricing/hedging models and interest rate term structure models. The book is accessible to both advanced practitioners of mathematical finance as well as to pure researchers in the field.

The book is in written in a mathematical style and contains rigorous proofs of many results. However, the main focus of the text is to describe the frontier of knowledge in the subject. Each section contains copious references to the literature and is so current that several references are to working papers. Many sections detail open problems and other areas suitable for scholarly research.

In their second edition, the authors provide an extremely useful critique of each modeling paradigm that they investigate. They also provide evidence for their position in the form of literature references which instruct the reader as to the shortcomings/limitations of a particular model. This information should prove quite valuable to model practitioners and implementers.

The authors assume an advanced background from the field of stochastic analysis, although they do provide an appendix which summarizes key results needed from the field. For the stochastic calculus prerequisites, I recommend Rogers & Williams Diffusions, Markov Processes, and Martingales: Volume 1, Foundations and Diffusions, Markov Processes and Martingales: Volume 2, It� Calculus. Suitable prerequisites are also covered by Karatzas and Shreve in Brownian Motion and Stochastic Calculus. A good foundation in arbitrage pricing theory is also needed. I recommend the nice treatment by Bjork in Arbitrage Theory in Continuous Time.

The book is divided into two parts. The first part deals with options pricing in equity markets. Chapter 1 sets premlinaries required for the arbitrage theoretic framework, while Chapter 2 has a very nice treatment of discrete time models and finite financial markets.

In Chapter 3, the authors develop the Black-Scholes model along with the Bachelier model using arbitrage techniques. The models are compared and used as benchmark continuous time models and form the basis for all subsequent analysis.

Chapter 4 provides a nice survey of techniques used to price/hedge options in foreign equity and currency markets. The authors assume familarity of the basic workings of foriegn markets.

Chapter 5 is a terrific chapter on valuing American-style options. The American call option is thoroughly studied and approximation techniques for the American put option are introduced. The explicit derivations of the formulas are referenced to the literature.

Chapter 6 provides an introduction to exotic options, although the authors vary their use of the term 'exotic' to meaning 'not a standard European-style or American-style' in this chapter to meaning 'no readily available liquid market' in Chapter 7. The descriptions are quite accessible and the basic properties of the options are described along with pricing formulas (assuming the Black-Scholes framework).

Chapter 7 provides as complete an accounting as I have ever seen of the generalizations of the Black-Scholes model and motivates this from the point of view of volatility surfaces. Many of the well-known models are studied in detail, such as CEV, local volatility, and mixture models. The strengths and weaknesses of each model are analyzed. The stochastic volatility models of Wiggins (via Orenstien-Uhlenbeck processes), Hull-White, and Heston are studied, as is the SABR model. The chapter wraps up with a study of the SIV models, describes how the stochastic volatility models can be obtained via limits of GARCH models and surveys Jump-diffusion processes and Levy processes.

The second part of the book is concerned with term structure models and interest rate derivatives. The authors are quite well-know for their many contributions to this study and their treatment is authoritative.

11 of 14 people found the following review helpful.
Martingales & Finance
By Surf/Bike
I have used this book for two courses in my MSc degree in Financial Maths...well this book is hard to understand at first glance, but, once you are introduced with a good course on stochastic analysis and applied probability, this is an illuminating book...I particularly enjoyed the part on foreing equity derivatives and exotic derivatives.....Harmed with patience this is definitely the book by which you can effectively gain a sound a knowledge on modern mathematical finance theory....reading in conjunction with Bingham-Kiesel book, could help understanding the foundation of the subject.

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Selasa, 22 Mei 2012

[I192.Ebook] Download PDF Microsoft Excel 2013 for the Business Analyst, by Larry Rockoff

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Microsoft Excel 2013 for the Business Analyst, by Larry Rockoff

As one of the most popular software tools in the world, Microsoft Excel is used by business analysts across the globe to keep track of details, look deeply into the data that drives business, and provide managers with the information and insights they need to keep their companies moving forward. MICROSOFT EXCEL 2013 FOR THE BUSINESS ANALYST is an introduction to Excel, written by a business analyst for business analysts. While providing a general overview of the features and functions of Excel, the book places special emphasis on helping users in the task of data analysis. The book begins with a conceptual overview and a discussion of Excel's main components--cells, worksheets, tables, pivot tables, and pivot charts. That material provides an understanding of how Excel summarizes data and paves the way for a detailed exploration of the software's formulas and functions. Written in an easy-to-grasp style, with plenty of helpful screenshots, MICROSOFT EXCEL 2013 FOR THE BUSINESS ANALYST is perfect for analysts who are new to Excel or experienced users who wish to learn more about Excel's business-analysis capabilities.

  • Sales Rank: #753180 in Books
  • Published on: 2013-10-18
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.50" h x 8.00" w x 1.25" l, 1.80 pounds
  • Binding: Paperback
  • 416 pages

Review
Introduction. 1. An Overview of Excel. 2. The Excel User Interface. 3. Getting External Data. 4. Tables. 5. Pivot Table Basics. 6. Pivot Table Calculations. 7. Charts and Pivot Charts. 8. Data Commands. 9. Formulas. 10. Text Functions. 11. Numeric Functions. 12. Aggregate Functions. 13. Logical and Lookup Functions. 14. Analysis Tools.

About the Author
Larry Rockoff has been involved with Microsoft Excel and Business Intelligence development for many years. His main area of interest is with using reporting tools to explore and analyze data in complex databases. He holds an MBA from the University of Chicago, with a specialization in Management Science.

Most helpful customer reviews

0 of 1 people found the following review helpful.
Four Stars
By Solomore
Good book!

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Senin, 21 Mei 2012

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Uncle Anthony's Hokkien Recipes, by Loo Anthony Hock Chye, Samantha Lee

  • Sales Rank: #5091159 in Books
  • Published on: 2015-01-31
  • Binding: Paperback
  • 128 pages

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Minggu, 20 Mei 2012

[A344.Ebook] Download The Right Path, by Nora Roberts

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The Right Path, by Nora Roberts

After a frightening encounter with a knife-wielding stranger, Morgan James was bewildered when her "attacker" turned out to be the very wealthy Nicholas Gregoras. But could Morgan's suspicions about the mysterious Greek tycoon withstand the all-consuming desire ignited by his kiss?

  • Sales Rank: #3495330 in Books
  • Brand: Brand: Brilliance Audio on MP3-CD
  • Published on: 2013-02-28
  • Formats: Audiobook, MP3 Audio, Unabridged
  • Original language: English
  • Number of items: 1
  • Dimensions: 6.75" h x .50" w x 5.25" l, .20 pounds
  • Running time: 9 Hours
  • Binding: MP3 CD
Features
  • Used Book in Good Condition

Review
"The most successful novelist on Planet Earth." - Washington Post "Roberts's bestselling novels are some of the best in the romance genre.'" - USA TODAY "Nora Roberts is a storyteller of immeasurable diversity and talent." - Publishers Weekly "Romance will never die as long as the mega-selling Roberts keeps writing it." - Kirkus Reviews"

About the Author
Nora Roberts is the number-one New York Times-bestselling author of more than 190 novels, including The Search, Black Hills, Tribute, High Noon, and many more. She is also the author of the bestselling futuristic suspense series written under the pen name J.D. Robb. Roberts has more than 400 million copies of her books in print.

Most helpful customer reviews

35 of 37 people found the following review helpful.
not exactly bad, but not very good, either
By M. Cookson
The heroine in this book is Morgan James, an interpreter vacationing in Greece. Although she intends to relax, that plan is soon destroyed. Instead, Morgan finds herself having to worry about murder and smuggling - as well as a man who may be involved with both, but to whom she still feels strangly drawn, Nicholas Gregoras.
This was a quick read for me, both not really an excellent one. If I had read this before reading any of Nora Roberts other books, I probably wouldn't have sought any of those other books out. Although we discover at one point that Morgan has fallen in love with Nicholas, there seems to be no reason why this is the case - lust, I can believe, but not love. The first time they sleep together, Morgan is incredibly drunk and Nicholas knows it. It's not the usual romance that I expect from Roberts. Morgan and Nicholas' relationship isn't very spectacular; it's as though the author wanted mostly to concentrate on the mystery elements of the book and decided that, for the romance parts, passionate kisses and sex would suffice. There wasn't a single romantic moment that made me smile, and I found myself thinking that Nora Roberts has come a long way in her writing since this book was first published (1985). If I want to read a Nora Roberts book with well-meshed mystery and romance in it, then I'll reread an Eve Dallas book, not this.

18 of 18 people found the following review helpful.
Not that good.
By PHYLLIS E. CUTLER
Love Nora Roberts - have devoured everything she has ever written and will continue to do so, even tho' this was pretty awful. BUT, that being said, you can definitely tell this was one of her very early books. Having just finished her latest, "Whiskey Bay" you can definitely tell she has matured into a fine writer (in my opinion). This was a reread for me and its been a number of years since I originally read it - had forgotten the plot and was "jonesing" for a Nora book so I paid that ridiculous amount of money. My bad ! I wouldn't bother tho'. Also, since Kindle is releasing a number her older books, the editing leaves a lot to be desired - cranking them out fast and furiously. Be careful with the triologies also - they may be more expensive as a whole then individually and in the incorrect order. However, she, and her alter ego J.D. Robb, will remain one of my favorite authors.

20 of 22 people found the following review helpful.
Nice if you find it - Don�t waste effort searching for it
By srachel
Morgan is visiting friends in Greece when she goes down to the beach one night for a midnight swim. Before she knows it a stranger is holding her at knifepoint. She doesn't tell anyone about the incident and few days later Morgan is introduced to her friend's neighbor, Nicholas Gregoras. To Morgan's surprise he's the same man that held a knife to her on the beach! Only this Nick is different than the man Morgan had met, he's more smooth, without the rough edges. Morgan doesn't know what game he's playing. Then, when she finds a body, she doesn't know who to trust.
This was a good book. It was not one of those books that you can't put down, but at the end I was happy with the conclusion of the story. If I had never read a Nora Roberts book before this, I wouldn't remember the author from this book. This is a nice book if you come across it. It's definitely not worth searching for.

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Selasa, 08 Mei 2012

[B895.Ebook] PDF Ebook A Primer on the Taguchi Method, 2nd edition, by Ranjit K. Roy

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A Primer on the Taguchi Method, 2nd edition, by Ranjit K. Roy

A Primer on the Taguchi Method, 2nd edition, by Ranjit K. Roy



A Primer on the Taguchi Method, 2nd edition, by Ranjit K. Roy

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A Primer on the Taguchi Method, 2nd edition, by Ranjit K. Roy

In the completely revised 2nd edition, additional chapters and more case studies add to the clear, simple, and essentially non-mathematical presentation of the basic concepts, techniques, and applications of the renowned Taguchi approach. This practical guide introduces the fundamentals of Taguchi experimental design and shows engineers how to design, analyze, and interpret experiments for a wide range of common products and processes.

  • Sales Rank: #1985240 in Books
  • Published on: 2010-03-05
  • Original language: English
  • Dimensions: 9.00" h x 6.25" w x 1.00" l, 1.10 pounds
  • Binding: Hardcover
  • 300 pages

Review
Dr. Roy's name is instantly associated with Taguchi methodologies in the manufacturing industries. His skill set is also being recognized for project management instruction. The new edition includes more easy-to-follow descriptions and examples. --Andrea Stamps, engineering specialist, six sigma master black belt, General Dynamics, Southfield, MI

Dr. Roy has many years of practical experience helping engineers understand and improve their engineering, reliability, and problem-solving skills using Dr. Taguchi's ideas. He anticipates questions engineers would ask and provides information exactly when it is needed. --Larry R. Smith, quality and reliability manager (retired), Ford Motor Co., Dearborn, MI

The author is able to explain concepts in a very knowledgeable yet down-to-earth and systematic manner. The material is very well organized. --Kush Shah, manager, alternative propulsion technology quality, General Motors, LLC, Pontiac, MI

About the Author
Ranjit K. Roy, PhD. PE, PMP (mechanical engineer and president of Nutek, Inc.), is an internationally known consultant and trainer specializing in the Taguchi approach to quality improvement. Dr. Roy began his career with the Burroughs Corporation following the completion of graduate studies in engineering at the University of Missouri-Rolla in 1972. He then worked for General Motors Corporation (1976-87), assuming various engineering responsibilities, his last position being that of reliability managaer. Dr. Roy established his own consulting company, Nutek, Inc., in 1987 and currently offers consulting, training and application workshops in robust product and process design using the Taguchi approach. Dr. Roy is a fellow of the American Society for Quality and an adjunct professor at Oakland University, Rochester, Michigan. He is a Project Management Professional (PMP) as certified by the Project Management Institute (PMI)

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0 of 0 people found the following review helpful.
Five Stars
By Dave Kallgren
Finally! I can understand and discuss Taguchi

0 of 0 people found the following review helpful.
Excelent purchasing
By Gerardo Rangel
I bought a book used but it seems like new, is an excellent conditions, is the first time that I bought a book used and don't regret

11 of 13 people found the following review helpful.
Excellent for beginers
By nparasni@visteon.com
This is an excellent book for beginers. The book is thorough yet simple and the reader can easily understand Taguchi methods, the moethodology as well as the overall necessity of using it. I would recommend to any one who wants to use Taguchi methods. Its especially suited for beginers.

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