Minggu, 25 September 2011

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After a near death experience, Michelle has vowed to do her job, magical assistance for the police, and leave the heroics to someone else. Besides, life should be settling down for her since the trolls have been captured and the sorceress was neutralized. Unfortunately, the power behind the sorceress wants her dead, Elron starts acting funny, a magical creature wreaks havoc on a town, and there’s trouble with the werewolves. As if that wasn’t enough, the clans have started to notice her power and she has more reasons than ever to fear the clans. Things go from bad to worse when Michelle’s best friend is abducted, and she must decide between her friend and her vow to stay out of dangerous situations.

  • Sales Rank: #556513 in Books
  • Published on: 2015-12-27
  • Original language: English
  • Number of items: 1
  • Dimensions: 8.00" h x .65" w x 5.00" l, .63 pounds
  • Binding: Paperback
  • 258 pages

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4 of 4 people found the following review helpful.
cliffhanger
By leeanimal
Good sequel to the first. Although it escapes me why Michelle didn't tell the police that someone had been following Amber. She needed more evidence to get their help and she didn't mention that? Really?
Looking forward to the next book, and since she left it with a cliffhanger ending I'm sure it will seem like a very long wait for it.
However I sincerely hope they do a better job of proof reading the next one. The numerous misspelled, left out, and incorrect words were rather irritating.

2 of 2 people found the following review helpful.
A great read with a hint of trouble at the end
By Joshua Wachter
This book was a great read. It flowed from scene to scene without a hitch, the magic was awesome and the detective/research angle was well done. I highly recommend this book.

Now that the good part is out there I would like to comment on the one facet of the book that left me looking sideways at it. To start the up and down relationship of last book was smoothed out and I didn't have any of the same WTF is he doing factors that I had to deal with in the Elron/Michelle interactions of last book.

That out of the way the end of the book, most particularly the big reveal left me extremely leery. It tossed everything in the air which could be good or it could be bad, I just pray that N.E. Conneely doesn't fall prey to the particular vice of some authors to constantly throw relationships into the air and switch hit for the latest flavor of the week.

Hasn't been done yet but some of the warning signs are in. I'm just putting my vote in early. Vote NO!

The Deposed King

2 of 2 people found the following review helpful.
Witch vs evil.
By Kindle Customer
Michelle is a witch and a police consultant,this means she removes the spells on object found at crime scenes.tells the cops what happened because of magic,stops trolls,Corrals a magical Tyrannosaurus Rex,and looks for a missing friend.
Oh yeah ,her parents are keeping secrets from her that could effect her entire life.

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Sabtu, 24 September 2011

[E696.Ebook] Download Fiscal theory and political economy;: Selected essays, by James M Buchanan

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Fiscal theory and political economy;: Selected essays, by James M Buchanan

This important collection of eight interrelated essays fills a gap in English-language literature in public finance and fiscal theory. The author consistently emphasizes the central role of collective decision making in fiscal theories as well as the methodological setting in which positive proportions in fiscal theory must be developed.

Originally published in 1960.

A UNC Press Enduring Edition -- UNC Press Enduring Editions use the latest in digital technology to make available again books from our distinguished backlist that were previously out of print. These editions are published unaltered from the original, and are presented in affordable paperback formats, bringing readers both historical and cultural value.

  • Sales Rank: #5641458 in Books
  • Published on: 1960
  • Number of items: 1
  • Binding: Hardcover
  • 197 pages

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Jumat, 23 September 2011

[G202.Ebook] Ebook Download Pascal, by John Tulloch

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This is a reproduction of a book published before 1923. This book may have occasional imperfections such as missing or blurred pages, poor pictures, errant marks, etc. that were either part of the original artifact, or were introduced by the scanning process. We believe this work is culturally important, and despite the imperfections, have elected to bring it back into print as part of our continuing commitment to the preservation of printed works worldwide. We appreciate your understanding of the imperfections in the preservation process, and hope you enjoy this valuable book.

  • Published on: 2010-01-08
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.69" h x .46" w x 7.44" l, .88 pounds
  • Binding: Paperback
  • 220 pages

About the Author
John Tulloch is Professor at the School of Journalism, Media and Cultural Studies at the University of Cardiff

Most helpful customer reviews

1 of 1 people found the following review helpful.
Pretty good book
By Thomas L. Collins
I haven't read much about Pascal so this was all new to me. It was a good over view of some of the highlight of his life.

1 of 1 people found the following review helpful.
Worth every penny
By bardo
Pascal is great; this edition is worth the price of $0.

0 of 0 people found the following review helpful.
A decent biography for someone already a little knowledgable of ...
By Bob Jackson
A decent biography for someone already a little knowledgable of Pascal's life and works. Nothing surprising. Provided a few new insights.

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Rabu, 21 September 2011

[F377.Ebook] PDF Ebook Business Statistics in Practice (3rd Edition) Student Solutions Manual, by Bruce L.. Bowerman

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Student Solutions Manual for ISBN 0072559977.

  • Sales Rank: #4939787 in Books
  • Published on: 2003
  • Ingredients: Example Ingredients
  • Binding: Paperback

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Selasa, 20 September 2011

[F149.Ebook] Download Ebook The Amateur Magician's Handbook, by Henry Hay

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The Amateur Magician's Handbook, by Henry Hay

  • Sales Rank: #1375338 in Books
  • Published on: 1974-02-05
  • Ingredients: Example Ingredients
  • Original language: English
  • Dimensions: 5.00" h x 1.00" w x 7.00" l,
  • Binding: Paperback

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0 of 0 people found the following review helpful.
Four Stars
By Puddin66
Has some good ideas and instructions are fairly easy to understand.

12 of 13 people found the following review helpful.
Get it! Get it! Get it! There can't be a better book.
By A Customer
I've read this book alteast 15 times during the seven years that I've had it, and I still love to read it. If I could meet its author, it would be like a dream come true. This book has made me into a better magician than I could ever imagine. I even love the smell of its pages. One thing though, don't get it if you are looking for apparatus magic. Essentially teaches sleight of hand, but boy does it teach. Its the best book, it has to be.

10 of 11 people found the following review helpful.
One stop shopping for any magician
By Sam
If you are interested at all in magic then this is the book to get. It lets you in on the secrets of a whole realm of different magic tricks (coins, cards, stage, close, etc....). Whats great about this book is that if you are new to the "hobby" then you can sample a little of alot and find what really interests you, then you can delve into another more specific book with deeper content.

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The Dark Side of the Landscape: The Rural Poor in English Painting 1730-1840, by John Barrell

The eighteenth-century saw a radical change in the depiction of country life in English painting: feeling less constrained by the conventions of classical or theatrical pastoral, landscape painters attempted to offer a portrayal of what life was really like, or was thought to be like, in England; and this inevitably involved a distinct approach to the depiction of the rural poor. John Barrell's influential 1980 study shows why the poor began to be of such interest to painters, and examines the ways in which they could be represented so as to be an acceptable part of the d�cor of the salons of the rich. His discussion focuses on the work of three painters: Thomas Gainsborough, George Morland and John Constable. Throughout the book, Barrell draws illuminating comparisons with the literature of rural life and with the work of other painters. His terse and vigourous account has provided a landmark for social historians and literary critics, as well as historians of art.

  • Sales Rank: #3413299 in Books
  • Published on: 1980-03-31
  • Ingredients: Example Ingredients
  • Original language: English
  • Number of items: 1
  • Binding: Hardcover
  • 192 pages

Review
'This is a most original, searching and disquieting book. It will help us to look at old masters with new eyes: and also, since we are convicted by Barrell of certain nostalgic illustions about the agrarian past, it will help us to look at ourselves.' E. P. Thompson

'A brilliant reading of certain sets of pictorial conventions (signs) and of how and why they changed during a given historical period.' New Society

'Barrell has made a valuable contribution to our knowledge of the interplay between art and ideology in the eighteenth century.' Art History

'This is a book which is both enjoyable to read and informative.' Agricultural History Review

'A valuable and pertinent book which art-historians of all political persuasions ought to read.' Notes and Queries

'An important book.' Burlington Magazine

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0 of 1 people found the following review helpful.
Four Stars
By kathryn Stanley
Very interesting book, needs more illustrations.

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[L838.Ebook] PDF Download La pareja humana (Spanish Edition), by Mario Campuzano Montoya

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La vida amorosa ha sido, desde siempre, un socorrido tema de poetas y escritores, sin que la ciencia pudiera decir algo al respecto. A partir de finales del siglo XIX, durante el siglo XX y principios del actual se han logrado acumular, gradualmente, conocimiento cient?ficos y t?cnicos que han permitido construir una psicolog?a y una psicopatolog?a de vida amorosa, as? como desarrollar t?cnicas de intervenci?n en conflictos en esta ?rea tan importante de las relaciones humanas.

  • Sales Rank: #6411917 in Books
  • Published on: 2009-01-01
  • Original language: Spanish
  • Dimensions: 9.06" h x .39" w x 6.69" l,
  • Binding: Paperback
  • 170 pages

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Five Stars
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Multifractal Volatility: Theory, Forecasting, and Pricing (Academic Press Advanced Finance), by Laurent E. Calvet, Adlai J. Fisher

Calvet and Fisher present a powerful, new technique for volatility forecasting that draws on insights from the use of multifractals in the natural sciences and mathematics and provides a unified treatment of the use of multifractal techniques in finance. A large existing literature (e.g., Engle, 1982; Rossi, 1995) models volatility as an average of past shocks, possibly with a noise component. This approach often has difficulty capturing sharp discontinuities and large changes in financial volatility. Their research has shown the advantages of modelling volatility as subject to abrupt regime changes of heterogeneous durations. Using the intuition that some economic phenomena are long-lasting while others are more transient, they permit regimes to have varying degrees of persistence. By drawing on insights from the use of multifractals in the natural sciences and mathematics, they show how to construct high-dimensional regime-switching models that are easy to estimate, and substantially outperform some of the best traditional forecasting models such as GARCH. The goal of their book is to popularize the approach by presenting these exciting new developments to a wider audience. They emphasize both theoretical and empirical applications, beginning with a style that is easily accessible and intuitive in early chapters, and extending to the most rigorous continuous-time and equilibrium pricing formulations in final chapters.

� Presents a powerful new technique for forecasting volatility
� Leads the reader intuitively from existing volatility techniques to the frontier of research in this field by top scholars at major universities.
� The first comprehensive book on multifractal techniques in finance, a cutting-edge field of research

  • Sales Rank: #1575974 in Books
  • Published on: 2008-09-16
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.02" h x .63" w x 5.98" l, 1.25 pounds
  • Binding: Hardcover
  • 272 pages

Review
Advance Praise for Multifractal Volitility

“I thoroughly enjoyed reading the book and highly recommend it. The authors masterfully present their work on the Markov-Switching Multifractal model and its implications for Asset Pricing. This is a wonderful contribution to the field of Financial Economics.”
-Ravi Bansal, J.B. Fuqua Professor of Finance, Duke University Durham, NC

“I have always been intrigued by the multi-fractal approach to volatility modeling, forecasting and pricing pioneered by Calvet and Fisher. This book does a wonderful job in gathering together all of the fundamental ideas and results in a coherent framework, and I highly recommend it to anybody interested in learning more about these novel techniques and how they compare to the more traditional GARCH and stochastic volatility based modeling procedures.”
-Tim Bollerslev, Juanita and Clifton Kreps Professor of Economics, Duke University, NC

“This starkly original work defines a key part of the research frontier, developing a ‘multifractal’ perspective on volatility that unifies regime-switching and long memory, in discrete and continuous time, univariate and multivariate. Simultaneously and astonishingly, it is of immediate practical relevance for asset management, asset pricing and risk management. This book is required reading, for academics and practitioners alike.”
-Francis X. Diebold, J.M. Cohen Professor of Economics, University of Pennsylvania

"Calvet and Fisher have fashioned the definitive treatment of multi-fractal models of return volatility. Since Mandelbrot first challenged the standard paradigm, evidence supporting the parsiomony and flexibility of the multifractal approach has accumulated. Calvet and Fisher are uniquely positioned to finally unify this progress, much of which is based on their own research. The result is masterful and convincing, particularly for capturing return risk over multiple time horizons. I highly recommend their book."
-Darrell Duffie, Dean Witter Distinguished Professor of Finance, Stanford University, CA

“This book offers a unified treatment of multifractal volatility, a remarkable approach developed by the authors in a series of earlier papers. The idea is to capture in a single, coherent framework the set of observed features of financial data, whether seen as “jumps” in continuous-time models, “fat tails” in data discretely sampled over short intervals, different characterizations of volatility persistence over intermediate and long horizons, and nonlinearities and skewness in the conditional distributions. The underlying framework is a Markov-switching model with a very large number of different regimes, with the nature of different regimes summarized by a much smaller set of parameters. The book provides an excellent illustration of just how successful this flexible yet parsimonious approach can be in terms of describing a wide variety of the characteristics of financial time series.”
-James Hamilton, Professor of Economics, University of California, San Diego

“Calvet and Fisher provide a valuable and thorough development of a novel class of models of financial market volatility. The methods and models exposited so nicely in their book should be part of the toolkit of researchers interested in understanding and characterizing the stochastic nature of volatility fluctuations. Their book is simultaneously accessible and complete. It shows how to use these models in practice, and it provides a rigorous foundation for their application.”
-Lars Hansen, Livingston Distinguished Service Professor, University of Chicago, IL

“Volatility is a central concern of modern financial econometrics, challenging econometricians to build plausible models and practical methods of inference. Calvet and Fisher draw together the ingredients of a promising new research agenda, integrating a decade of work on multifractal modeling into a masterful overview of the field of volatility, demonstrating the advantages of Markov switching multifractals in aggregating components of differing persistence and showing us how rare events need not be studied in isolation as curiosa. A compelling read for financial theorists and practitioners.”
-Peter C. B. Philips, Sterling Professor of Economics & Statistics, Yale University, CT

“To accommodate the high persistence and variability of volatility in financial time series, Calvet and Fisher developed the class of Markov-Switching Multifractal models. This book, which summarizes ten years of their research, is of great interest to researchers in asset pricing and essential reading for practitioners working on risk management or volatility forecasting.”
-Jose Scheinkman, Theodore Wells '29 Professor of Economics, Princeton University, NJ

From the Back Cover
Advance Praise for Multifractal Volitility

“I thoroughly enjoyed reading the book and highly recommend it. The authors masterfully present their work on the Markov-Switching Multifractal model and its implications for Asset Pricing. This is a wonderful contribution to the field of Financial Economics.”
-Ravi Bansal, J.B. Fuqua Professor of Finance, Duke University Durham, NC

“I have always been intrigued by the multi-fractal approach to volatility modeling, forecasting and pricing pioneered by Calvet and Fisher. This book does a wonderful job in gathering together all of the fundamental ideas and results in a coherent framework, and I highly recommend it to anybody interested in learning more about these novel techniques and how they compare to the more traditional GARCH and stochastic volatility based modeling procedures.”
-Tim Bollerslev, Juanita and Clifton Kreps Professor of Economics, Duke University, NC

“This starkly original work defines a key part of the research frontier, developing a ‘multifractal’ perspective on volatility that unifies regime-switching and long memory, in discrete and continuous time, univariate and multivariate. Simultaneously and astonishingly, it is of immediate practical relevance for asset management, asset pricing and risk management. This book is required reading, for academics and practitioners alike.”
-Francis X. Diebold, J.M. Cohen Professor of Economics, University of Pennsylvania

"Calvet and Fisher have fashioned the definitive treatment of multi-fractal models of return volatility. Since Mandelbrot first challenged the standard paradigm, evidence supporting the parsiomony and flexibility of the multifractal approach has accumulated. Calvet and Fisher are uniquely positioned to finally unify this progress, much of which is based on their own research. The result is masterful and convincing, particularly for capturing return risk over multiple time horizons. I highly recommend their book."
-Darrell Duffie, Dean Witter Distinguished Professor of Finance, Stanford University, CA

“This book offers a unified treatment of multifractal volatility, a remarkable approach developed by the authors in a series of earlier papers. The idea is to capture in a single, coherent framework the set of observed features of financial data, whether seen as “jumps” in continuous-time models, “fat tails” in data discretely sampled over short intervals, different characterizations of volatility persistence over intermediate and long horizons, and nonlinearities and skewness in the conditional distributions. The underlying framework is a Markov-switching model with a very large number of different regimes, with the nature of different regimes summarized by a much smaller set of parameters. The book provides an excellent illustration of just how successful this flexible yet parsimonious approach can be in terms of describing a wide variety of the characteristics of financial time series.”
-James Hamilton, Professor of Economics, University of California, San Diego

“Calvet and Fisher provide a valuable and thorough development of a novel class of models of financial market volatility. The methods and models exposited so nicely in their book should be part of the toolkit of researchers interested in understanding and characterizing the stochastic nature of volatility fluctuations. Their book is simultaneously accessible and complete. It shows how to use these models in practice, and it provides a rigorous foundation for their application.”
-Lars Hansen, Livingston Distinguished Service Professor, University of Chicago, IL

“Volatility is a central concern of modern financial econometrics, challenging econometricians to build plausible models and practical methods of inference. Calvet and Fisher draw together the ingredients of a promising new research agenda, integrating a decade of work on multifractal modeling into a masterful overview of the field of volatility, demonstrating the advantages of Markov switching multifractals in aggregating components of differing persistence and showing us how rare events need not be studied in isolation as curiosa. A compelling read for financial theorists and practitioners.”
-Peter C. B. Philips, Sterling Professor of Economics & Statistics, Yale University, CT

“To accommodate the high persistence and variability of volatility in financial time series, Calvet and Fisher developed the class of Markov-Switching Multifractal models. This book, which summarizes ten years of their research, is of great interest to researchers in asset pricing and essential reading for practitioners working on risk management or volatility forecasting.”
-Jose Scheinkman, Theodore Wells '29 Professor of Economics, Princeton University, NJ

About the Author
By Laurent E. Calvet and Adlai J. Fisher

Most helpful customer reviews

15 of 15 people found the following review helpful.
Great source on state-of-the-art volatility modeling in Finance
By N. Tuzov
This book reflects a significant step in volatility modeling with a clear focus on financial applications. It offers a nice combination of theoretical results combined with fitting the corresponding models to real financial data.

From a practical point of view, it has been long known that (log) asset prices are not adequately described by Brownian Motion (BM) or Fractional BM. For instance, take the fact that typically, low-frequency (weekly or monthly) return distribution has much thinner tails than high-frequency (daily or hourly) return distribution. Such absence of "self-similarity" across frequencies is not consistent with BM or Fractional BM.

To capture this effect (among many others), they propose to model the (log) asset price as a Multifractal Process. Such process is characterized by so-called "scaling function" which can be estimated from the data. One may think of Multifractal Processes as an extended class of stochastic processes that includes self-similar BM / Fractional BM. In particular, for self-similar processes the scaling function has to be linear. However, estimations based on real currency and equity data (see Chapter 8) do not produce a linear scaling function. Therefore, the hypothesis of self-similarity (also called "unifractality") of the (log) asset price doesn't hold.

Apparently, the limitations of self-similar processes have been known for a while, and many popular volatility models (such as GARCH or FIGARCH) address them to a certain degree. However, numerical results show that the Multifractal Model is a better fit to the data in terms of scaling function.

In practice, the multifractal approach is implemented as so-called Markov-Switching Multifractal model (MSM) in discrete time. Markov-Switching models (pioneered by Hamilton, see Time Series Analysis) are based on the idea is that volatility (and possibly drift) are dependent on the unobserved state variable that follows a Markov process. MSM extends that idea by imposing certain restrictions on the transition matrix, thus reducing the dimensionality. The physical meaning of the restrictions is that different economic factors (technology shocks, business cycles, liquidity shocks) affect the volatility on different time scales. The volatility impact from one economic factor can be a lot more lasting than that from another factor.

The authors demonstrate that MSM model accounts for such data features as:

1) short- and long-range dependence in volatility;
2) fat tails of return distribution;
3) volatility jumps.

Again, many previously known models account for these effects to a certain extent, so a comparison to some benchmark models is necessary. Fitting MSM model to daily currency data via Maximum Likelihood (Chapter 3) shows that MSM is superior to:

1) GARCH-t ("t" means that the error term has a t-distribution)
2) Markov-Switching GARCH-t
3) FIGARCH-t

Personally, I would have liked to see how well MSM competes with some models based on Extreme Value Distribution, but no examples are provided.

There have been many complaints in the reviews of the popular book of Mandelbrot (see The Misbehavior of Markets: A Fractal View of Financial Turbulence) that few "implementation details" had been provided. Numerical examples in Calvet and Fisher clearly show how to apply Mandelbrot's ideas to real data and where exactly the new framework surpasses the existing volatility models.

Other chapters include multivariate volatility modeling (again, MSM is superior to multivariate CC-GARCH) and application of MSM to asset pricing theory. Therefore, I can highly recommend this book to people interested in the latest advances in volatility modeling.

11 of 11 people found the following review helpful.
An excellent review of an important topic
By Aaron C. Brown
With all due respect to the other reviewers, there's not much point discussing how good a job this book does explaining multifractal volatility. It's the only book on that subject. I think it's more useful to describe why someone who doesn't already know what MV is might want to read this excellent book.

A lot of financial data series (and non-financial as well) exhibit apparently erratic behavior such as sudden jumps or periods of high and low volatility. These have caused many disasters, but also present tempting opportunity for anyone who can understand them. The tricky part is that simple models don't provide good fits, and complicated models are too hard to calibrate.

There are some standard approaches to this problem and the authors have come up with one they think is better. But you don't need to accept that to find this book useful. It lays out a general mathematical framework and covers a wide range of models, comparing them both mathematically and with financial data. The mathematics is only moderately difficult, and the clear presentation explains the main ideas for people who cannot follow each step of the formalism. Whether or not you like MV, and it is a small group so far that does, this book is the best up-to-date introduction to this field. There are extensive references to a wide range of approaches. The material is presented as a set of tools and ideas, you can take the ones you find useful and combine them as you like.

It would be even better if the book included data and computer code, either on a CD or at a website. More discussion of data would be helpful, as would some applications that go beyond data fitting (for example, it would be nice to see MV make money, or warn of disasters). The charts and tables are ugly, and the charts absurdly small for the information they are intended to convey. Some of the chapters could have used better editing to smooth over their origins as journal articles.

However, those are minor criticisms compared to the outstanding job the authors have done of summarizing important work in time series modeling, with rigor and depth, but without making the work inaccessible to a wide audience.

9 of 10 people found the following review helpful.
time scale sensitive discussion of a new volatiltiy theory
By Bachelier
Calvet & Fisher's "Multifractal Volatility: Theory, Forecasting, and Pricing" is a welcome addition to the conversation in mathematical finance on volatility modeling expectations and tractable and practical models.

Multifractal Volatility (MV) covers novel techniques outside of more traditional GARCH and stochastic volatility models (the controlling state variable is unobserved), and builds on the thinking of Benoit Mandelbrot on a sub-set of mathematics known as fractals, which are systems of non-linear equations that exhibit such characteristics as self-similarity (linear, non-linear, or statistical), scale invariance, and a (usually) non-integer Hausdorff dimension. Capturing fractals over multiple time horizons is the game.

(Note: there is a tedious back-and-forth about how Mandelbrot fractals are nothing but Elliott wave principal dressed up as higher mathematics. If your idea of fun is reading about cranks snarking at each other, G--gle it all up and have fun reading).

MV holds that both market returns and volatility exhibit strong kurtosis in the distribution of measured outcomes (i.e. there is a strong and sticky tendency for returns to stay either very close to the mean or far from it).

MV addresses the curse of dimensionality of regime switching state models (because the number of parameters increases with the square of the number of states) buy using a Markov-Switching Multifractal (MSM) model, where volatility is assumed to be drawn from a large discrete distribution, each of which can randomly switch to a new value drawn from a common distribution. The variable order is along regime switching probability, and increases smoothly for low to high frequency observations, but allows volatility major jumps when a regime switch occurs.

The first section introduces MSM in discrete time, followed by a section extending (or restating) the model in Continuous Time, followed by an examination of information arrival and Equilibrium Pricing.

This work is for specialists and persons well-trained in mathematical finance who are familiar with date measure and distributions. It assumes knowledge of Brownian Motion, Markov chains, equilibrium pricing, information theory, and regime switching (knowledge from fluid mechanics on viscosity would also help). It introduces and argues for fractal distributions of volatility for higher goodness of fit, and makes a strong case.

MV is well-written and clear, and even those who are not familiar or highly trained in the intricacies of Mandelbrot sets and other fractals can comprehend the arguments Calvet and Fisher make. This is a curious and interesting book and deserves a front-row seat in the continuing conversation in mathematical finance.

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[D269.Ebook] Fee Download Calendar Mysteries #12: December Dog, by Ron Roy

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Calendar Mysteries #12: December Dog, by Ron Roy

It's a mystery every month from popular A to Z Mysteries author Ron Roy! With the younger siblings of the A to Z Mysteries kids!

December is for Dog... 

In the twelfth book of the Calendar Mysteries- an early chapter book mystery series -Bradley, Brian, Nate, and Lucy find a lost puppy on Christmas Eve. The poor dog was meant to be a present for someone. It has a ribbon with a tag around its neck, but the tag is ripped. Can the kids find out who bought the puppy or who was supposed to receive it?

  • Sales Rank: #400803 in Books
  • Published on: 2014-09-23
  • Released on: 2014-09-23
  • Original language: English
  • Number of items: 1
  • Dimensions: 7.62" h x .20" w x 5.20" l, .16 pounds
  • Binding: Paperback
  • 80 pages

About the Author
RON ROY has been writing books for children since 1974. He is the author of dozens of books, including the popular A to Z Mysteries and Capital Mysteries series. When not working on a new book, Ron likes to teach tricks to his dog Pal, play poker with friends, travel, and read thrilling mystery books. Visit Ron online at RonRoy.com.

JOHN STEVEN GURNEY has illustrated many books for children, including the entire A to Z Mysteries series and Scholastic's popular Bailey School Kids series.

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0 of 0 people found the following review helpful.
Four Stars
By M. Richter
Great book - my son loved it!

0 of 0 people found the following review helpful.
Granddaughter loves the series!
By Gran2Four
I ordered several of the Calendar Mysteries books for my 7yr old granddaughter and she has said that she loves them!

0 of 0 people found the following review helpful.
Bedtime favorite
By Kristen A. Miller
My husband and I read these stories to my daughter at bedtime. The kids solve mysteries and use critical thinking skills to solve problems.

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Minggu, 04 September 2011

[P155.Ebook] Free Ebook Edward Sapir: Culture, Language and Personality: Selected Essays, by Edward Sapir

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Edward Sapir: Culture, Language and Personality: Selected Essays, by Edward Sapir

  • Sales Rank: #14501498 in Books
  • Published on: 1958
  • Binding: Paperback

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2 of 3 people found the following review helpful.
Frontiersman in anthropology and linguistics
By Mary E. Sibley
Sapir's principal field of study was language. This book contains nine essays from the SELECTED WRITINGS OF EDWARD SAPIR IN LANGUAGE, CULTURE AND PERSONALITY. Edward Sapir was born in Lauenberg, Germany in 1884. His early education was is Richmond, Virginia and in New York City. He graduated from Columbia University in 1904 and with Franz Boas's encouragement he took an M.A. in Germany and a Ph.D. in anthropology. Much of his work concerned American Indian languages and culture.
Every group of human beings has speech and a well-ordered language. Language is a perfect means of expression. Language is primarily a system of phonetic symbols. Phonetic language takes precedence over other kinds of communicative symbolism. All languages are also phonemic. There are a fixed number of phonetic stations. Languages differ widely in their phonemic structure. The fundamental theory of sound symbolism remains the same everywhere.
All grammars have the same degree of fixity. Language is felt to be a perfect symbolic system. Once the form of a language is established it can project potential meanings onto experience. Forms predetermine certain modes of observation. Language interpenetrates actual experience. Language is learned early and piecemeal. It is rarely a purely referential organization.
Language is primarily a vocal actualization of the tendancies to see realities symbolically. Language is a great socializer. There is no correspondence between the form of a language and the form of a culture. The cultural significance of a language form is much more submerged.
Linguistics began it scientific career with the reconstruction of the Indo-European languages. The value of linguistics to cultural studies and anthropology has been recognized. Language is a guide to social reality. Language may be thought of as a symbolic guide to culture. Psychologists concern themselves with linguistic data. A drawback in applying language to unrelated areas is that language to a very great extent is self-contained. Where interest in language has transcended narrow limits, both historical problems and human behavior need to be studied.
Language is primarily a social or cultural product, not a biological product. The culture of the group and the individual are interdependent. The self seeks mastery. What constitutes spiritual serenity must be answered afresh for every culture. Religion does not presuppose a definite belief in God. Cultural anthropology may be useful to psychiatry.
This scholarly work, influential to generations of students of human behavior, contains numerous ideas of great interest to the informed general reader. The writing and the theories are not heavy fare. Enjoyment of the work is not limited to those who have training or experience in sociology or anthropology or linguistics. Apparently the book constitutes a fair representation of the man and the scope of his scholarlarship.

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Sabtu, 03 September 2011

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Introduction to Fluoropolymers: Materials, Technology and Applications (Plastics Design Library) 1st edition

  • Published on: 1600
  • Binding: Hardcover

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