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Tài Liệu Mới - chia sẻ ebook- download free

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Category: Sách hay

How To Play Popular Piano In 10 Easy Lessons

Review
Sammy Cahn President, Songwriter’s Hall of Fame I have “High Hopes” this book can teach you to play — “All the way” — and you know you can’t “Call Me Irresponsible.” — Review

Review
Sammy CahnPresident, Songwriter’s Hall of FameI have “High Hopes” this book can teach you to play — “All the way” — and you know you can’t “Call Me Irresponsible.”

Best In Country Sheet Music

Arranged by Dan Coates. Titles include: Angels Among Us * Any Man of Mine * Blue * The Dance * Don’t Take the Girl * Forever’s As Far As I’ll Go * I Can Love You Like That * I Cross My Heart * I Do * I Swear * I Will Always Love You * If Tomorrow Never Comes * In This Life * Long As I Live * The River * Unanswered Prayers and more.

Writing: Grammar, Usage, And Style (Cliffs Quick Review)

Product Description
When it comes to pinpointing the stuff
you really need to know, nobody does it better than CliffsNotes. This
fast, effective tutorial helps you master core grammar, usage, and
style concepts — from parts of speech, punctuation, and clauses to
common sentence errors, misused words, and the elements of style — and
get the best possible grade.

At CliffsNotes, we’re dedicated to helping you do your best, no matter
how challenging the subject. Our authors are veteran teachers and
talented writers who know how to cut to the chase — and zero in on the
essential information you need to succeed.

From the Back Cover
We take great notes—and make learning a snap
When it comes to pinpointing the stuff you really need to know, nobody
does it better than CliffsNotes. This fast, effective tutorial helps
you master core grammar, usage, and style concepts — and get the best
possible grade.

At CliffsNotes, we’re dedicated to helping you
do your best, no matter how challenging the subject. Our authors are
veteran teachers and talented writers who know how to cut to the
chase—and zero in on the essential information you need to succeed.

Master the basics—fast

  • Complete coverage of core concepts
  • Accessible, topic-by-topic organization
  • Free pocket guide for easy reference

Grammar Practice For Elementary Students

Product Description
*Step-by-step grammar explanations with
clear examples *A wealth of varied practice exercises with write-in
space on the page *Tests to monitor students’ progress *Illustrated
with lively cartoons to increase students’ understanding *An index and
a comprehensive contents list for easy reference *For self-study,
homework or use in class.

About the Author
Steve Elsworth has a BA
and an MA in English from Lancaster University. He started his career
teaching English in Turkey in 1977, a time which also included writing
materials and working with Turkish Radio. On his return to the UK,
Steve taught for two years at International House, London. He also
spent time in Oran, Algeria, setting up an English programme at the
Institute of Telecommunications, Steve has taught short-term courses in
English for Accountancy at the European Business School, London. Steve
Elsworth is the author of over twenty-five ELT titles, including
material for the best-selling Longman courses, Discoveries and
Strategies. In the mid-1980s, Steve took time off from ELT, writing for
various newspapers on acid rain and air pollution. He worked as an
environmental consultant for, among others, the Swedish and Canadian
governments, and wrote two books on the environment during this period,
Acid Rain (1984) and A Dictionary of the Environment (1990). Steve
worked for Greenpeace as a Campaign Director from 1988 to 1992, a
period which gave him extensive media experience. Steve is now a
full-time writer of ELT materials. With Jim Rose, he is the successful
author of ‘Go!’ and ‘Energy’.

Tạp Chí đồ Họa Máy Tính VN CGEZINE ISSUE 3

CG TUTORIAL
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CG INTERVIEWS
– Peter Sanitra – một thế giới khác
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CG MAKING OF
– making of Reuolution
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CG FEATURES
– CG gallery
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CG REVIEWS
– Điểm danh Oscar 2007 Visual Effect
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Strategic Asset Allocation

Review
`In Strategic Asset Allocation John Campbell and Luis Viceira go beyond the usual capital-markets research monographs that survey a broad swath of asset pricing and investment theory. Instead, they dig deeply and insightfully into how an individual investor would best allocate wealth into broad asset classes over a lifetime, bearing in mind age, risk preferences, changing market conditions, and uninsurable income shocks. With this clearly written synthesis of the best recent research on the topic, much of it their own, Campbell and Viceira have achieved excellence!’ Darrell Duffie, Graduate School of Business, Stanford University

`At last we have a book that lays out how we should use the basic insights of mean-variance analysis to advise investors on their their lifetime portfolio problem. It is a pleasure to read when one sees such sensible and lucid application of highbrow financial theory to the most practical and important of problems. This book represents a major theoretical breakthrough that allows us to translate the principles of intertemporal financial and econometric theory into concrete advice for investing.’ Robert J. Shiller, Yale University
Product Description
Provides a scientific foundation for the advice offered by financial planners to long-term investors. The author derive optimal portfolio rules that investors can compare with existing rules of thumb.

The Winner's Circle: Wall Street's Best Mutual Fund Managers

Review
“Hats off to Shook for a practical exposition of best practices in the industry.” — Stan O’Neal, President and Chief Operating Officer, Merrill Lynch & Co.

“Shook captures the essence of industry best practices…This book is a winner.” — Wick Simmons, Chairman, NASDAQ

“The Winner’s Circle is a terrific series of snapshots that capture the many ways in which financial advisors excel.” — Mark B. Sutton, President, Private Client Group, UBS PaineWebber, Inc. –This text refers to an alternate Hardcover edition.
Product Description
Uncover and invest in the best funds for today and tomorrow
The number of mutual funds investors must choose from is now greater than the number of stocks listed on the NYSE. Selecting the right fund-and, just as important, the best manager-in a turbulent investment arena is more difficult than ever before. Revealing money-management secrets typically reserved for elite investors, top fund managers share their investment approaches, and provide in-depth explanations of their philosophies, disciplines, and backgrounds that can be applied by both individual and professional investors.
R. J. Shook (Boca Raton, FL) is the popular and influential author of the Winner’s Circle book series. He has authored six Wall Street-related titles, and writes a monthly column as well as a popular annual cover story-“The Winner’s Circle Top Advisors”-for Research Magazine.

Composition and Properties of Drilling and Completion Fluids, Fifth Edition

Composition and Properties of Drilling and Completion Fluids, Fifth Edition
By HCH Darley, George R. Gray

——————————————————————————–

Publisher: Gulf Professional Publishing
Number Of Pages: 644
Publication Date: 1988-03-22
ISBN-10 / ASIN: 087201147X
ISBN-13 / EAN: 9780872011472
Binding: Hardcover

——————————————————————————–
Book Description:

Composition and Properties of Drilling and Completion Fluids, Fifth Edition, covers the fundamental principles of geology, chemistry, and physics that provide the scientific basis for drilling fluids technology.

New material for drilling, logging, and production supervisors and engineers exlains how the choice of a drilling fluid and proper maintenance can profoundly reduce total well costs. It also defines technical terms necessary to the understanding of instructions and information provided by the mud engineer. Updated chapters discuss evaluation of drilling fluid performance, clay mineralogy and colloid chemistry, rheology, filtration properties, hole stability, drilling problems, and completion fluids.

The Official Guide for GMAT Review, 10th Edition

There is no substitute for official GMAT questions. All TestMagic students who have scored over 700 on their GMAT (currently averaging approximately 90% of all on-site students) have gone through the Official Guide (affectionately known as the “OG”) two, three, four, even five times. This book is the bible of GMAT preparation.

Many people ask TestMagic why the OG is so important. They often want to save a few bucks and get by with the used books their friends have given them, or rely on the materials Kaplan or Princeton Review sell or offer in their courses. Not a wise decision.

The questions in the practice books are just not the same. Many of the practice books have mistakes and address topics that are not really related to what you will see on the GMAT. And some of the very well known books will actually lower score, if you follow what they say.

Furthermore, many of the practice books you can buy have lots of typos, some of the answers are transposed or just plain wrong. “Underground” GMAT materials are loaded with typos, typically at least two per page.

However, official GMAT questions are not like that–you will almost never be able to find fault with them (check out the TestMagic GMAT Forum for the skinny on some of the disputed questions).

The bottom line: TestMagic wouldn’t sell this book if it weren’t important.

This book is loaded with over 1,400 official GMAT questions that actually appeared on past GMAT’s, about 400 more than the 9th edition. Almost all of the questions that are in the 9th edition are also in the 10th edition, but a few have been taken out.

The book is divided into ten chapters:

Chapter 1: A overall, general description of the test.
Chapter 2: How to answer GMAT questions on the computer.
Chapter 3: A general review of math. Includes arithmetic, algebra, geometry, and word problems.

The next five chapters all follow the same format: Brief strategies for answering each type of question, actual questions, then the answers and explanations for these questions. Another minor difference between the 9th and 10th editions is that the 10th edition does not have all the answers on one or two pages; all the answers are contained in the explanations.

Chapter 4: 441 math questions, with basic strategies and explanations of each question
Chapter 5: 274 data sufficiency questions, with basic strategies and explanations of each question
Chapter 6: 285 reading comprehension questions, with basic strategies and explanations of each question
Chapter 7: 205 critical reasoning questions, including one example of a new type of question, the “boldface Critical Reasoning ” questions (question # 205, page 557), with basic strategies and explanations of each question
Chapter 8: 268 sentence correction questions, with basic strategies and explanations of each question
Chapter 9: A list of all the essay topics that will appear on your GMAT, with six samples of the essays, three samples for each type of essay. There are three samples of the Analysis of an Issue essay, with scores of 6 (the highest score), 4, and 2 and three samples of the Analysis of an Argument essay, also with scores of 6 (the highest score), 4, and 2.
Chapter 10: Information about scores, scaled scores, percentiles, etc.

Financial Markets & Corporate Strategy

Product Description
The authors began writing the First Edition of this textbook in early 1988. It took almost 10 years to complete this effort, because they did not want to write an ordinary textbook. Their goal was to write a book that would break new ground in both the understanding and explanation of finance and its practice. They wanted to write a book that would influence the way people think about, teach, and practice finance. A book that would elevate the level of discussion and analysis in the classroom, in the corporate boardroom, and in the conference rooms of Wall Street firms. They wanted a book that would sit on the shelves of financial executives as a useful reference manual, long after the executives had studied and received a degree. They were successful in their endeavor. The success of the first edition of Financial Markets and Corporate Strategy was very heartening. The market for this text has expanded every year, and it is well-known as the cutting edge textbook in corporate finance around the world. The book is used in a variety of courses, both for introductory courses and advanced electives. Some schools have even changed their curriculum to design it around this text. The authors have developed this Second Edition based on the comments of many reviewers and colleagues; producing what is a more reader-friendly book. The most consistent comment from users of the first edition was a request for a chapter on the key ingredients of valuation: accounting, cash flows, and basic discounting. This ultimately led to a new chapter in the text, Chapter 9, which is currently available in the “Sample Chapter” section of the book’s website. In almost every chapter, examples are updated, vignettes changed, numbers modified, statements checked for currency and historical accuracy, and exercises and examples are either modified or added to. The goal of the Second Edition is to make the book ever more practical, pedagogically effective, and current.
About the Author
Mark Grinblatt, University of California at Los Angeles, Ph.D. Yale Mark Grinblatt is Professor of Finance at UCLA’s Anderson School, where he currently serves as chair of the Finance area, and where he began his career in 1981. He is also a director on the board of Salomon Swapco, Inc., a consultant to numerous firms, and serves as an associate editor of Journal of Financial and Quantitative Analysis. From 1987 to 1989, Professor Grinblatt was a visiting professor at the Wharton School and while on leave from UCLA in 1989 and 1990, he was a vice-president for Salomon Brothers, Inc., valuing complex derivatives for the fixed income arbitrage trading group in the firm. Professor Grinblatt is a noted teacher at UCLA, having been awarded teacher of the year in 1993 for UCLA’s Fully-Employed MBA Program by a vote of the students. This award was based on his teaching of a course designed around early drafts of this textbook. Professor Grinblatt’s areas of expertise include investments, performance evaluation of fund managers, fixed income markets, corporate finance and derivatives.

Sheridan Titman, University of Texas at Austin, Ph.D. Carnegie Mellon Sheridan Titman holds the Walter W. McAllister Centennial Chair in Financial Services at the University of Texas. He is also a research associate of the National Bureau of Economic Research and a consultant to a number of firms. Professor Titman began his academic career in 1980 at UCLA, where he served as the department chair for the finance group and as the Vice Chairman of the UCLA management school faculty. He has designed executive education programs in corporate financial strategy at UCLA and the Hong Kong University of Science and Technology, based on material developed for this textbook. In the 1988-89 academic year Professor Titman worked in Washington, D.C., as the special assistant to Assistant Secretary of the Treasury for Economic Policy, where he analyzed proposed legislation related to the stock and future markets, leveraged buyouts and takeovers. Between 1992 and 1994, he served as a founding professor of the school of Business and Management at the Hong Kong University of Science and Technology, where his duties included the vice chairmanship of the faculty and chairmanship of the faculty appointments committee. From 1994 to 1997 he was the John J. Collins, S.J. Chair in International Finance at Boston College. Professor Titman’s areas of expertise include investments, performance evaluation of portfolio managers, corporate finance and real estate. He is an editor of the Review of Financial Studies and serves on the board of a number of other finance and real estate journals. He is a past director of the American Finance Association and a current director of the Asia Pacific Finance Association.

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