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Masters of rock guitar.2,New generation.Vol.I
光盘作者: 彼得·费舍(Peter Fischer)[编著];张春达译
出版社:吉林音像出版社,2009
简介: 本书是在前一版的基础上修改而成的,书中除了继承前作理念,分析特定的著名吉他手之外,还分章节讨论了诸如NuRock、朋克(Punk)、Grunge和英式摇滚(BritPop)等风格,涵盖了以上风格的绝大多数代表人物。以传递给你们更多的信息,方便读者学习近年来流行的NuRock等乐队。此外,即便读者对作者所介绍的艺术家的生平细节已经了如指掌,那么则可以了解他个人所受的影响、他的风格特征和理念、音乐范例和设备分析。
Chang Kuang-Bin the running script and dot-stroke painting
光盘作者: 编撰
出版社:国立历史博物馆,2007
简介: 依口述採訪編寫台灣重要前輩書畫家張光賓先生之生命史,文分八節,包括:年少歷程(1915-1942)、杭州藝專與師從(1942-1945)、隨軍來台與定居(1948迄今)、故宮生涯(1968-1988)、元四大家研究、草書變革、繪畫皴法、退休與期許。每篇章節詳細介紹書畫家之生平經歷,並兼述當時重要藝術家以鋪陳百年來的藝術史發展。 Master Chang Kuang-bin was born in Szechuan (Sichuan) Province of China in 1915 and he did not receive formal education of fine arts until he was 28。 He moved to Taiwan in 1948 and had served in the Navy as a senior civil officer for 20 years; at the same time, he had continued his incessant practice in painting and calligraphy and held many exhibitions。 This book is based on oral history provided by interviews with Master Chang, and it covers his youth experience, formal study at National Hangchow Art College, move to Taiwan, career in National Palace Museum, research on the Four Great Masters of the Yuan Dynasty, and innovation in running script and painting; also, many of Master Chang’s works are included in the book。 This book is published to retain a record of Master Chang and acknowledge his achievement in painting and calligraphy。
Security analysis : principles and technique / 6th ed.
光盘作者: by Benjamin Graham and David L. Dodd.
简介:First published in 1934,Security Analysisis one of the most influential financial books ever written. Selling more than one million copies through five editions, it has provided generations of investors with the timeless value investing philosophy and techniques of Benjamin Graham and David L. Dodd. .As relevant today as when they first appeared nearly 75 years ago, the teachings of Benjamin Graham, ?the father of value investing,? have withstood the test of time across a wide diversity of market conditions, countries, and asset classes. .This new sixth edition, based on the classic 1940 version, is enhanced with 200 additional pages of commentary from some of today's leading Wall Street money managers. These masters of value investing explain why the principles and techniques of Graham and Dodd are still highly relevant even in today's vastly different markets. The contributor list includes: . Seth A. Klarman,president of The Baupost Group, L.L.C. and author ofMargin of Safety. James Grant,founder ofGrant's Interest Rate Observer, general partner of Nippon Partners. Jeffrey M. Laderman,twenty-five year veteran ofBusinessWeek. Roger Lowenstein, author ofBuffett: The Making of an American CapitalistandWhen America Agedand Outside Director, Sequoia Fund. Howard S. Marks, CFA,Chairman and Co-Founder, Oaktree Capital Management L.P.. J. Ezra Merkin,Managing Partner, Gabriel Capital Group .. Bruce Berkowitz,Founder, Fairholme Capital Management.. Glenn H. Greenberg,Co-Founder and Managing Director, Chieftain Capital Management. Bruce Greenwald,Robert Heilbrunn Professor of Finance and Asset Management, Columbia Business School. David Abrams,Managing Member, Abrams Capital ..Featuring a foreword by Warren E. Buffett (in which he reveals that he has read the 1940 masterwork ?at least four times?), this new edition ofSecurity Analysiswill reacquaint you with the foundations of value investing'more relevant than ever in the tumultuous 21st century markets. .
Plans, sections and elevations : key buildings of the twentieth century /
光盘作者: Richard Weston.
简介:This book features more than 100 of the most significant and influential buildings of the twentieth century, including classic works by such seminal architects as Le Corbusier, Frank Lloyd Wright, IVlies van der Rohe and Alvar Aalto, as well as those by more recent masters, such as Norman Foster, Frank Gehry and Rem Koolhaas.
简介:Market Risk Analysis is the most comprehensive, rigorous and detailed resource available on market risk analysis. Written as a series of four interlinked volumes each title is self-contained, although numerous cross-references to other volumes enable readers to obtain further background knowledge and information about financial applications.Volume I: Quantitative Methods in Finance covers the essential mathematical and financial background for subsequent volumes. Although many readers will already be familiar with this material, few competing texts contain such a complete and pedagogical exposition of all the basic quantitative concepts required for market risk analysis. There are six comprehensive chapters covering all the calculus, linear algebra, probability and statistics, numerical methods and portfolio mathematics that are necessary for market risk analysis. This is an ideal background text for a Masters course in finance.Volume II: Practical Financial Econometrics provides a detailed understanding of financial econometrics, with applications to asset pricing and fund management as well as to market risk analysis. It covers equity factor models, including a detailed analysis of the Barra model and tracking error, principal component analysis, volatility and correlation, GARCH, cointegration, copulas, Markov switching, quantile regression, discrete choice models, non-linear regression, forecasting and model evaluation.Volume III: Pricing, Hedging and Trading Financial Instruments has five very long chapters on the pricing, hedging and trading of bonds and swaps, futures and forwards, options and volatility as well detailed descriptions of mapping portfolios of these financial instruments to their risk factors. There are numerous examples, all coded in interactive Excel spreadsheets, including many pricing formulae for exotic options but excluding the calibration of stochastic volatility models, for which Matlab code is provided. The chapters on options and volatility together constitute 50% of the book, the slightly longer chapter on volatility concentrating on the dynamic properties the two volatility surfaces the implied and the local volatility surfaces that accompany an option pricing model, with particular reference to hedging.Volume IV: Value at Risk Models builds on the three previous volumes to provide by far the most comprehensive and detailed treatment of market VaR models that is currently available in any textbook. The exposition starts at an elementary level but, as in all the other volumes, the pedagogical approach accompanied by numerous interactive Excel spreadsheets allows readers to experience the application of parametric linear, historical simulation and Monte Carlo VaR models to increasingly complex portfolios. Starting with simple positions, after a few chapters we apply value-at-risk models to interest rate sensitive portfolios, large international securities portfolios, commodity futures, path dependent options and much else. This rigorous treatment includes many new results and applications to regulatory and economic capital allocation, measurement of VaR model risk and stress testing.
Comprehensive introduction to the Blues masters and their works
光盘作者: 邢克民主编
出版社:中央音乐学院出版社,2008
简介:《来自大师的吉他世界》二册主要针对吉他爱好者和专业收藏者所编配出来的俩册大师介绍。书里分别介绍了爵士吉他和鲁斯吉他的著名代表人物的历史以及使用的的相关设备,并且收录了几位大师的经典代表作品。收藏了历史上经典的吉他大师的图片与所用设备的详细介绍,并且配置了演奏经典吉他曲目的欣赏与演奏伴奏。
简介:"Remotely-sensed images of the Earth's surface provide information about the geographical distribution and properties of natural and cultural features. "This fully revised and updated edition deals with the mechanics of processing remotely-sensed images. Presented in an accessible manner, this book covers a wide range of image processing and pattern recognition techniques. "This is an essential textbook for upper level undergraduate and Masters students taking courses in Remote Sensing, in departments of Geography, Earth and Environmental Science. A number of examples are included on the accompanying CD to illustrate the practical use of specific techniques.". Computer Processing of Remotely-Sensed Images, An Introduction is the third edition of this textbook.". Computer processing takes place after the images have been collected, and depends on their physical properties and the applications for which they will be used. Researchers and professionals working on the processing and classification of remotely-sensed data, will also greatly benefit from the guidance contained in this text."--BOOK JACKET.
作者: 大师系列丛书编辑部编著
出版社:中国电力出版社,2005
简介: 主要内容 本书从近百位世界建筑大师中,精选出了16位草图很有特色的大师,可谓"大师中的大师";他们中有9位是普利策建筑奖的获得者,设计了大量足以载入史册的杰出作品。16位大师被分为四个单元,第一个单元的大师以技术见长,第二个单元的大师善于色彩,第三个单元的大师更加重视当地的传统文化,第四个单元的大师相对另类,更加前卫。数百张风格各异的建筑草图,同时配上建成之后的实景图片,让你亲身感受大师创作的痛苦和快乐。 本书制作精良,版式新颖,适用于建筑设计工作者和建筑院校师生阅读,对于其它门类的设计人员和美术爱好者,也是不可多得的珍藏佳品。
简介:Designed for courses in Creativity, Two-, Three- or Four-Dimensional Design, Launching the Imaginationoffers a comprehensive framework on which students, teachers, and administrators can build. The approach in this second edition is refined, distilled, and updated, using over 600 examples drawn from traditional and contemporary sources. Profileswith interviews of artists and designers introduce students to working processes, career choices, and criteria for excellence from a remarkable group of masters. Launching the Imaginationis available in a comprehensive volume treating 2D design, Creativity and Problem-solving, 3D design, and time-based (4D) design; or in split volumes containing either 2D or 3D design, plus the material on Creativity and Problem-solving. Launching the Imagination’s Core Concepts in Art CD-ROM, version 2.0, which engages students interactively with the elements and principles of art through numerous interactive exercises, has been re-organized and expanded. A copy of this CD-ROM is included free with every copy of the textbook purchased from McGraw-Hill, a student-value of over $30, and is also available individually through your local bookstore.
简介:"This book presents techniques for valuing derivative securities at a level suitable for practitioners, students in doctoral programs in economics and finance, and those in masters-level programs in financial mathematics and computational finance. It provides the necessary mathematical tools from analysis, probability theory, the theory of stochastic processes, and stochastic calculus, making extensive use of examples. It also covers pricing theory, with emphasis on martingale methods.










