CIS Annual

CIS Annual
Author:
Publisher:
Total Pages: 1188
Release: 1978
Genre: Government publications
ISBN:


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Advanced Mechatronics Solutions

Advanced Mechatronics Solutions
Author: Ryszard Jabłoński
Publisher: Springer
Total Pages: 664
Release: 2015-11-02
Genre: Technology & Engineering
ISBN: 3319239236


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Focusing on the most rapidly changing areas of mechatronics, this book discusses signals and system control, mechatronic products, metrology and nanometrology, automatic control & robotics, biomedical engineering, photonics, design manufacturing and testing of MEMS. It is reflected in the list of contributors, including an international group of 302 leading researchers representing 12 countries. The book is intended for use in academic, government and industry R&D departments, as an indispensable reference tool for the years to come. Thid volume can serve a global community as the definitive reference source in Mechatronics. The book comprises carefully selected 93 contributions presented at the 11th International Conference Mechatronics 2015, organized by Faculty of Mechatronics, Warsaw University of Technology, on September 21-23, in Warsaw, Poland.

CIS/annual

CIS/annual
Author: Congressional Information Service
Publisher:
Total Pages: 1222
Release: 1978
Genre: Law
ISBN:


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National Union Catalog

National Union Catalog
Author:
Publisher:
Total Pages: 624
Release: 1978
Genre: Union catalogs
ISBN:


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Includes entries for maps and atlases.

CIS Four-year Cumulative Index

CIS Four-year Cumulative Index
Author: Congressional Information Service
Publisher:
Total Pages:
Release: 1975
Genre: Government publications
ISBN:


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Postmodern Portfolio Theory

Postmodern Portfolio Theory
Author: James Ming Chen
Publisher: Springer
Total Pages: 345
Release: 2016-07-26
Genre: Business & Economics
ISBN: 1137544643


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This survey of portfolio theory, from its modern origins through more sophisticated, “postmodern” incarnations, evaluates portfolio risk according to the first four moments of any statistical distribution: mean, variance, skewness, and excess kurtosis. In pursuit of financial models that more accurately describe abnormal markets and investor psychology, this book bifurcates beta on either side of mean returns. It then evaluates this traditional risk measure according to its relative volatility and correlation components. After specifying a four-moment capital asset pricing model, this book devotes special attention to measures of market risk in global banking regulation. Despite the deficiencies of modern portfolio theory, contemporary finance continues to rest on mean-variance optimization and the two-moment capital asset pricing model. The term postmodern portfolio theory captures many of the advances in financial learning since the original articulation of modern portfolio theory. A comprehensive approach to financial risk management must address all aspects of portfolio theory, from the beautiful symmetries of modern portfolio theory to the disturbing behavioral insights and the vastly expanded mathematical arsenal of the postmodern critique. Mastery of postmodern portfolio theory’s quantitative tools and behavioral insights holds the key to the efficient frontier of risk management.

Investor Behavior

Investor Behavior
Author: H. Kent Baker
Publisher: John Wiley & Sons
Total Pages: 645
Release: 2014-02-10
Genre: Business & Economics
ISBN: 1118492986


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WINNER, Business: Personal Finance/Investing, 2015 USA Best Book Awards FINALIST, Business: Reference, 2015 USA Best Book Awards Investor Behavior provides readers with a comprehensive understanding and the latest research in the area of behavioral finance and investor decision making. Blending contributions from noted academics and experienced practitioners, this 30-chapter book will provide investment professionals with insights on how to understand and manage client behavior; a framework for interpreting financial market activity; and an in-depth understanding of this important new field of investment research. The book should also be of interest to academics, investors, and students. The book will cover the major principles of investor psychology, including heuristics, bounded rationality, regret theory, mental accounting, framing, prospect theory, and loss aversion. Specific sections of the book will delve into the role of personality traits, financial therapy, retirement planning, financial coaching, and emotions in investment decisions. Other topics covered include risk perception and tolerance, asset allocation decisions under inertia and inattention bias; evidenced based financial planning, motivation and satisfaction, behavioral investment management, and neurofinance. Contributions will delve into the behavioral underpinnings of various trading and investment topics including trader psychology, stock momentum, earnings surprises, and anomalies. The final chapters of the book examine new research on socially responsible investing, mutual funds, and real estate investing from a behavioral perspective. Empirical evidence and current literature about each type of investment issue are featured. Cited research studies are presented in a straightforward manner focusing on the comprehension of study findings, rather than on the details of mathematical frameworks.

Audels Welders Guide

Audels Welders Guide
Author: Frank Duncan Graham
Publisher:
Total Pages: 456
Release: 1944
Genre: Welding
ISBN:


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Fault Detection and Diagnosis in Engineering Systems

Fault Detection and Diagnosis in Engineering Systems
Author: Janos Gertler
Publisher: Routledge
Total Pages: 512
Release: 2017-11-22
Genre: Technology & Engineering
ISBN: 1351448781


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Featuring a model-based approach to fault detection and diagnosis in engineering systems, this book contains up-to-date, practical information on preventing product deterioration, performance degradation and major machinery damage.;College or university bookstores may order five or more copies at a special student price. Price is available upon request.