Minggu, 27 Juni 2010

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Zen Imagery Exercises: Meridian Exercises for Wholesome Living, by Shizuto Masunaga

From the back cover. "In addition to being filled with 166 photographs and 83 illustrations, this book gives an in-depth explanation of meridians and other important concepts in Oriental Medicine. The theoretical aspect is balanced with practical information on how to apply this knowledge in daily life. A variety of exercises are offered with instructions for making a program tailored to one's personal needs. The way to identify and correct individual imbalances is discussed in simple language, and easy shiatsu maneuvers are also included. Aside from this, specific recommendations for exercises most beneficial for various physical problems are provided. Zen Imagery Exercises represents the amalgamation of the immortal work of Mr. Masunaga."

  • Sales Rank: #1151111 in Books
  • Published on: 1987-07
  • Ingredients: Example Ingredients
  • Original language: English
  • Number of items: 1
  • Binding: Paperback
  • 238 pages

Most helpful customer reviews

1 of 1 people found the following review helpful.
A great book out of print
By Marcos "Ronin"
I have had plantar fascitis for over a year now. I have treated my feet with physiotherapist, applied ice in the area, stretched as indicated by doctors and although the pain has decreased the symptoms remain. I have started practicing these exercises daily and combined it with weekly shiatsu therapy. This combination has receded the pain and corrected the structure of my body posture. I feel better and more relaxed. This book explains in great detail and with an easy to follow methodology the many exercises that strengthen the meridians. The first section of the book on medicine and healing makes the book worth purchasing. The exercises that follow are neatly explained supported by many photographs that make it fun to practice.

3 of 3 people found the following review helpful.
Absolutely Fantastic
By Amazon Customer
If I were stuck on a deserted island, I would take this book...
Zen Imagery breathing helps me cure my stage fright-
Difficult or heavy reading (not hard to understand at all but) at times but so worth it if you stick through.

0 of 1 people found the following review helpful.
A Special Book for a Special Person
By Regina Crespi
This book was for a very special I friend who loaned the book to someone and it was never returned! I decided to replace it with your book. It was a "just because".surprise gift. He was overwhelmed when he received it & said your book was 99% better than the one he had!! Thanks so very much ~ Bless You

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Kamis, 24 Juni 2010

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  • Original language: French
  • Dimensions: 7.28" h x .71" w x 4.72" l,
  • Binding: Paperback

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Sabtu, 19 Juni 2010

[Z666.Ebook] Ebook Free Perch� mentiamo con gli occhi e ci vergognamo con i piedi?From BUR Biblioteca Univ. Rizzoli

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Perch� mentiamo con gli occhi e ci vergognamo con i piedi?From BUR Biblioteca Univ. Rizzoli

  • Sales Rank: #6568052 in Books
  • Original language: Italian
  • Dimensions: 7.87" h x .94" w x 5.16" l,
  • Binding: Paperback

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0 of 0 people found the following review helpful.
Really interesting.
By franco vulcano
Because you never know enough about yourself and because it is important also for yourself to understand people around you.

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Selasa, 15 Juni 2010

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Make Me, by Parker Blue

Val Shapiro has a secret she's desperate to keep - she's lost her slayer powers.

As the new guardian of the Encyclopedia Magicka, Val expected the books to give her powers to replace those that disappeared after she lost her "V card" to Shade. But the encyclopedia exacts a price for every spell, making the job of guardian a tricky proposition.

When a rogue demon kidnaps Val's roommate, Gwen, and Micah, leader of the San Antonio Demon Underground, Val is plunged into the middle of a Solomon's Choice. The rogue wants the dangerously potent Encyclopedia Magicka in exchange for her friends' lives; the succubus leader of the Demon Underground in Austin is demanding the books be destroyed rather than let them fall into the wrong hands and wants Shade for herself, swearing to do everything she can to prevent Val's turning over the books.

The kidnapping isn't the only crisis Val faces. She's been betrayed by Fang. Demons and vampires are disappearing. The vamps of the New Blood Movement are forcing Val to keep the terms of her agreement to work for them to combat this new threat. The Demon Underground is challenging Micah's leadership, and everyone is depending on a now-powerless Val to set things right.

Val needs all the help she can get. Even if it means forgiving Fang and spending time with a dangerously sexy cowboy-vampire.

  • Sales Rank: #115239 in Audible
  • Published on: 2012-07-23
  • Format: Unabridged
  • Original language: English
  • Running time: 448 minutes

Most helpful customer reviews

11 of 12 people found the following review helpful.
Love/Hate Relationship!
By Hooked Me
As an English teacher I am always looking for lit that will interest my students outside of class. In that process...I myself got hooked on your Val Shapiro series. I ate up the first three when I discovered them months ago. Then...I waited and waited and waited for Make Me to come out. I read it in one sitting! Well, I gotta say I hated it so much that I loved it--let me explain. SPOILER ALERT!! I hated that Val was left with absolutely NO personal life at the end of the book...I hated that there was NO physical contact (excluding the hot kiss with Austin)...I hated that Shade changed so drastically...I hated that Micah and Gwen didn't progress into anything more than friendship. Yep--I loved it all! Left me begging...needing more from the next book. CAN'T wait for the next one---and am hoping Val will get more from her life!

3 of 3 people found the following review helpful.
Book 4 in an exciting "New Adult" urban fantasy series with a "kick-ass" heroine
By Kate McMurry
In this fourth book in the Demon Underground, New Adult, urban fantasy series, "kick-ass" heroine, 18-year-old Val Shapiro, is hiding a dangerous secret. After losing her virginity to her handsome, demon boyfriend, Shade, her slayer powers vanished. She had hoped that as the latest guardian of the Encyclopedia Magicka, these enormously powerful books would offer her new magical abilities to replace those she'd surrendered for love, but so far, that has not happened. These books take away more than they give, because there is a price to pay for using any spell they offer.

While Val is still floundering without any magical resources to protect herself or anyone else, her roommate Gwen and her mentor Micah, the incubus leader of the San Antonio Demon Underground, are kidnapped by a rogue demon, who commands Val to surrender the Encyclopedia Magicka to him as the price for her friends' lives. As Val contemplates the nightmare such an exchange would produce, the gorgeous, succubus leader of the Austin Demon Underground arrives, insisting that the deadly books be destroyed to prevent their falling into the wrong hands. She also employs her succubus powers to bind Shade to her, and a devastated Val can do nothing to prevent it.

Meanwhile, demons and vampires begin disappearing in San Antonio, and Val is torn between the needs of the vampire and demon communities. The vampires of the New Blood Movement demand that Val uphold her oath to work for them as they search for the perpetrator of these threats, but there is dangerous turmoil in the Demon Underground without Micah in charge. As if all that weren't enough, Val's best friend and sidekick, Fang the talking hellhound, chooses this moment to unaccountably betray her.

Val, as always, is a valiant, determined, very active protagonist, and she has plenty of exciting, scary problems to deal with in this latest action-filled installment of the Demon Underground series. Val inhabits a compelling, magical world, and I thoroughly enjoy reading about that world and experiencing the many intriguing subcharacters inhabiting it.

Poor Val can't ever seem to catch a break in the romance department, but since this is not a series that focuses a great deal of attention on romance as an end in and of itself, I won't downgrade my score for this novel for not delivering a strong paranormal-romance subplot. Instead, I am giving it a high score for a great deal of success in its main focus: relentless warrior, Val, giving her all to the goal of defeating scary villains against impossible odds.

Disclosure: I received a review copy of this book through Net Galley.

I rate this book as follows:

Heroine: 5 stars
Fantasy World-Building: 5 stars
Writing: 5 stars
Action-Adventure/Thriller Plot: 4 stars
Overall: 5 stars

7 of 8 people found the following review helpful.
Setting the (next) Stage
By Cedar Creek Reader
If the action in the first three Val Shapiro books was modeled like the Seaside Park roller-coaster, slow, anxious climb up to the top, followed by a screaming, rollicking plummet to the bottom, then Make Me is like the the Seaside Park Carousel, goes around pleasantly in a circle, nice ride, moderate risk, moderate reward. The author seems to be transitioning from plots which were a constant surprise as Val discovered something brand new about herself, her abilities, and her place in the world, to plots in which she will have a permanent place as the Paladin (Sergeant at Arms) for the Demon Underground. By the end of the ride, she has toppled Dina, the errant, Austin, TX, Underground leader, helped knock off Amodeus, another super dangerous mage-demon and managed to secure Micah's place as the Underground leader back home in San Antonio as well as hold onto her day job as Keeper of the Encyclopedia.

So, not as exciting as the first three books and probably not the best of the four to be the first one you read, but still a very likable heroine who now can go on to perhaps less frantic, but more mature roles. I think Val is a character well worth waiting for in future books.

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Jumat, 11 Juni 2010

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Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab, by Jon Danielsson

Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk. Derived from the authors teaching notes and years spent training practitioners in risk management techniques, it brings together the three key disciplines of finance, statistics and modeling (programming), to provide a thorough grounding in risk management techniques.

Written by renowned risk expert Jon Danielsson, the book begins with an introduction to financial markets and market prices, volatility clusters, fat tails and nonlinear dependence. It then goes on to present volatility forecasting with both univatiate and multivatiate methods, discussing the various methods used by industry, with a special focus on the GARCH family of models. The evaluation of the quality of forecasts is discussed in detail. Next, the main concepts in risk and models to forecast risk are discussed, especially volatility, value-at-risk and expected shortfall. The focus is both on risk in basic assets such as stocks and foreign exchange, but also calculations of risk in bonds and options, with analytical methods such as delta-normal VaR and duration-normal VaR and Monte Carlo simulation. The book then moves on to the evaluation of risk models with methods like backtesting, followed by a discussion on stress testing. The book concludes by focussing on the forecasting of risk in very large and uncommon events with extreme value theory and considering the underlying assumptions behind almost every risk model in practical use – that risk is exogenous – and what happens when those assumptions are violated.

Every method presented brings together theoretical discussion and derivation of key equations and a discussion of issues in practical implementation. Each method is implemented in both MATLAB and R, two of the most commonly used mathematical programming languages for risk forecasting with which the reader can implement the models illustrated in the book.

The book includes four appendices. The first introduces basic concepts in statistics and financial time series referred to throughout the book. The second and third introduce R and MATLAB, providing a discussion of the basic implementation of the software packages. And the final looks at the concept of maximum likelihood, especially issues in implementation and testing.

The book is accompanied by a website - www.financialriskforecasting.com – which features downloadable code as used in the book.

  • Sales Rank: #1254558 in Books
  • Published on: 2011-04-25
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.90" h x .80" w x 6.90" l, 1.44 pounds
  • Binding: Hardcover
  • 294 pages

From the Inside Flap
"More than ever risk managers in financial institutions have to assess the risk of financial products and portfolios in a rigorous way. With his new book, Professor Danielsson has risen to the task and produced a great book that combines his expertise with years of teaching market risk at LSE and other major universities. With perfect timing, this book achieves two objectives the academic and scientific community had to face: on the one hand it addresses the latest analytical techniques in the exact computation of risk measures, their use and their limitations, and on the other hand it considers the issue of risk pricing during a crisis. A real accomplishment and a must read for both risk professionals and students in the quantitative finance track."
Xavier Freixas, Universitat Pompeu Fabra

"I believe that this book covers the spectrum of quantitative techniques that any student of risk management should cover. The book moves gradually from traditional risk measures to downside risk measures and their application in stress testing. Advanced estimation of volatility models and use of extreme value theory are not eschewed and are the way to go for scenario analysis. A great added value of the book is the programs for all routines both in R and MATLAB�. The book ventures into the barren area of endogeneity of risk drivers. If I have to make a prediction, I would venture that this will keep scientists and markets busy for years to come. In short, a highly recommended book for any student of modern risk management techniques and their uses."
Professor Casper de Vries, Chair of Monetary Economics, Departments of Economics and Business, School of Economics, Erasmus University Rotterdam

"This is an outstanding book on empirical finance. I wholeheartedly recommend it."
Professor Oliver B. Linton, Professor of Econometrics, London School of Economics

"Financial Risk Forecasting is a tour de force. It is one of those rare works which successfully combine accessibility with academic rigour; it is copiously and most informatively illustrated. The addition of computer code, in commonly-used programming languages, for the implementation of concepts and techniques demonstrates a profound understanding of practical issues. With risk-based regulation now dominating the financial landscape post-crisis, this book is a timely and authoritative resource for both students and practising financial analysts, of whatever stripe. It will join that select group of works on my bookshelf that have become dog-eared from repeated use over the years."
Con Keating, Market Structure Commission, European Federation of Financial Analysts' Societies

From the Back Cover
Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk. Derived from the author's teaching notes and years spent training practitioners in risk management techniques, it brings together the three key disciplines of finance, statistics and modeling (programming), to provide a thorough grounding in risk management techniques.

Written by renowned risk expert J�n Dan�elsson, the book begins with an introduction to financial markets and market prices, volatility clusters, fat tails and nonlinear dependence. It then goes on to present volatility forecasting with both univatiate and multivatiate methods, discussing the various methods used by industry, with a special focus on the GARCH family of models. The evaluation of the quality of forecasts is discussed in detail. Next, the main concepts in risk and models to forecast risk are discussed, especially volatility, value-at-risk and expected shortfall. The focus is both on risk in basic assets such as stocks and foreign exchange, but also calculations of risk in bonds and options, with analytical methods such as delta-normal VaR and duration-normal VaR and Monte Carlo simulation. The book then moves on to the evaluation of risk models with methods like backtesting, followed by a discussion on stress testing. The book concludes by focusing on the forecasting of risk in very large and uncommon events with extreme value theory and considering the underlying assumptions behind almost every risk model in practical use - that risk is exogenous - and what happens when those assumptions are violated.

Every method presented brings together theoretical discussion and derivation of key equations and a discussion of issues in practical implementation. Each method is implemented in both MATLAB� and R, two of the most commonly used mathematical programming languages for risk forecasting with which the reader can implement the models illustrated in the book.

The book includes four appendices. The first introduces basic concepts in statistics and financial time series referred to throughout the book. The second and third introduce R and MATLAB�, providing a discussion of the basic implementation of the software packages. And the final looks at the concept of maximum likelihood, especially issues in implementation and testing.

The book is accompanied by a website - www.financialriskforecasting.com - which features downloadable code as used in the book.

About the Author
J�n Dan�elsson has a PhD in the economics of financial markets and is a reader in finance at the London School of Economics. His research interests include financial stability, extreme market movements, risk, market liquidity and financial crisis. He has published extensively in both academic and practitioner journals, has consulted with a variety of private sector and public institutions, frequently gives executive education courses and has presented his work in a number of universities and institutions. In addition, he has been a frequent commentator of issues in financial markets in the media, appearing on CNN, the BBC, and many other TV and radio stations, with comments and op-ed pieces in newspapers like the Financial Times.

Most helpful customer reviews

6 of 7 people found the following review helpful.
A very good textbook for teaching the practice of forecasting financial risk in R
By Kris Boudt
R has always been my favorite language to forecast financial risk in my research and consulting. But, I have been reluctant to use it in my lectures on financial risk. It is certainly not the absence of appropriate R packages that refrained me. On the contrary, there is a large number of excellent R packages to forecast financial risk, for example, actuar, fPortfolio, QRMlib, VaR and PerformanceAnalytics, reviewed by Bernhard Pfaff at the 2010 R/Finance conference.

However, teaching the practice of forecasting financial risk in R, is more than showing the students how to read data in R and obtain "a number" by applying the function to their time series. It requires students to understand the statistical properties of financial time series, build models that accommodate the statistical features of the data, test the validity of their risk model and interpret the risk forecasts.

The book "Financial Risk Forecasting" by Jon Danielsson will be a very useful reference manual for my course. Let me illustrate this for the learning objective of calculating portfolio expected shortfall using dynamic conditional covariance estimates. Appendix B gives a hands-on introduction to inputting time series in R, work with vectors and matrices, and apply and write functions in R. There is even some attention given to efficient programming by avoiding loops when possible. Chapter 1 presents the statistical techniques used for analyzing prices and returns in financial markets, in particular the tools needed to illustrate the stylized facts of skewness, fat-tails, time-varying volatility and non-linear dependence between multiple return series. Once the properties of the time series have been understood, the models that accommodate the features of the data are introduced. Chapters 2 and 3 give a detailed overview on the specification and applications of univariate (normal and student t GARCH, APARCH) and multivariate GARCH models (in particular, the DCC model) and how to implement these in R. Chapter 4 then derives the formulas of Value-at-Risk and Expected Shortfall, for single assets and portfolios. Chapter 8 shows clearly how to backtest risk models using among others Bernouilli coverage tests.

There are many more interesting topics in the books. Chapters 6-7 focus on the estimation of risk of investing in bonds and options, with analytical methods such as delta-normal VaR and duration-normal VaR but also by simulation. Chapter 8 describes the implementation of stress tests. Some of the stress scenarios correspond to very large and uncommon events, requiring extreme value theory (EVT), which is discussed in Chapter 9. The book concludes with a warning that most risk models assume that financial risk is exogenous, but most financial crises have endogenous risk at their heart, where the behavior of financial agents amplifies the risk. Chapter 10 gives an intuitive explanation of endogenous risk and describes endogenous risk models. Finally, the book is supported by a clearly organized website ([...]) that allows discussions and code downloads.

I find the book pleasant to read. It presents theoretical material in an intuitive way, while still deriving key equations and discussing the issues in practical implementation with many illustrations, both in the form of numerical examples and figures.

In summary, "Forecasting Financial Risk" strikes an excellent balance between the theory and practice of financial risk forecasting. It combines the programming, financial and statistical aspects of forecasting financial risk in an accessible way. As the book moves gradually from financial time series analysis to modeling and forecasting risk in R, I would recommend it for teaching a computational finance oriented class on risk management. Also for experienced risk professionals, the book should be useful, as it covers the latest advances in forecasting risk.

4 of 4 people found the following review helpful.
Financial Risk Forecasting: The Theory and Practice of Forecasting Market...
By Pauly
The book is ok but each theme is treated with superficiality. With a title like that, you expect a certain type of content. The number of pages (250) are too few in order to treat properly this kind of topics. Moreover, even if the author provide an errata corrige the number of errors are embarrassing. Note also that the codes of chapter 3 "multivariate volatility models" doesn't work anymore probably due to MATLAB update.
I recommend this product only for an introduction.

7 of 9 people found the following review helpful.
Fall Short on Coding
By C. Ang
There is nothing new in the topics discussed in this book and you can get a fuller and better treatment of those topics in many other textbooks. The promise of this book is that it would provide code for implementing various models. Don't get me wrong, it does give R and MATLAB code for a decent amount of the material. However, these are mostly the basic models, such as GARCH(1,1), VaR, and Expected Shortfall.

However, where this book falls short is in providing code for more complex models (and these don't even have to be the real advanced models), in which any discussion related to programming is absent. For example, the book has a brief section on copulas with no code or any reference to programming issues or tips. If I wanted to read about copulas I would have chosen a different book, because the brief discussion of the subject matter doesn't cover the important points. What I wanted to see is R and MATLAB code or, at the very least, some programming discussion on the implementation of the code. For example, are there R or MATLAB packages, what assumptions are commonly used for hard to estimate variables, etc.

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