Posted by **ChrisRedfield** at Jan. 5, 2014

Published: 2005-06-14 | ISBN: 3540659420 | PDF | 202 pages | 3 MB

Posted by **nebulae** at Aug. 2, 2015

English | ISBN: 9027200572 | 2014 | 401 pages | PDF | 2 MB

Posted by **roxul** at April 30, 2012

English | ISBN: 1439801320 | 2009 | 896 pages | PDF | 14,8 MB

Posted by **libr** at Dec. 7, 2016

English | 2014 | ISBN: 1118384024 | 312 pages | PDF | 2,6 MB

Posted by **Underaglassmoon** at Feb. 5, 2016

Springer | Production & Process Engineering | March 5, 2016 | ISBN-10: 3319282794 | 194 pages | pdf | 4.24 mb

Editors: Machado, Carolina, Davim, J. Paulo (Eds.)

Presents new conceptual skills necessary in the competitive business environment of organisations

Lists the core subjects valuable to all interested in pursuing a MBA program

Posted by **Rare-1** at July 14, 2015

English | Springer (2008) | ISBN-10: 3540786562 | 206 pages | ُPDF | 7.40 MB

This book presents methodologies for the Bayesian estimation of GARCH models and their application to financial risk management. The study of these models from a Bayesian viewpoint is relatively recent and can be considered very promising due to the advantages of the Bayesian approach, in particular the possibility of obtaining small-sample results and integrating these results in a formal decision model. The first two chapters introduce the work and give an overview of the Bayesian paradigm for inference. The next three chapters describe the estimation of the GARCH model with Normal innovations and the linear regression models with conditionally Normal and Student-t-GJR errors. The sixth chapter shows how agents facing different risk perspectives can select their optimal Value at Risk Bayesian point estimate and documents that the differences between individuals can be substantial in terms of regulatory capital. The last chapter proposes the estimation of a Markov-switching GJR model.

Posted by **Veslefrikk** at Dec. 7, 2014

Spr-nger 2009 | ISBN-10: 184882372X | 192 Pages | PDF | 1 MB

Posted by **tanas.olesya** at Sept. 30, 2014

Springer | November 18, 1994 | English | ISBN: 0387942114 | 341 pages | PDF | 19 MB

This book presents the theory and application of new methods of image compression based on self-transformations of an image. These methods lead to a representation of an image as a fractal, an object with detail at all scales. Very practical and completely up-to-date, this book will serve as a useful reference for those working in image processing and encoding and as a great introduction for those unfamiliar with fractals.

Posted by **libr** at Sept. 7, 2014

English | 2009 | ISBN: 0387773576 | 329 pages | PDF | 2,2 MB

This book provides a reader with a practical foundation in general equilibrium theory, embeds the theory in a multi-sector dynamic framework, discusses how to practically link the theory to real economic data, and provides clear instructions on how to use existing software – in this case Mathematica – to construct model simulations for policy and other analysis.

Posted by **interes** at March 18, 2014

English | 2009 | ISBN: 0387773576 | 329 pages | PDF | 2,2 MB

This book provides a reader with a practical foundation in general equilibrium theory, embeds the theory in a multi-sector dynamic framework, discusses how to practically link the theory to real economic data, and provides clear instructions on how to use existing software – in this case Mathematica – to construct model simulations for policy and other analysis.