Senin, 30 November 2015

* PDF Download The Beggar's Opera and Polly (Oxford World's Classics), by John Gay

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The Beggar's Opera and Polly (Oxford World's Classics), by John Gay

'Gamesters and Highwaymen are generally very good to their Whores, but they are very Devils to their Wives.'

With The Beggar's Opera (1728), John Gay created one of the most enduringly popular works in English theatre history, and invented a new dramatic form, the ballad opera. Gay's daring mixture of caustic political satire, well-loved popular tunes, and a story of crime and betrayal set in the urban underworld of prostitutes and thieves was an overnight sensation. Captain Macheath and Polly Peachum have become famous well beyond the confines of Gay's original play, and in its sequel,
Polly, banned in Gay's lifetime, their adventures continue in the West Indies. With a cross-dressing heroine and a cast of female adventurers, pirates, Indian princes, rebel slaves, and rapacious landowners, Polly lays bare a culture in which all human relationships are reduced to commercial transactions.

Raucous, lyrical, witty, ironic and tragic by turns, The Beggar's Opera and Polly - published together here for the first time - offer a scathing and ebullient portrait of a society in which statesmen and outlaws, colonialists and pirates, are impossible to tell apart.
ABOUT THE SERIES: For over 100 years Oxford World's Classics has made available the widest range of literature from around the globe. Each affordable volume reflects Oxford's commitment to scholarship, providing the most accurate text plus a wealth of other valuable features, including expert introductions by leading authorities, helpful notes to clarify the text, up-to-date bibliographies for further study, and much more.

  • Sales Rank: #1181846 in eBooks
  • Published on: 2013-05-09
  • Released on: 2013-05-09
  • Format: Kindle eBook

About the Author

Hal Gladfelder is the author of Criminality and Narrative in Eighteenth-Century England: Beyond the Law (Johns Hopkins, 2001) and an edition of Cleland's Memoirs of a Coxcomb (Broadview, 2005). His most recent book is a study of Cleland's life and career, Fanny Hill in Bombay: The Making and Unmaking of John Cleland (Johns Hopkins, 2012).

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3 of 3 people found the following review helpful.
The birth of the comic opera
By P. McCauley
These plays offer up a bold mixture of political satire, lyrical poetry, social issues, family values, colonialism, gender roles and racial discrimination; with a number of popular folk tunes and ballads interspersed throughout. It's no wonder that 'The Beggar's Opera' ended up creating its own genre: the comic opera.

'The Beggar's Opera' takes place in London's underworld, following thieves and prostitutes, as the local fence and informant Peachum attempts to have his new son-in-law (the highwayman Macheath) hanged. Macheath repeatedly seduces women to help him evade capture and escape, but is constantly betrayed at each turn by his fellow criminals. In the end the Beggar (the playwright) has to be asked to come out and save his hero, so as to give the audience a happy ending.

The sequel 'Polly' takes place in the West Indies, as Polly Peachum attempts to find her now transported husband Macheath in the middle of a revolt. This play was in fact banned by the Lord Chamberlain before it was ever performed. It survived in published form and was not performed on the stage until over forty years after Gay's death.

While these plays are enjoyable enough to read and study as a text, they were definitely written to be enjoyed as a performance.

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Sabtu, 28 November 2015

## Download Ebook Ideas under Fire: Historical Studies of Philosophy and Science in AdversityFrom Fairleigh Dickinson University Press

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Since Aristotle’s famous declaration that the speculative sciences originated with the emergence of a leisure class, it has been accepted as a truism that intellectual activity requires political stability and leisure in order to flourish. Paradoxically, however, some of the most powerful and influential contributions to Western intellectual culture have been produced in conditions that were adverse–indeed hostile–to intellectual activity. Examples include Socrates' stirring defense of the examined life before a hostile Athenian jury, Boethius writing The Consolation of Philosophy under the specter of impending torture and execution, Galileo devising key notions for modern mechanics while under house arrest, and Jean-Paul Sartre drafting portions of Being and Nothingness in his war diaries, to name only a few of the most famous incidents–all extraordinary achievements spawned, developed or completed in adversity. In cases such as these, a philosopher or scientist must manage somehow to remain intellectually creative and focused despite living in conditions that are adverse or hostile to thought. In brief, they are working on ideas under fire.

This book is a survey of several momentous cases of philosophers and scientists working under fire. Each chapter of Ideas Under Fire explores a particular case or set of related cases. For each case contributors consider two questions: How did the individual at the center of a particular moment of discovery overcome such formidable obstacles to leisure and conceptually abstract thought? And how did adversity shape their thinking under fire?

Each chapter has been written by a specialist on its respective subject, and the book covers every period of Western history. All the chapters are written in an accessible style that is intended to appeal to both specialists and generalists.

  • Sales Rank: #3937246 in eBooks
  • Published on: 2012-10-26
  • Released on: 2012-10-26
  • Format: Kindle eBook

About the Author
Jonathan Lavery is associate professor at Wilfrid Laurier University in Ontario, Canada

Louis Groarke is associate professor of philosophy at St. Francis Xavier University, Nova Scotia, Canada.

William Sweet is professor of philosophy at St Francis Xavier University, Nova Scotia, Canada.

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@ Free Ebook International Courts and the Development of International Law: Essays in Honour of Tullio TrevesFrom T.M.C. Asser Press

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This book contains a collection of essays by leading experts linked to the outstanding characteristics of the scholar in honour of whom it is published, Tullio Treves, who combines his academic background with his practical experiences of a negotiator of international treaties and a judge of an international tribunal. It covers international public and private law related to international courts and the development of international law.

Under Article 38 of its Statute, the International Court of Justice can apply judicial decisions only as a “subsidiary means for the determination of rules of law”. However, there are many reasons to believe that international courts and tribunals do play quite an important role in the progressive development of international law. There are a number of decisions which are inevitably recalled as the first step, or a decisive step, in the process of the formation of a new rule of customary international law. In these cases, can the judge be considered as a subsidiary of others? Are these cases compatible with the common belief that a judge cannot create law? Is this a peculiarity of international law, which is characterized by the existence of several courts but the lack of a legislator? Do decisions by different courts lead to the consequence of a fragmented international law? This volume provides the reader with an elaboration of various questions linked to the legislative role of courts.

In their choices of subjects, some contributors have taken into account the general aspects of the development of international rules through court decisions or specific sectors of international law, such as human rights, international crimes, international economic law, environmental law and the law of the sea. Others have chosen the subject of the rules on jurisdiction and procedure of international courts. The question of the courts’ role in the development of areas of law different from public international law, namely private international law and European Union law, has also been considered.

The information and views contained in this book will be of great value to academics, students, judges, practitioners and all others interested in the public and private international law aspects of the link between international courts and the development of international law.

  • Published on: 2013-03-15
  • Released on: 2013-03-15
  • Format: Kindle eBook

About the Author

Nerina Boschiero and Tullio Scovazzi are both professor of international law at the Universities of, respectively, Milan and Milano-Bicocca, Italy. Chiara Ragni and Cesare Pitea are both researcher in international law at the Universities of, respectively, Milan and Parma, Italy.

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* Ebook Free Dungeon, Fire and Sword: The Knights Templar in the Crusades, by John J. Robinson

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Dungeon, Fire and Sword is a good book for all who enjoy a well-written, well-researched story of stupidity, greed, barbarity, unspeakable cruelty, deception, fraud, treachery and sanctimony... John J. Robinson has written a fascinating history of an incredible time.

  • Sales Rank: #625754 in eBooks
  • Published on: 1992-01-15
  • Released on: 2012-08-01
  • Format: Kindle eBook

From Library Journal
Founded in 1119 shortly after the first crusade to defend those areas of the Holy Land conquered from the Muslims, the Poor Knights of the Temple, or Knights Templars, were a manifestation of the new zealous piety of the 12th century. Their name derives from the site, supposedly near Solomon's temple, given them by Baldwin, king of Jerusalem; the Templars' lifestyle, combining the anti-Muslim and quasi-monastic ideals of the day, brought them respect and enormous wealth in the 12th century. By the late 13th century, however, Europeans' loss of the Holy Land undermined the Templars' prestige at the moment when King Philip IV of France coveted their wealth, and he had them suppressed. Based entirely on secondary sources, many of them dated, rife with inaccurate and misleading information, this is not a sound treatment of either the crusades or the Templars. The general reader for whom the book is intended will learn more from Karen Armstrong's Holy War: The Crusades and Their Impact on Today's World ( LJ 2/15/91). Not recommended.
- Bennett D. Hill, Georgetown Univ., Washington, D.C.
Copyright 1992 Reed Business Information, Inc.

From Kirkus Reviews
The author of Born in Blood: The Lost Secrets of Freemasonry (1989)--which provocatively argued that the Freemasons are a descendant order of the medieval Knights Templar--now concentrates, in a highly detailed but far less captivating addendum, on the Knights' role in the Crusades. Robinson's fascination with the military monastic order organized by a band of knights in the aftermath of the First Crusade and originally dedicated to the protection of pilgrims in the Holy Land continues. Here, he sets out to recount the Knights' role as trained warriors and, eventually, as international bankers during the nearly 200 years from Pope Urban II's call for the First Crusade in 1095 through the last Crusaders' abandonment of the Holy Land in 1291. Unfortunately, in this version the fascination of the Templar tradition (including the order's secret initiation rites, its rules of chastity and individual poverty, its provision against bathing, and its recruitment from the ranks of murderers, exiles, and excommunicated Catholics) is submerged beneath deadly masses of historic detail concerning the ever-changing political alliances, royal successions, and battle plans that comprised the Christian invasions of the Holy Land. Isolated incidents featuring such swashbucklers as Richard the Lion-Hearted, Frederick Barbarossa, and the Syrian Assassins sparkle occasionally against the otherwise monotonous accounts of skirmishes against the Muslims, disputes among Christian noblemen, and struggles for the crown of Jerusalem- -but the Knights themselves are often lost in the background of these events, and only regain their undeniable mystique when Pope Clement V disbands the order at the behest of France's avaricious King Philip IV, and the Knights are reduced to a fugitive, underground existence whose traditions may continue in some form to this day. Lacking the power and focus of Robinson's earlier work, this serves as little more than reference material for die-hard Crusade fans. (Maps.) -- Copyright ©1991, Kirkus Associates, LP. All rights reserved.

Review
Long on enthusiasm and colorful narrative... it is high adventure. (The New York Times Book Review)

Just how deep ancient rivalries and hatreds run in the Middle East can be gleaned from this dramatic, gripping history of the Knights Templar... Rich in human incident... This is high adventure of the first rank. (Publishers Weekly, (Starred Review))

Robinson's account of one of the medieval world's most famous military orders serves as a reminder that history can be more enthralling than even the most imaginative fiction. (Booklist, (Starred Review))

Dungeon, Fire and Sword is a good book for all who enjoy a well-written, well-researched story of stupidity, greed, barbarity, unspeakable cruelty, deception, fraud, treachery and sanctimony... John J. Robinson has written a fascinating history of an incredible time. (The Washington Times)

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0 of 0 people found the following review helpful.
interesting and fascinating reading!
By Jose Ledesma
When I opened the pages, I expected a highly accurate, but dry and boring narrative. Instead, it turned out to be fascinating, exquisitely detailed and very colorful. The characters sprang out of the pages and came to life, it seems that I got drawn in to the historical drama, which happened 800 years ago, but he wrote it like it only happened recently.

4 of 4 people found the following review helpful.
Fascinating
By Harley & Maggie
If you love history, this is one of those, "Couldn't put it down books." It is chock full of information. Although not in a true Novel form, Robinson does make the facts flow in a very good story fashion. I will be buying his other works.

1 of 2 people found the following review helpful.
One of the best history books I have ever read.
By A Customer
Fact is stranger than fiction. This incredible telling of the stories of the crusades and the Knights Templar will go down as one of the best history books I have ever read .
It's a great read cover to cover. An absoltuely fascinating account of not only the Knights Templar but of the crusades in general.

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Jumat, 27 November 2015

** Download Ebook A Caring Jurisprudence: Listening to Patients at the Supreme Court, by Susan M. Behuniak

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A Caring Jurisprudence: Listening to Patients at the Supreme Court, by Susan M. Behuniak

In deciding the abortion and physician assisted suicide cases, a majority of the Justices of the United States Supreme Court drew on medical knowledge to inform their opinions while dismissing the distinctively different knowledge offered by patients. Following the legal norms derived from the ethic of justice, the CourtOs deference toward the Ouniversal,O Oimpartial,O and OreasonedO knowledge of the medical profession and its disregard of the Oparticular,O Oinvolved,O and OemotionalO knowledge of patients seemed inevitable as well as justified. But was it? This book argues that it is both possible and proper to develop a jurisprudence capable of incorporating the knowledge of patients. Drawing on feminist scholarship, this book proposes a model for a Ocaring jurisprudenceO that integrates the ethic of justice and the ethic of care to ensure that patientsO knowledge is included in judicial decision making.

  • Published on: 1999-08-31
  • Released on: 2012-08-13
  • Format: Kindle eBook

Review
This careful, thoughtful, and moving account of the Supreme Court's privacy cases should be of great interest to scholars in all disciplines interested in the Court and of the ideals and practices that guide it. Behuniak's book is a plea to judges at all levels to listen empathically to patients' knowledge and to integrate that knowledge into a more caring jurisprudence. She convincingly traces the inhumane consequences, in our law and in our ideals for law, of their failure, to date, to do so. (West, Robin)

Professor Behuniak has written a provocative book, challenging the nature of knowledge that is admissible in courts of law. Drawing on the case law governing abortion and the right to assisted suicide, and spoken in a clearly feminist voice, the author makes an effective argument for law to accept, indeed to welcome, the knowledge of the patient as evidence in litigation. (Gayle Binion)

Behuniak’s argument is original and persuasive. Her book is an important contribution to the emerging tradition of care thinking in the area of jurisprudence. (Jaggar, Alison M.)

Professor Behuniak has produced a cleanly written, methodically argued, and profoundly original analysis that challenges orthodox understandings of jurisprudence. Her investigation of why legal decision making should be tempered with an ethic of care and the plumbing of the consequences of a 'caring jurisprudence' for two crucial legal issues of our time—abortion and assisted suicide—are both inspired and inspiring. Her intriguing analysis should prove instructive in thinking about constitutional rights for years to come. (James M. Hoefler)

Sue Behuniak thoughtfully applies the developing feminist ethic of care to suggest a new approach to two important public policies, abortion and physician assisted suicide. She argues that these issues can not only be left to lawyers and doctors, but must also reflect the real knowledge of the people involved. Her perspective brings a key set of feminist ideas to bear on important public policy issues. (Joan C. Tronto)

Justice and care are easy to divide; but how do we unite them into a holistic jurisprudence? This is the complex and difficult task that Susan Behuniak sets herself in A Caring Jurisprudence. The questions she poses and the answers she reaches will engage the interests of feminist and legal scholars alike. (Judith A. Baer)

scholarly and articulate challenges to the traditional American legal system . . . an important addition to feminist legal scholarship, which could effectively serve as a suplementary text in any law school classroom where modern constitutional theory or feminist jurisprudence is taught. Beyond that, the book provides a methodology to support and encourage judges in finding better ways to temper justice with compassion by inviting personal stories and voices into the judicial process. (Kim Harvey Golden Gate University Law Review)

Challenges the traditional notion that judicial decision making should be impartial, reasoned, and universally applied. . . . The model and the book are interesting and thought-provoking. (M.W. Bowers Choice)

This timely and informative book presents a clear argument for reconstructing a legal system that speaks to patient's lives. (Political Studies)

"Behuniak's model for change is a progressive one, complementing restorative justice movements in the criminal justice system and a shift toward integrative medicines in health care. In all these arenas there is a call for the honoring of diverse voices. Integration and expansion rather than replacement is the goal--both/and rather than either/or is the approach. A Caring Jurisprudence is a valuable contribution to this trend. (Alexandra Dundas Todd)

A Caring Jurisprudence is an exceptional study of how the medical, legal, and personal versions of cases are heard in the courts, and it demonstrates the predominance of medical and legal views over the personal views of patients in the judicial process...This book is not only methodologically sound but also is well written and has a practical application. Behuniak's model is adaptable to many other types of cases involving patients and medicine, and it is as applicable to cases that involve mental health issues as it is to those that involve physical health issues. A Caring Jurisprudence should be read not only by academics but also by practitioners, including judges and justices of the Court. (Donna R. Kemp American Political Science Review)

About the Author
Susan M. Behuniak is professor of political science at Le Moyne College.

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Selasa, 24 November 2015

? Ebook Free 101 Body-Sculpting Workouts & Nutrition Plans: For Women (101 Workouts), by The Editors of Muscle and Fitness Hers

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101 Body-Sculpting Workouts & Nutrition Plans: For Women (101 Workouts), by The Editors of Muscle and Fitness Hers

Removing guesswork from workout regimens, the programs in this guidebook are not only clearly explained and easy-to-follow, they are proven to be effective at burning more calories and body fat to achieve a firm, healthy, strong body. Designed specifically for women, this resource introduces to many different styles of working out—from barbells and dumbbells to machines and elastic bands—to maximize the effectiveness of each workout and to ensure there is never any boredom with the routines. Also included are complete meal plans, designed by some of the countries best nutritionists, which feature a collection of recipes that are both healthy and delicious.

  • Sales Rank: #156433 in eBooks
  • Published on: 2011-01-01
  • Released on: 2013-02-01
  • Format: Kindle eBook

About the Author

Muscle & Fitness Hers is bodybuilding magazine that offers professional exercise and nutritional tips for women.

Most helpful customer reviews

30 of 32 people found the following review helpful.
Careful about the book title
By Sultanah N
I bought this book thinking that it will tell me in detail about each workout and how to do the exercises. But the book just list all workouts - like in the title. Most of the exercises are not detailed. When I was working out, I had to check another book to see about the exercise movement and then do the workouts from this book. A bit cumbersome!

This book should be used together with "The Women's Health Big Book of exercises".

8 of 9 people found the following review helpful.
Great plans but not for newbies
By TJ
This book is really great in that it has a bunch of strength training workouts already planned out. It even has a plan for those who like to work the whole body at a time, or for those that like to split up the parts (upper body one day, lower body another day).

There are a variety of workouts like the 300, working with bands, etc.

The only downside is that it doesn't have pictures of what these exercises are? What's a lat pulldown? I know after having looked it up online, but I don't bring my laptop to the gym with me.

Bottom line, it's great for women familiar with the exercises and want a variety of ideas and specific plans. I think one could use this book for a long time.

Just need to find a cheat sheet with exercise images.

10 of 13 people found the following review helpful.
Detailed Workout Plans
By Tina
This book has specific workouts you can take right to the gym. Each chapter explains the philosphy behind how the workout. It is great for getting new weight routine ideas. It is not for Beginners in terms of not all of the weight moves have descripitions of how to properly execute each move. Someone who is already lifting or can look up the moves elsewhere might not need this.

See all 34 customer reviews...

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Rabu, 18 November 2015

## Download Discrete Time Series, Processes, and Applications in Finance (Springer Finance), by Gilles Zumbach

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Discrete Time Series, Processes, and Applications in Finance (Springer Finance), by Gilles Zumbach

Most financial and investment decisions are based on considerations of possible future changes and require forecasts on the evolution of the financial world. Time series and processes are the natural tools for describing the dynamic behavior of financial data, leading to the required forecasts. This book presents a survey of the empirical properties of financial time series, their descriptions by means of mathematical processes, and some implications for important financial applications used in many areas like risk evaluation, option pricing or portfolio construction. The statistical tools used to extract information from raw data are introduced. Extensive multiscale empirical statistics provide a solid benchmark of stylized facts (heteroskedasticity, long memory, fat-tails, leverage…), in order to assess various mathematical structures that can capture the observed regularities. The author introduces a broad range of processes and evaluates them systematically against the benchmark, summarizing the successes and limitations of these models from an empirical point of view. The outcome is that only multiscale ARCH processes with long memory, discrete multiplicative structures and non-normal innovations are able to capture correctly the empirical properties. In particular, only a discrete time series framework allows to capture all the stylized facts in a process, whereas the stochastic calculus used in the continuum limit is too constraining. The present volume offers various applications and extensions for this class of processes including high-frequency volatility estimators, market risk evaluation, covariance estimation and multivariate extensions of the processes. The book discusses many practical implications and is addressed to practitioners and quants in the financial industry, as well as to academics, including graduate (Master or PhD level) students. The prerequisites are basic statistics and some elementary financial mathematics.

  • Sales Rank: #3011056 in eBooks
  • Published on: 2012-10-04
  • Released on: 2012-10-04
  • Format: Kindle eBook

Review

“The layout of the book is well done and very easy to read. From my experience, there are not many books of a similar approach; I believe it is quite unique in its nature. … it provides an incredible amount of information that researchers interested in both mathematical and applied finance will find it a useful resource to learn basic asset behavior. The level is right for all researchers in the area with a master’s degree in statistics.” (Stergios B. Fotopoulos, Technometrics, Vol. 58 (3), August, 2016)

“The book aims to synthesize the present status of the field, but it also represents a subjective snapshot of the current situation, as viewed by the author. It is written in a very concise and elegant way, explaining the notation used as it is required. … This book is definitely recommended to anyone (practitioners, quants, academics or graduate students) interested in attaining a deeper understanding of the dynamics of prices, as well as the corresponding stylized facts … .” (Omar Rojas, MAA Reviews, January, 2013)

From the Back Cover

Most financial and investment decisions are based on considerations of possible future changes and require forecasts on the evolution of the financial world. Time series and processes are the natural tools for describing the dynamic behavior of financial data, leading to the required forecasts.

This book presents a survey of the empirical properties of financial time series, their descriptions by means of mathematical processes, and some implications for important financial applications used in many areas like risk evaluation, option pricing or portfolio construction. The statistical tools used to extract information from raw data are introduced. Extensive multiscale empirical statistics provide a solid benchmark of stylized facts (heteroskedasticity, long memory, fat-tails, leverage…), in order to assess various mathematical structures that can capture the observed regularities. The author introduces a broad range of processes and evaluates them systematically against the benchmark, summarizing the successes and limitations of these models from an empirical point of view. The outcome is that only multiscale ARCH processes with long memory, discrete multiplicative structures and non-normal innovations are able to capture correctly the empirical properties. In particular, only a discrete time series framework allows to capture all the stylized facts in a process, whereas the stochastic calculus used in the continuum limit is too constraining. The present volume offers various applications and extensions for this class of processes including high-frequency volatility estimators, market risk evaluation, covariance estimation and multivariate extensions of the processes. The book discusses many practical implications and is addressed to practitioners and quants in the financial industry, as well as to academics, including graduate (Master or PhD level) students. The prerequisites are basic statistics and some elementary financial mathematics.

Gilles Zumbach has worked for several institutions, including banks, hedge funds and service providers and continues to be engaged in research on many topics in finance. His primary areas of interest are volatility, ARCH processes and financial applications.

About the Author

Gilles Zumbach has worked for several institutions, including banks, hedge funds and service providers, while continuing to engage in research on many topics in finance, including tick-by-tick time series, market risk evaluations and option pricing, as well as long-term forecasts, bond portfolio construction, and real-time optimization of market orders. His primary areas of interest are volatility, ARCH processes and financial applications.

 

Most helpful customer reviews

3 of 3 people found the following review helpful.
Dark horse
By Dimitri Shvorob
I consider myself a fairly moderate grammar Nazi, and when I see a book littered with typos and grammar errors, I do accuse the author and the publisher of being disrespectful to the reader, and do (rhetorically) ask myself if an author and a publisher who did not bother to hire a proof-reader would bother to involve an editor or a peer reviewer - but do not automatically black-ball the book, and try to keep an open mind.

In this case, it will be appropriate to note that out of the 171 references in the book's bibliography, 25 have been written or co-written by the author (and are split about equally between SSRN links and publications in the (esteemed) Quantitative Finance journal); this helps quantify the author's relative disinterest in the work of others, and a certain eclecticism in the book's composition. The book's central theme isn't discreteness - I have no idea why Springer went with "Discrete time series, processes and applications in finance" - but subjecting a small set of univariate volatility models (several GARCH flavors, and a couple of token SV models) to a diagnostic check based primarily on (required lack of) time reversibility.

Personally, I do not find the exercise convincing - for starters, the author's empirical stylized facts come from a handful of FX series, and the model-implied counterparts are obtained with god-knows-how-selected parameter values, with both statistical and "model-based" robustness never discussed - and do not recommend the book as a reference on volatility models. (Regime-switching models get 1 page (!) of text, and the broader SV approach is not treated much fairer).

1 of 1 people found the following review helpful.
On Discrete Time Series and the construction of financial models
By Omar G. Rojas Altamirano
The main focus of the book Discrete Time Series, Processes and Applications in Finance, as Gilles Zumbach, the author states in the introduction, is the construction of mathematical processes describing financial time series. The construction of such processes relies, first of all, on describing some of the statistical empirical stylized facts exhibited by the financial time series, whereas of returns or volatilities. For this purpose, the most relevant graphs are summarized in the mug shots, which constitutes a collection of graphs that summarize the most important stylized facts of a given time series. Such a name comes from the mug shot, which, in police slang, is the pair of pictures of someone face, one front, and one profile. After presenting such facts in full color graphs, which are also available to the interested reader at the companion website [...], the author gets into constructing mathematical processes that can reproduce some, possibly all, stylized facts.

The construction of processes in finance is similar to the description of the laws of nature by mathematical formulas as pursued in physics. Such is the approach of the book. To construct the mathematical processes describing financial time series, since several chapters of the book are devoted to collecting empirical statistics, trying to extract the leading empirical facts while not using any models or processes. The focus point then is on the mathematical structure, as the parameters in a model can be modified to accommodate quantitatively one or another particular time series.

The description of financial time series by various models followed an explosive growth in the last two or three decades. The book aims to synthesize the present status of the field, but it also represents a subjective snapshot of the current situation, as viewed by the author.

The book is divided in 20 chapters of different lengths and subjects of interest. A brief review of each chapter is as follows:
Chapter 1. Introduction. In here, the author states the main focus of the book, the approach taken, the time scale used, and explains the mathematical and statistical point of view used in the construction of the processes describing financial time series.
Chapter 2. Notation, Naming, and General Definitions. It fixes the notation and gives some general definitions of returns, volatility, time series and operators of time series. A distinction between time and time intervals is made, fixing convenient notations for both of them. The problem of deseasonalizing empirical high-frequency data is also address. For a given time interval [δt], and at a specific moment it time, t, the return time series is denoted by r[δt](t). This notation, though more cumbersome than the usual r(t), becomes handy once one starts changing the time intervals in order to observe different stylized facts of financial time series.
Chapter 3. Stylized Facts. The general statistical properties that are expected to be present in the returns or asset prices of financial time series, regardless of the instruments, markets or time periods, are called stylized facts. Although there is not a general consensus about the complete list (if any) of those facts, the ones that appear most often are related to the probability density function (pdf) and the autocorrelation function (acf). The goal of such facts, extracted from empirical data, is to have enough information in order to build processes that describe accurately financial time series. Color graphs of great detail and quality are much appreciated from the reader.
Chapter 4. Empirical mug shots. In order to summarize the key findings (empirical facts) in one page that characterizes best empirical time series and processes used to model them, a mug shot is introduced. According to a footnote, a mug shot, in police slang, is the pair of pictures of someone face, one front, one profile. These empirical mug shots consist of eight pictures that characterize the heteroscedasticity, the convergence toward a Gaussian distribution, the volatility clustering, the dependency structure between time horizons, the asymmetry with respect to time reversal invariance and the dynamics of the volatility evolution. All these graphs, using foreign exchange data of some main currencies, can be obtained from the website [...]. Even if the reader appreciates the graphs, some computer code in Matlab or R would be of better use. However, as the author kindly replied to me by email when asked about it, the mug shots where created with a large C++ program and then, using scripts, the plots where created using the commercial software Tecplot.
Chapter 5. Process Overview. Having presented some stylized facts, this chapter serves as an introduction to the next goal of the book: to construct mathematical processes that can reproduce some, possibly all, stylized facts. The reasons to use discrete forms over continuous, are presented here. Amongst them, it is argued that the empirical data are known with a finite time increment. On the other hand, the problem of the continuum limit is discussed, as is the discrete nature of Monte Carlo simulations.
Chapter 6. Logarithmic Versus Relative Random Walks. Given that a random walk can be discretized in two forms, logarithmic and geometric, in this chapter a comparison between their similarities and differences is presented. Three definitions of the returns are also given (difference, logarithmic and relative). It is clearly stated that the logarithmic return definition, the most widely used in finance, is better due to its analytical tractability. Two important statements are made in this chapter: that the simplest random walk with constant volatility and Gaussian innovations is nowadays not accurate enough to be satisfactory, using computer power and financial data to describe empirical time series in a better way; secondly, the shift from analytical to simulation tools in financial time series.
Chapter 7. ARCH Processes. The core idea of the ARCH (Auto Regressive Conditional Heteroscedastic) process is to have an effective volatility depending on the recent returns. They where introduced by Robert Engle in 1982, obtaining the Nobel Memorial Prize in Economical Sciences in 2003, "for methods of analyzing economic time series with time-varying volatility (ARCH)". The underlying intuition behind such models is that large moves in the market trigger other market participants to trade, hence creating subsequent volatility. In this chapter, ARCH models and some generalizations, like GARCH, EGARCH, FIGARCH and GARTCH, are discussed.
Chapter 8. Stochastic Volatility Processes. Some processes are introduced, like the Exponential and the Heston Stochastic Volatility Processes, along with their corresponding mug shots. The basic idea for such processes is that the volatility is a genuine independent process.
Chapter 9. Regime-Switching Process. The shortest chapter of the book. The idea behind a regime-switching model is that the market can take a few states, like periods of high and low volatility. The mug shot of a three-state regime-switching process, with Student innovations and dynamics specified by a Markov chain with given transition probabilities is presented. The author concludes that the process is not a good candidate as a model for the empirical price time series, since the properties of the process are quite far from the ones of the empirical time series. However, I believe more research should be done before discrediting such processes and, if a chapter is devoted to such subject, Threshold Auto-Regressive models were in place, which have proved very fruitful in modeling non-linear financial time series of returns and volatility.
Chapter 10. Price and Volatility Using High-Frequency Data. This chapter discusses two basic models for the description at very short time of the prices. Both of these models are based on the distinction between the observed price and a hypothetical true underlying price.
Chapter 11. Time-Reversal Asymmetry. The focus of this chapter is to study various statistics related to the volatility, for time horizons ranging from 3 minutes to 3 months, in order to study the possibility of time-reversal invariance (TRI) in financial time series. The author emphasizes the systematic study of the TRI in finance and shows how the empirical time series are not TRI.
Chapter 12. Characterizing Heteroscedasticity. The goal of the chapter is to find a simple stylized description of the volatility lagged correlation that gives a good description of its shape for a broad set of time series, for lags ranging from a few days to a few days. This is achieved by performing some Monte Carlo simulations. Some very interesting conclusions with regards to the characterization of lagged correlation decay are stated and are worth a second thought from the reader.
Chapter 13. The Innovation Distributions. Another short chapter. It delves into the probability distribution for large price changes, or the tail-behavior of the prices. Such tail-behavior is widely accepted as fat-tailed. Some graphs are shown, comparing the cumulative probability function with a Student of 3 and 5 degrees of freedom, and with the standard normal distribution. I do not consider this a chapter by itself but part of the Stylized Facts chapter.
Chapter 14. Leverage Effect. The stylized fact that designates the negative correlation between historical return and realized volatility, the "leverage effect", is studied in this chapter. After performing a multiscale analysis of the leverage effect in stock time series using Monte Carlo simulations on daily close prices for the stocks of three indexes (SPI, DJ EuroStoxx, S&P 500), it is shown that the leverage effect is quantitatively important for stock and stock indexes.
Chapter 15. Processes and Market Risk Evaluation. A risk methodology is essentially an algorithm to compute the desired probability distribution forecasts, while backtesting measures the performances of the forecasts on historical data. Given the forecasted probability distribution for the returns, the computation of the actual risk measures, like Value at Risk (VaR) and Expected Shortfall (ES), is straightforward. Thus, the chapter focuses on describing the risk methodologies, and presents an example using DJIA data. It also discusses how to measure accurately shocks.
Chapter 16. Option Pricing. One of the more mathematical chapters of the book, since it presents the construction of an equivalent martingale measure in order to price a derivative. Nice computations that shown, for those that like to see the insides of the formulas, as well as Taylor expansions used to price European options.
Chapter 17. The Empirical Properties of Large Covariance Matrices. The purpose of this chapter is to extend the univariate variance to the multivariate covariance, using the stylized fact of the dynamics of the volatility, which exhibits a similar decay for the lagged correlations of all empirical time series. Of course some difficulties are raised by the multivariate extension, and they are properly stated in the introduction. An International Capital Market dataset, consisting of 340 time series that covers major asset classes and world geographical areas is used in order to study the dynamics of the covariance and correlation spectrum, as well as the spectral density of the correlation matrix.
Chapter 18. Multivariate ARCH Processes. This chapter shows how to extend the univariate ARCH processes to the multivariate setting. The natural multivariate extension is to replace the variance by the covariance matrix and some other mathematical changes. The author emphasizes that large multivariate systems are still an area of active research, where significant progresses can be expected in the forthcoming years. These kinds of comments are always well appreciated by the researcher-reader, since they point into areas of interest worth pursuing.
Chapter 19. The Processes Compatible with the Stylized Facts. This chapter presents a summary of the models or processes that are compatible with the data or which can be falsified (to reject them as descriptions of financial time series). For example, Student innovations are compatible, whereas Normal innovations are falsified, since innovations should have a fat-tailed distribution, regardless of the model for the volatility.
Chapter 20. Further Thoughts. The final chapter of the book rummages on some topics like Multi-time horizon analysis, Slow decay for the lagged correlation, Definition of volatility, the Importance of heteroscedasticity, Fat-tailed distributions, Convergence towards a Gaussian distribution, Temporal aggregation and Mean reversion and Ornstein-Uhlenbeck processes. This chapter opens the door to some questions, from the research point of view, as from the philosophical one.

This book is definitely recommended to anyone (practitioners, quants, academics or graduate students) interested in attaining a deeper understanding of the dynamics of the prices, as well as the corresponding stylized facts, which are central to many applications like portfolio optimizations, risk evaluations, or the valuation of contingent claims.

About the reviewer:

Omar Rojas (orojas@up.edu.mx) is a mathematician turned into finance, working as a research professor at the School of Business and Economy at Panamerican University, Guadalajara, Mexico. His areas of interest are Mathematical Finance, Operations Research and Applied Dynamical Systems.

0 of 0 people found the following review helpful.
one star for effort
By QFin
I don't know where to start: the lack of clarity, the million typos, the bias towards the author's own work, I was not able to find a single good aspect about this book. I barely understood that the book is about time series just because I knew a thing or two about them. If you, whether practitioner or academic, would like to study time series in finance, this exposition is guaranteed to confuse you. What a waste

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  • Sales Rank: #2016369 in eBooks
  • Published on: 2010-01-01
  • Released on: 2010-01-01
  • Format: Kindle eBook

About the Author
Guido STEIN Es profesor en el IESE en el departamento de Recursos Humanos en empresas. Además es CEO de la editorial EUNSA, es consultor y colabora en publicaciones como Expansión, Harvard Deusto Business Review, ISTMO, AEDIPE Magazine, etc.

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0 of 0 people found the following review helpful.
Five Stars
By ingevs
Muy buen Libro, lo recibí a tiempo y en forma, Tank very much

0 of 1 people found the following review helpful.
Carlos Aravena
By Carlos Vicente Aravena Espinoza
Un libro aburrido que no tiene una línea conductora, esta basado en muchos estudios que no permiten tener ideas claras.

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