Rabu, 28 Januari 2015

[E862.Ebook] Ebook Free Infancy: Development From Birth to Age 3 (2nd Edition), by Dana Gross

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Infancy: Development From Birth to Age 3 (2nd Edition), by Dana Gross

For courses in Infancy and Early Childhood Development,  with a focus on birth to age 3.

 

Infancy: Development from Birth to Age 3  helpsstudents understand the role of infant development research and how they may apply it to their own lives as well as the broader implications upon public policies.  Students are also presented with the relevant historical information in many of the chapters to provide a broader perspective and highlight how far we’ve come in our understanding of the first 3 years of life.  Issues of diversity and multicultural experience are also incorporated, illustrating how nature and nurture work together.  

  • Sales Rank: #41164 in Books
  • Brand: Gross, Dana
  • Published on: 2010-10-14
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.20" h x 1.40" w x 6.20" l, 1.68 pounds
  • Binding: Hardcover
  • 512 pages

About the Author

Dana Gross, Ph.D., is a Professor of Psychology and Affiliated Faculty of Asian Studies and Linguistic Studies at St. Olaf College, where she teaches an advanced seminar on Infant Development, as well as courses in Research Methods, Developmental Psychology, and Human Development in East Asia.  Dana Gross received her BA in Psychology from Smith College and her PhD in Child Psychology from the Institute of Child Development at the University of Minnesota. Dana’s research has been published in Child Development, Cognitive Development, and International Journal of Behavioural Development, among others. Most recently, she has been involved in field research in a high school-based parent education program for adolescent parents and their infant and toddler children. Dana has presented her work at numerous conferences, and served as consultant and co-author for several developmental textbooks.

 

Most helpful customer reviews

1 of 1 people found the following review helpful.
Great
By estrella
Alot of great information. The book was really easy (understandable). I would suggest this book to anyone. Great product overall.

0 of 0 people found the following review helpful.
Required for class. Normal textbook.
By Hannah Horspool
Required textbook for class. I really disliked doing the quizzes and reading assignments from it. Concepts: awesome. Design: could be improved. The amount of growth and development in infancy is incredible, but this textbook is not extremely engaging.

0 of 0 people found the following review helpful.
Perfect quality, also a good book.
By Brianna
The quality was perfect, and the information inside this book is pretty useful and interesting. I'm really glad I read this text before having children... it is very informative.

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Senin, 26 Januari 2015

[Y730.Ebook] Download PDF Communication Law in America, by Paul Siegel

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Communication Law in America, by Paul Siegel

Communication Law in America is a comprehensive, easy-to-follow overview of the complicated ways in which U.S. law determines who may say what to (and about) whom. It covers the usual content– libel, invasion of privacy, copyright and trademark, access to government information, advertising, electronic media– all the while giving readers a sense of how and why this country has come to weigh freedom of speech above competing freedoms far more often than in other Western democracies.

This fourth edition of the well-received text boasts over 300 new citations, including discussion of a dozen U. S. Supreme Court decisions handed down since the previous edition.
The nearly 200 still photos and over 80 videos on the author-maintained website – generally not images of litigants but of the actual artifacts (TV and movie scenes, advertisements, news reports) that led to the law suits– have always represented dramatic added value to students and professors alike. The new edition includes 35 new visual elements, including 20 videos.

The text also offers a new section on how the First Amendment applies to special populations, including students, government employees in general, and the military in particular.

  • Sales Rank: #36006 in Books
  • Published on: 2014-03-27
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.17" h x 1.36" w x 7.79" l, 2.60 pounds
  • Binding: Paperback
  • 540 pages

Review
Siegel’s fourth edition keeps up with the dizzying pace of change in communication technology without sacrificing any of the crucial attention to age-old principles and basic law. And it’s all delivered in Siegel’s trademark writing style, which brings a light touch to subjects that are often heavy. And there’s more. The author’s endless Ebay forays have resulted in a website boasting scores of videos from the court cases. Paired with a reliable LCD projector, the book teaches itself. (Robert Jensen, Director of the Senior Fellows Honors Program of the College of Communication, University of Texas at Austin)

One could search the Internet for weeks and fail to amass the knowledge about communication law that is contained in this one book. Paul Siegel has managed to condense centuries of communication law in a meaningful way for citizens to easily reference. If this book is read studiously, our democracy will certainly be stronger. (Kevin A. Johnson, Director of Research, Center for First Amendment Studies, California State University, Long Beach)

This book does an excellent job of providing the historical and theoretical contexts for free speech and press, and uses those contexts to illustrate the most contemporary of examples, from Edward Snowden to Tom Cruise’s latest litigation, from Facebook to the aftermath of the “wardrobe malfunction.” The wealth of online resources at www.paulsiegelcommlaw.com extends the text for students and faculty, creating an interactive experience. (Mel Netzhammer, Washington State University, Vancouver (Chancellor))

Siegel delivers a detailed blueprint that reveals the underpinnings of U.S. communication law. He draws an intricate depiction of the mosaic of cases and statutes that shape the flow of information and expression. This volume will serve as a valuable tool for novices and experts alike. (Jonathan Zittrain, Professor of Law and Professor of Computer Science; Co-founder of the Berkman Center for Internet & Society, Harvard University)

Siegel offers a perspective that makes sense for our field. This edition’s updates couldn’t be more current, and it’s all made easier with Siegel’s hallmark pedagogical aides. The visuals, always a strength in previous editions, are updated and stronger than ever. (John Vivian, Winona State University (author of The Media of Mass Communication))

This is one of the most if not the most comprehensive treatments of mass communication law available today for undergraduate students. It constitutes in some ways a mini- law school course. Up-to-date, informative, and thought-provoking. (Martin D. Sommerness, J. D; Northern Arizona University)

About the Author
Paul Siegel is professor of communication at the University of Hartford. He has been teaching course work in media law for over 30 years—at American University, Catholic University, Gallaudet University, George Mason University, Illinois State University, Keene State College, Tulane University, the University of Connecticut, the University of Missouri, and the University of North Carolina. He has also published dozens of book chapters and law review and communication journal articles on various subjects related to communication law. Siegel was the founding executive director of the American Civil Liberties Union of Kansas and Western Missouri.

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Sabtu, 24 Januari 2015

[Y274.Ebook] Get Free Ebook Historia de la Moda: Desde Egipto Hasta Nuestros Dias (Spanish Edition), by Bronwyn Cosgrave

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  • Sales Rank: #2064336 in Books
  • Published on: 2006-03
  • Original language: Spanish
  • Number of items: 1
  • Dimensions: .72" h x 9.42" w x 10.96" l,
  • Binding: Paperback
  • 256 pages

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0 of 0 people found the following review helpful.
Five Stars
By Alejandra
Im really happy with it.

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Kamis, 15 Januari 2015

[U193.Ebook] Free Ebook Grouting Equipment Manual: Selection, Operation, Maintenance, and Repair, by Donald C. Hegebarth

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Grouting Equipment Manual: Selection, Operation, Maintenance, and Repair, by Donald C. Hegebarth

Pressure grouting is an essential construction procedure that is practiced by contractors and engineers around the world. Used since the 19th century, grouting reduces the amount of leakage through rock for dam foundations and underground works. It also strengthens soils to provide a stable foundation to support the weight of surface structures, such as buildings, bridges, and storage tanks. In addition, it is frequently used to repair deteriorated concrete and to produce concrete underwater.

This manual introduces various types of equipment employed in pressure grouting applications performed in geotechnical works and examines the operating principles and maintenance issues relative to each equipment type.

The term pressure grouting encompasses a wide variety of applications and operations, including dam foundation grouting, soil stabilization and permeation, consolidation and compaction grouting (except low-mobility), water cutoff and structural stabilization in rock tunnels, deep foundations via drilled piers, underwater concrete, structural concrete repairs, raising of settled slabs and structures, rock and soil anchors, and machine foundations and bases. The applications for pressure grouting operations are almost limitless, as the equipment can be employed anywhere fluid grout can be used.

Primarily intended for machine operators and maintenance mechanics, this manual will also prove useful to specification writers, engineers, contractors, purchasing managers, and others who have a responsibility to specify, acquire, operate, or maintain pressure grouting equipment. Topics covered include mixers, agitators, pumps, delivery systems and accessories, but not electronic monitoring and other ancillary equipment.

  • Sales Rank: #3873761 in Books
  • Brand: Brand: Society for Mining, Metallurgy, and Exploration
  • Published on: 2013-03-15
  • Original language: English
  • Number of items: 1
  • Dimensions: 8.80" h x .40" w x 6.20" l, .50 pounds
  • Binding: Spiral-bound
  • 134 pages
Features
  • Used Book in Good Condition

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0 of 0 people found the following review helpful.
Informative, but EXPENSIVE
By J Ras
Very informative manual, very well written, but price OUTRAGEOUSLY high for such a small book. (5/8" thick and looks like a small cookbook)...

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Minggu, 11 Januari 2015

[V948.Ebook] Download PDF Fundamentals of Thermodynamics, by Claus Borgnakke, Richard E. Sonntag

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Fundamentals of Thermodynamics, by Claus Borgnakke, Richard E. Sonntag

  • Published on: 2016-10-24
  • Original language: English
  • Dimensions: .0" h x .0" w x .0" l,
  • Binding: Hardcover
  • 816 pages

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Selasa, 06 Januari 2015

[S574.Ebook] Fee Download Option Volatility & Pricing: Advanced Trading Strategies and Techniques, by Sheldon Natenberg

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Option Volatility & Pricing: Advanced Trading Strategies and Techniques, by Sheldon Natenberg

One of the most widely read books among active option traders around the world, Option Volatility & Pricing has been completely updated to reflect the most current developments and trends in option products and trading strategies.

Featuring:

  • Pricing models
  • Volatility considerations
  • Basic and advanced trading strategies
  • Risk management techniques
  • And more!

Written in a clear, easy-to-understand fashion, Option Volatility & Pricing points out the key concepts essential to successful trading. Drawing on his experience as a professional trader, author Sheldon Natenberg examines both the theory and reality of option trading. He presents the foundations of option theory explaining how this theory can be used to identify and exploit trading opportunities. Option Volatility & Pricing teaches you to use a wide variety of trading strategies and shows you how to select the strategy that best fits your view of market conditions and individual risk tolerance.

New sections include:

  • Expanded coverage of stock option
  • Strategies for stock index futures and options
  • A broader, more in-depth discussion volatility
  • Analysis of volatility skews
  • Intermarket spreading with options

  • Sales Rank: #51936 in Books
  • Brand: McGraw Hill
  • Published on: 1994-08-01
  • Ingredients: Example Ingredients
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x 1.30" w x 6.30" l, 1.87 pounds
  • Binding: Hardcover
  • 469 pages

About the Author
McGraw-Hill authors represent the leading experts in their fields and are dedicated to improving the lives, careers, and interests of readers worldwide

Most helpful customer reviews

97 of 100 people found the following review helpful.
Buy the 1st Edition! The 2nd Edition is ruined with basic errors.
By Jon Smith
In terms of content this book was outstanding. It provided great examples for a beginner learning options for the first time. I have taken a few option courses before and his strategies, techniques and terminologies were helpful. They were a little on the beginner side but as a market risk professional I will not that against him as he described the book as the "first book that new professional traders are given to learn the trading strategies and risk management techniques required for success in option markets." Given that it was outstanding.

Now the reasons for the 1 rating: Simply put, the book is filled with basic 101 mistakes:
1) Simple mathematical errors such as multiplication versus addition occur throughout the book's example
2) It appears he overwrote examples (from the previous book?) with new numbers but he only partially updated the example at times. For instance: he will have 3 positions with a strike price of: 70, 75 & 80 and out of now where he ends up using 70, 75 & 65 for his three strikes.
3) He has several typos in which he states one thing twice and then the direct opposite a second later (usually the example is wrong).
4) The quantity of errors is surreal as makes you question the integrity of the book as a whole.
5) I would not say it is "advanced strategies and techniques" but beginner to intermediate strategies and techniques.

While I found this book to be a good resource (since I placed the emphasis on the ideas and terms, not the examples), I would not recommend it as your first book (which he described it as). Based on the reviews of the 1st Edition, I would say buy that book as it may be the best book for options. If he spent the time and provided good examples, I would give this book 5 stars and say it was a must have for ever collection. But the errors occur too often and they break down at a basic level. For a basic book that is heavily flawed, I saw it should only be rated a 1. If I did not have prior experience in options (academic courses and professional experience), I would be confused. Fortunately, most of the mistakes that he makes are quite obvious and you should be able to correct them on your own even if you are learning it for your first time. Overall, I say buy the 1st edition and avoid this book like a plague. Overall, if he would have read the book over, he should have been able to easily catch his mistakes. It's a shame he did not take the time to review the book to make sure it was written correctly. I've very disappointed in Sheldon Natenberg as his first edition was consider the bible of options (still is). 2nd Edition was a complete failure.

21 of 21 people found the following review helpful.
Strong on theory but weak on reality plus some careless errors
By Chris G. Pflum
This is the best book that I have read on the theoretical pricing model. It is well-written, the figures and tables reinforce the text, and the math is as simple as possible considering the complexity of the Black, Sholes, Merton model (model). Nevertheless, I have given the book only three stars because it does not confirm or compare its theoretical values with market data. Also, the book contains careless errors that should not exist after two editions. Although my comments concentrate on the book’s faults, I still strongly recommend it to serious traders who want to advance their understanding of options.

The book fails to connect theory with reality. All the example trades, figures and tables are hypothetical. Option prices and the volatility that they imply (IV) are derived from the model. The book does not appear to use any market data. My specific comments point out discrepancies between the book’s hypothetical / theoretical findings and my observations of real market conditions.

About a third of the book contains superfluous information that may not interest retail traders. This material includes lengthy discussions of arbitrage, market makers, synthetic conversions, and the effects of interest rates and dividends on option prices. I read and studied this material, but it has not influenced my trading.

Page 228, Risk Considerations - Chapter 13 introduces and defines the concept of “theoretical edge” which is repeated throughout the book. The vague definition should be simplified and expressed in more concrete terms. It states, “theoretical edge – the average profit resulting from a strategy, assuming that the trader’s assessment of market conditions is correct.” Based on the data used to construct the spreads in this chapter, theoretical edge appears to be nothing more than the difference between an option’s theoretical and market price.

Page 260, Using Synthetics in a Spreading Strategy - Instead of buying a long straddle: 1 June 100 call and 1 June 100 put, one could trade the synthetic equivalent: 2 June 100 calls and short 100 shares of the underlying stock. Here and elsewhere the text does not give practical advantages (e.g. risk vs reward) of using one versus the other.

Pages 265 – 292, Option Arbitrage - Chapter 15 claims that “conversions and reversals are common strategies” (page 276), but towards the end of the chapter (page 288) Natenberg concedes that only an arbitrage trader who has low transaction costs and immediate access to the markets is likely to profit from conversions and reversals. Since the book seems inconsistent, I made simulated trades of conversions and reversals of the S&P 500 ETF (SPY) and held them until expiration. While risks were extremely low, the profits would not even cover the commissions. For example, on October 12, 2016 the SPY was trading at $213.82 and a 1 contract conversion would cost $21,396.00 (1 Oct 214 Put @ 1.82, -1 Oct 214 Call @ 1.68 and 100 SPY @ 213.82). At expiration, the conversion lost $2.50 ($2.50 profit - $5.00 commissions). Yields from other synthetic equivalents (boxes and rolls) were no better. While professional traders may profit from option arbitrage, retail traders who have limited funds and must pay commissions should avoid them.

Pages 293 – 321, Early Exercise of American Options - According to Chapter 16, the decision to hold or exercise an option depends primarily on dividends and interest rates. The hypothetical trades assume that the stock pays a dividend before the option expires and interest rates are 6%. Presumably, if a stock does not pay a dividend and interest rates are near 0, none of this applies.

The stock price is assumed to drop by the dividend amount on the same date that the dividend is paid. In practice, a stock’s price can drop on the X dividend date and then recover or drop further when the dividend is paid. I have personally seen this happen with Verizon (VZ) and AT&T (T). Unless the stock is paying a special, unscheduled dividend, I believe that the market will price the dividend into the stock making the adjustments described in this chapter unnecessary.

Page 358, Maximum Gamma, Theta and Vega - Figure 18-10 illustrates that “Increasing the interest rate can cause the vega of a stock option to decline as time increases.” The vega values are plotted on three curves corresponding to interest rates that are assumed to stay fixed at 0%, 10% and 20% for up to 4 years. At first, vega increases for all the interest rates and after about 10 months vega declines but only if interest rates are at 20%.

This figure, like others, makes extreme assumptions about interest rates just to illustrate a point. In the past 10 years, US interest rates have ranged from about 0% to 5.25%. Most of the theoretical examples in this book assume interest rate range from 6% to 20%. These rates are high even when compared to the 3% rate in 1994 when the first edition of this book was published.

It seems odd that Natenberg devotes so much his book to the effects of interest rates, when they have very little effect on the short-term options that are actively traded. He admits as much towards the end of his book when he states, “Because most actively traded options tend to be short term, with expirations of less than one year, interest rates would have to change dramatically to have an impact on any but the most deeply in-the-money options.” (page 467, 3rd paragraph).

Page 359, Binomial Option Pricing - The Cox – Ross – Rubinstein model was developed in the late 1970s as a “method of explaining basic option pricing theory to students without using advanced mathematics”. While this model (like the slide rule) may have been useful 40-50 years ago, it has no practical value today. Most trading platforms can instantly calculate an option’s theoretical value.

Page 381, Volatility Revisited - Most of the figures in Chapter 20 illustrate that the implied volatilities (IV) trend from high to low going from short-term to long-term options (e.g., Figures 20-12, 20-13, 20-14, 20-18, 20-20 and 20-21). In contrast, I have observed that IV often runs in the opposite direction (i.e., short-term options have a lower IV than long-term options). Events such as earnings, acquisitions, mergers, stock buy-backs, elections and world events can trigger an IV surge at any expiration month that immediately follows the event. Implied volatility eventually reverts to a mean value, but it can stay below the mean for months and then suddenly jump above the mean and drop back in a few days. In my opinion, IV does not trend, but moves randomly above and below its moving average.

Surprisingly, Natenberg does not discuss whether technical analyses could be applied to IV. To distinguish expensive options (with a high IV) from cheap ones (with a low IV), I use an “Implied Volatility Stochastic Oscillator” that plots the current implied volatility level as a percentage of its 52-week range.

Page 412, Position Analysis - To simplify a complicated spread of puts, calls and the underlying stock, Natenberg converts the puts to their synthetic equivalents. For example, 19 March 65 puts are converted to 19 March 65 calls and short 1900 shares of the underlying stock. This type of conversion is valid only for puts and calls that have a delta of .50. The puts that are being converted, however, have different strikes and different deltas.

Page 432, Some Thoughts on Market Making – The text assess the risks of a mixed collection of options that a market maker might accumulate over time; it states, “We will also assume that the implied volatility for June changes at 75 percent of the rate of change in April and the implied volatility for August changes at 50 percent of the rate of change in April.” Later on page 501 (1st paragraph) when discussing shifting the volatility, the text states, “… when the underlying price rises, implied volatility tends to fall; when the underlying price falls, implied volatility tends to rise.” In my opinion, the daily fluctuations in IV are random and frequently do not conform to projections that are based on a theoretical model. Although IV reverts to a mean, this reversion only becomes apparent in weekly or monthly charts. Over a period of days, IV stays mostly below its mean and makes brief surges above its mean. My point here is that IV is unpredictable over a 3 to 4 month time span.

In my opinion, market data do not confirm these assumptions on IV rate of change and assertions that IV rises when the stock price falls or IV falls when the stock price rises. Chart 1 (attached to these comments) plots the daily price and IV of the Dow Jones Industrials (DIA) from March through October 2016. Note that price and IV do not correlate:
• price trends up while IV does not trend;
• price stays within one standard deviation of its linear regression while IV frequently moves more than one standard deviation above and below its linear regression;
• price remains predominantly above its 120 day moving average while IV remains predominantly below its 120 day moving average.

My point here is that other than distinguishing cheap from expensive options, the theoretical model does not project the month to month changes and trends in IV.

Page 471, Volatility is Constant over the Life of the Option - Figures 23.3, 23.4 and 23.5 and the text state that at-the-money options decrease in value when volatility falls and increase in value when volatility rises. This relationship may be valid for the option’s theoretical value, but not for the market price.

An option’s market price implies a volatility (IV) that does not correlate with the historical volatility (V) of the underlying asset. Chart 2 (attached to these comments) plots the daily IV and V of Eli Lily Corporation (LLY) from April to November 21, 2016. The upper chart shows that IV surged upward from August to November while V stayed range-bound. The lower chart shows that from May to November IV values were 1.2 X to 3 X higher than V. Since expensive options have a high IV, and cheap options have a low IV, these charts suggest that LLY options became increasingly expensive from May to November even though the volatility of the LLY stock stayed flat.

Page 507, Implied Distributions – This section claims that an infinite number of butterfly spreads would have the same maximum value as just one spread. It states, “At expiration, the 95/100/105 butterfly (i.e. buy a 95 call, sell two 100 calls, buy a 105 call) will have a … maximum value of 5.00.” An infinite number of butterfly spreads at five point intervals would likewise “have a value of exactly 5.00.” Later (page 508) Natenberg invites the reader “to confirm that all the butterfly values do indeed sum to 5.00…”.

Charts 3 and 4 (attached to these comments) plot butterfly spreads of the Nasdaq Index (QQQ) at 118.37. Chart 3 plots 2 butterfly spreads at .50 expiration intervals, and Chart 4 plots 4 butterfly spreads at the same expiration intervals. Using market values, my Tradestation platform calculated that the 2 butterfly spread would have a maximum value of $260.00 while the 4 butterfly spread would have a maximum value of $190.00. Perhaps if I had used the option’s theoretical values, as Natenberg presumably did, my butterflies would have confirmed “that all the butterfly values indeed sum to [the same value].” However, I think that Natenberg would have better served his readers if he had pointed out the significant difference between spreads constructed from options’ theoretical versus market values.

Careless Errors

Page 172, The text incorrectly shows that both a long and short strangle have a positive gamma, negative theta and positive vega. The short strangle should have negative gamma, positive theta and negative vega.

Page 189, Figures 11-22 and 11.23, The figures incorrectly state that for both a long and short calendar spread the trader would buy a long term and sell a short term option. For the short calendar spread, the trader would sell the long term option and buy the short term option.

Page 206, Figure 11-33, In short and long straddles the same number of puts and calls are sold or bought. Two of the six straddles in this figure sells more calls than puts, and one straddle buys more puts than calls.

Page 260, 5th paragraph, The example of a bull put spread incorrectly buys and sells the same number of contracts of the same option. In other words, the spread does not exist.

Page 329, 1st paragraph, The text states, “By comparing implied volatility with expected volatility over the life of the option, the hedger ought to be able to make a sensible determination as to whether he wants to buy or sell options.” What is “expected volatility”? The term is not defined in the glossary or appear in the index.

Page 343, Figure 18.7, The number of occurrences used to calculate the average stock value should be 60 not 153.

Page 359, Binomial Option Pricing, The 2nd paragraph states that one of the advantages of binomial option pricing is that you can assume “there are no interest or dividend considerations”. Interest and dividends are considered in the formulas and figures presented throughout this chapter.

Page 412, The table in the middle of the page shows that 38 (19+19) March 65 puts were synthetically converted to 0 March 65 calls and 0 underlying stock. This is not possible.

Page 447, 2nd paragraph, The price-weighted index value which was initially 100 should be 150.

Pages 469 and 470, Figures 23-3 and 23-4. These figures supposedly illustrate how changes in price affect volatility; however, the axes are not labeled, and it’s not apparent what the charts are plotting.

Page 471 last paragraph and Figure 23-5 – The text states, “When the price of the underlying remaining generally between 95 and 105, options with exercise prices of 95, 100, and 105 are worth more than the Black-Scholes value in a rising-volatility market and less than the Black-Sholes value in a falling-volatility market. “ All the option values in Figure 23-5 and perhaps the entire book were calculated from the Black-Sholes formula. In this case, it is not clear how option values that are calculated with the Black-Sholes formula could be “worth more than the Black-Sholes formula”.

Page 502, Figure 24.14, The text in this figure should state: declining skew – not “investment” skew, and increasing skew – not “demand” skew.

Chart 1, Dow Jones Industrial Average (DIA), Daily Price vs Implied Volatility
Chart 2, Eli Lilly Corporation (LLY), Daily Implied Volatility (IV) vs Historic Volatility (Volatility Standard Deviation VSD)
Chart 3, Nasdaq Index (QQQ), Maximum Profit of 2 Butterfly Spreads at .50 Expiration Intervals
Chart 4, Nasdaq Index (QQQ), Maximum Profit of 4 Butterfly Spreads at .50 Expiration Intervals

31 of 33 people found the following review helpful.
A Must For Anyone Considering Trading Options
By apage
This book is considered the "bible" on options implied volatility. Natenburg was a pioneer into this study decades ago, and his work is still relevant today. Anyone who is thinking about trading options should add this book to their library. This book covers everything from the Greeks, the Black-Scholes model, binomial options, to hedging with options, and much more . . . I recommend reading this book with pencil and graph paper in hand to work through some of the concepts to make sure you fully grasp what you are reading; the writing style is clear (if somewhat dry) and the author has no problem communicating his knowledge and fully teaching the reader the concepts, but this book builds on itself quickly and if you are unsure of some concept early on, and don't correct it, you will probably be lost in later sections. Although this book covers the fundamentals of options and normal distributions/standard deviations; it would greatly help knowing the fundamentals of the aforementioned concepts before reading this book to fully grasp the information presented.

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Kamis, 01 Januari 2015

[N450.Ebook] Download PDF Method Acting Reconsidered: Theory, Practice, Future, by NA NA

Download PDF Method Acting Reconsidered: Theory, Practice, Future, by NA NA

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Method Acting Reconsidered: Theory, Practice, Future, by NA NA

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Method Acting Reconsidered: Theory, Practice, Future, by NA NA

Method Acting is one of the most popular and controversial approaches to acting in the United States. It has not only shaped important schools of acting, but has been a fundamental constant of all American acting. This insightful volume explores Method Acting from a broad perspective, focusing on a point of equilibrium between the principles of the Method and its relationship to other theories of performance. David Krasner has gathered together some of the most well-known theater scholars and acting teachers to look at the Method. By concentrating on three areas of the Method - its theory, practice, and future application - the collection will serve to inform and teach us how to approach acting and acting theory in the 21st century.

  • Sales Rank: #1627251 in Books
  • Published on: 2000-09-09
  • Original language: English
  • Number of items: 1
  • Dimensions: 8.50" h x .73" w x 5.50" l, .89 pounds
  • Binding: Paperback
  • 288 pages

Review
"Now, in Method Acting Reconsidered, an important new collection of essays edited by David Krasner, director of undergraduate theatre studies at Yale, Strasberg is beginning to be rehabilitated." -- American Theatre

About the Author
David Krasner is Director of Undergraduate Theater Studies at Yale University. His previous book, Resistance, Parody, and Double Coinsciousness in African American Theater, 1895-1910 received the 1998 Errol Hill Award from the American Society for Theater Research.

Most helpful customer reviews

8 of 8 people found the following review helpful.
A long overdue reprieve for Strasberg
By John Bray
David Krasner has offered a collection of essays which have successfully answered my question, "why does everyone hate Method Acting?" I have often chalked it up to an unfair bias: Stella Adler spoke to Stanislavski, who did not appreciate Strasberg's approach to acting. So many acting instructors (Grotowski, Adler, Meisner) have adapted and moved beyond Stanislavski's (constantly changing) point of view in terms of how to act in a committed, truthful fashion, and yet Strasberg is regularly crucified in classrooms. As an acting teacher, I have tried to fight against this. It did not help when my department chair at one university I was teaching as an adjunct at had me use of Robert Barton's poorly researched "Acting On-Stage and Off" in my classroom. It was an uphill battle against an unfair bias (in print, no less, tipping the scales against my objections). When someone praises the "master" Stanislavski's work, we must ask "which phase of Stanislavski?," for the man changed his mind at every corner. Stanislavski was a man who experimented. Several members of The Group Theatre created their own interpretation of, added their own unique voice to, and created something out of Stanislavski's research from various points in his luminous career. Strasberg did not "misinterpret" Stanislavski. The Method is uniquely his own. Thank you, David Krasner and essayists for creating this long overdue book. I was worried I would have to write it!
John Patrick Bray, MFA, Actors Studio Drama School, New School University
PhD Student of Theatre, Lousiana State University

1 of 2 people found the following review helpful.
There's hope for the "Methods" return!
By Lowell E. Hayenga
This book is the first one I've purchased out of two dozen that actually talks about Stanislovsky's "Method" approach and it's return to American Cinema in the future. "Method" Acting almost died over the past couple of decades and yet it appears it's been resurrected. The true principles and techniques of the "method" have been narrowed down to only a selected few in that period of time. Used by the Contemporary Acting Approaches of today. Who add these few techniques to their own Method Acting approaches. Most of them are neither supported by experienced or educated teachers. Only those hoping to make a quick buck off the unassuming novice. Or get back the twenty people who disappeared after only attending one or two classes by adding these few techniques to an already failing attempt to teach something that is worth paying for. This book is fantastic in learning all about the "original" "Method". It's origin, past, rise and fall and it's future. I only gave it four stars because of the fact, this is not a book full of exercises, lessons and assignments for the actor seeking those things. It is however, very clear and precise about what those assignments and exercises should cover and offers a great sense of hope for those who are in love with this approach and will settle for nothing short of it.

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