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Sabtu, 24 Januari 2015

Get Free Ebook The Informed Eye: Understanding Masterpieces of Western Art Hardcover November 28, 1999By Bruce Cole

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The Informed Eye: Understanding Masterpieces of Western Art Hardcover November 28, 1999By Bruce Cole

The Informed Eye: Understanding Masterpieces of Western Art Hardcover November 28, 1999By Bruce Cole


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The Informed Eye: Understanding Masterpieces of Western Art Hardcover November 28, 1999By Bruce Cole

  • Published on: 1605
  • Binding: Hardcover

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Sabtu, 03 Januari 2015

Download Ebook Modelling Fixed Income Securities and Interest Rate Options (2nd Edition)By Robert Jarrow

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Modelling Fixed Income Securities and Interest Rate Options (2nd Edition)By Robert Jarrow

This book teaches the basics of fixed-income securities in a way that, unlike competitive texts, requires a minimum of prerequisites. While other books focus heavily on institutional details of the bond market, all of which could easily be learned “on the job,” Jarrow is more concerned with presenting a coherent theoretical framework for understanding all basic models. His unified approach—the Heath Jarrow Morton model—under which all other models are presented as special cases, enhances understanding while avoiding repetition. The author’s pricing model is widely used in today’s securities industry.

In this revised edition, the author has added new chapters to enrich coverage, and has modified the order of chapters slightly to smooth the progression of material from simple to complex. Online material will be available with the text, replacing the diskette included in the first edition; lecture notes for instructors will be available on PowerPoint slides. MathWorks has provided a free online, limited version of the MATLAB’s financial derivatives toolbox, with which users of the book can apply the theory presented in each chapter.

  • Sales Rank: #735289 in Books
  • Published on: 2002-07-01
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.25" h x .80" w x 6.13" l, 1.28 pounds
  • Binding: Hardcover
  • 368 pages

Review
Review of the First Edition
"Interest-rate risk management is generally perceived as one of the most technical areas in modern finance. The sheer number of different, rather cumbersome and somewhat abstract, models that exist to price and hedge interest-rate-sensitive claims, has intimidated all but the most determined academicians and practitioners. This unfortunate perception of the subject will be reversed for most who read Robert A. Jarrow's new book . . . [in which] he has packaged his knowledge and insight into a form that anyone can understand. . . . It is a book targeted to the advanced MBA student, the Ph.D. student, and the technical Wall Street crowd. Each audience should be pleased with it. . . . It is the best book in the interest-rate pricing area."—Journal of Finance

"The Second Edition is written in a style that makes it invaluable to a wide audience. For the specialist, it provides a clear and concise discussion of virtually every aspect of fixed income modeling—from model construction through to implementation and estimation. For the newcomer, it provides a 'from the ground up' approach with an introduction to traded securities, theory, modeling and application."—Andrew Jeffrey, Yale School of Management

"One feature of the revised edition that I find particularly appealing to instructors and students is that each chapter starts with an example demonstrating the new concepts in the chapter. This is very useful for MBA students. The revision is carefully written and well organized, with an emphasis on risk management."—Zsuzsanna Fluck, Department of Finance, Eli Broad Graduate School of Management, Michigan State University

From the Inside Flap
This book teaches the basics of fixed-income securities in a way that, unlike competitive texts, requires a minimum of prerequisites. While other books focus heavily on institutional details of the bond market, all of which could easily be learned “on the job,” Jarrow is more concerned with presenting a coherent theoretical framework for understanding all basic models. His unified approach—the Heath Jarrow Morton model—under which all other models are presented as special cases, enhances understanding while avoiding repetition. The author’s pricing model is widely used in today’s securities industry.
In this revised edition, the author has added new chapters to enrich coverage, and has modified the order of chapters slightly to smooth the progression of material from simple to complex. Online material will be available with the text, replacing the diskette included in the first edition; lecture notes for instructors will be available on PowerPoint slides. MathWorks has provided a free online, limited version of the MATLAB’s financial derivatives toolbox, with which users of the book can apply the theory presented in each chapter.

From the Back Cover
Review of the First Edition
“Interest-rate risk management is generally perceived as one of the most technical areas in modern finance. The sheer number of different, rather cumbersome and somewhat abstract, models that exist to price and hedge interest-rate-sensitive claims, has intimidated all but the most determined academicians and practitioners. This unfortunate perception of the subject will be reversed for most who read Robert A. Jarrow’s new book . . . [in which] he has packaged his knowledge and insight into a form that anyone can understand. . . . It is a book targeted to the advanced MBA student, the Ph.D. student, and the technical Wall Street crowd. Each audience should be pleased with it. . . . It is the best book in the interest-rate pricing area.”—Journal of Finance
“The Second Edition is written in a style that makes it invaluable to a wide audience. For the specialist, it provides a clear and concise discussion of virtually every aspect of fixed income modeling—from model construction through to implementation and estimation. For the newcomer, it provides a 'from the ground up' approach with an introduction to traded securities, theory, modeling and application."—Andrew Jeffrey, Yale School of Management

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Kamis, 01 Januari 2015

PDF Download Operation Leningrad: SS Wotan in RussiaBy Leo Kessler

PDF Download Operation Leningrad: SS Wotan in RussiaBy Leo Kessler

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Operation Leningrad: SS Wotan in RussiaBy Leo Kessler

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Operation Leningrad: SS Wotan in RussiaBy Leo Kessler

Summer 1942. Leningrad, Russia's premier city after Moscow, has been besieged by German and Finnish troops for weeks in a stalemate that will eventually last 900 gruelling days. Neither commander will back down. Stalin will defend it to the last; Hitler will fight to the last to gain it.

Now Hitler personally prepares a daring and ambitious plan. The city is surrounded save for a narrow corridor based on Lake Ladoga. There the Russians, not expecting a German armoured attack in the snow that's soon to come, have reduced their forces to three infantry divisions. Aware of this, Hitler decides to send in his elite "Wotan". It will use Finland as its base, passing secretly through the immense forests of the area, and take the defenders of Lake Ladoga by complete surprise. Or at least, that's the plan.

The war — a battle of the Titans — has become a personal matter between Hitler and Stalin, and Wotan will undergo tremendous suffering and losses to make Hitler's dream come true.

Operation Leningrad is an SS Wotan novel, set in 1942. Leo Kessler is the pseudonym of prolific WW2 author and historian Charles Whiting. Whiting uses his deep knowledge of the Second World War as the basis of the Kessler novels. In this epic, readers can see likenesses to real world events. Over three million Whiting books have been sold worldwide. If you've enjoyed Sven Hassel or Eric Meyer, sample some tongue-in-cheek war action courtesy of Leo Kessler.

  • Sales Rank: #681811 in eBooks
  • Published on: 2015-10-16
  • Released on: 2015-10-16
  • Format: Kindle eBook

About the Author
Leo Kessler is a pseudonym for Charles Whiting, who also writes as Duncan Harding and John Kerrigan.

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