Kamis, 28 November 2013

[H456.Ebook] Fee Download Martina Una Cucarachita Muy Linda (Spanish Edition), by Carmen Agra Deedy

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Martina Una Cucarachita Muy Linda (Spanish Edition), by Carmen Agra Deedy

Que no se te olvide el café!
Martina Josefina Catalina Cucaracha es una cucarachita muy linda que no sabe nada del amor n [ni?] del matrimonio. Y, por eso, su familia cubana es muy importante: le hacen muchos regalos para hacerla más casadera. Pero su abuela es la única que le da algo verdaderamente útil: un consejo increíble.
¿Qué quieres que haga QUÉ?
Al principio Martina no está convencida de la estrategia de la abuela, pero cuando uno tras otro, ninguno de sus pretendientes pasa la prueba del café, Martina se pregunta si una cucarachita verde brillante puede encontrar el verdadero amor. Por fin queda solamente Pérez, el ratoncito jardinero. Pero, ¿qué va a ocurrir cuando Martina le ofrezca una taza de café cubano?
Después de leer esta original versión de un cuento tradicional cubano, y disfrutar de las vistosas ilustraciones de Michael Austin, nadie jamás volverá a mirar a las simples cucarachas del mismo modo.

In this retelling of the Cuban folktale, Martina the beautiful cockroach doesn t know coffee beans about love and marriage. That s where her Cuban family comes in. While some of the Cucarachas offer hergifts to make her more attractive, only Abuela, her grandmother, gives her something really useful: un consejo increíble, some shocking advice.

  • Sales Rank: #418770 in Books
  • Published on: 2010-03-01
  • Original language: Spanish
  • Number of items: 1
  • Dimensions: 9.98" h x .12" w x 11.52" l, .44 pounds
  • Binding: Paperback
  • 32 pages

Review
"A friendly sprinkling of Spanish words, warmly drawn relationships and a lot of puns all widen the audience for this spirited story." --Publishers Weekly

"Deedy's masterful retelling of this Latino folktale has a rollicking voice imbued with sly tongue-in-cheek humor…A scattering of Spanish words adds zest to this fine read-aloud." --Booklist

"Deedy's text sparkles with sly humor…The stunning acrylic illustrations are full of color, light, and humor…This wonderful book will delight children." --School Library Journal, March 2013

About the Author
Carmen Agra Deedy was born in Havana, Cuba, and emigrated to Georgia with her family during the aftermath of the Cuban Revolution. A professional storyteller, she has performed at the Disney Institute, on Broadway at the New Victory Theater, at the Folger Shakespeare Library, and the Kennedy Center, as well as many other storytelling festivals nationwide.

From AudioFile
Martina es una cucaracha joven y bonita que acaba de cumplir sus veinti��n d��as de vida y est�� preparada para buscarse un novio. Pero antes de aceptar a ninguno de sus pretendientes, la abuela de Martina tiene que darle un consejo importante y extra��o. As�� empieza este libro encantador basado en un cuento folkl��rico de Cuba. Este audiolibro en ambos espa��ol e ingl��s est�� narrado por la autora y es pura diversi��n desde la primera frase hasta la ��ltima. Sra. Deedy lee su historia con tanta gracia y talento que los lectores/oyentes querr��n escucharla otra y otra vez. Crea tantas voces vivaces y distintas que los oyentes reconocer��n a cada uno de los personajes sin necesidad de m��s que sus orejas! Este audiolibro con la actuaci��n excepcional de su autora proveer�� un rato agradable para toda la familia. J.A.G. Ganador del premio Odyssey Honor de 2009 [ENGLISH TRANSLATION]--Martina is a young and beautiful cockroach who has just reached 21 days of age and is getting ready to find herself a husband. But before she sees any of her many suitors, her grandmother needs to give her some important and very strange advice. So begins this lovely story, based on a Cuban folktale. This audiobook, read in both English and Spanish, is narrated by the author and is pure enjoyment from the first sentence to the last. Deedy reads her story with so much charm and talent that her readers will want to listen, and listen again, to this story. She creates so many lively and distinctive voices that her readers/listeners won't need more than their ears to recognize each of the characters! Families will enjoy the time they spend listening to this delightful audiobook and its author's exceptional performance. J.A.G., trans. L.R.P. 2009 Odyssey Honor © AudioFile 2009, Portland, Maine

Most helpful customer reviews

8 of 8 people found the following review helpful.
Delightful!
By S. Weiss
This book is wonderful! I can't wait to read it with my Adult ESL students. I know they will love it too, and maybe they'll read it to their children. It's fun to read, beautiful to look at, and so imaginative. Everyone should have such a wise and wonderful Abuela!!

9 of 10 people found the following review helpful.
Brilliance!
By Julia Tian
I absolutely love Deedy's rendition of this wonderful and unusual folktale. I had the opportunity to hear the author read it aloud to an audience and it was a magical experience. It is a hillarious story that practically everone can relate to. Deedy is phenomenal at telling stories from her heritage through perfectly crafted language. What a treat!

5 of 5 people found the following review helpful.
A Beautiful Folktale
By K. E Hart
I read this book to my class of first graders and they really loved it. We read it during character ed and talked about how some of the characters did not use self-control. The illustrations are gorgeous. I was a little worried about how the kids would react to the main character being a cockroach, but they just thought it was funny. I bought it because it was a Pura Belpré Medal award winner and I'm trying to have more multicultural books in the classroom.

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Rabu, 06 November 2013

[R992.Ebook] Download PDF Evaluating Research in Academic Journals 6th Sixth Edition Pyrczak, by Fred Pyrczak

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New, never used but to open once or twice

  • Sales Rank: #508387 in Books
  • Published on: 2013
  • Binding: Paperback

Most helpful customer reviews

0 of 1 people found the following review helpful.
All Hail Pyrczak!
By Mare2821
Great book for critiquing articles.. Pyrczak is an absolute genius and should be responsible for writing textbooks for all educational books. Great read. Straight to the point. Easy to understand and wonderful examples. Layout is awesome. Could not have been happier with this required book for my FNP nursing research course. Great Job Pyrczak. You made research fun and easy. And a big thank you to my university for making this a required buy. Well done to all involved.

0 of 0 people found the following review helpful.
Five Stars
By Inthira
Great!!

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Senin, 04 November 2013

[U131.Ebook] Download The Standard & Poor's Guide to Measuring and Managing Credit Risk, by Arnaud de Servigny, Olivier Renault

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The Standard & Poor's Guide to Measuring and Managing Credit Risk, by Arnaud de Servigny, Olivier Renault

Today's most complete, up-to-date reference for controlling credit risk exposure of all types, in every environment

Measuring and Managing Credit Risk takes you far beyond the Basel guidelines to detail a powerful, proven program for understanding and controlling your firm’s credit risk. Providing hands-on answers on practical topics from capital management to correlations, and supporting its theories with up-to-the-minute data and insights, this authoritative book examines every key aspect of credit risk, including:

  • Determinants of credit risk and pricing/spread implications
  • Quantitative models for moving beyond Altman’s Z score to separate “good” borrowers from “bad”
  • Key determinants of loss given default, and potential links between recovery rates and probabilities of default
  • Measures of dependency including linear correlation, and the impact of correlation on portfolio losses
  • A detailed review of five of today’s most popular portfolio models―CreditMetrics, CreditPortfolioView, Portfolio Risk Tracker, CreditRisk+, and Portfolio Manager
  • How credit risk is reflected in the prices and yields of individual securities
  • How derivatives and securitization instruments can be used to transfer and repackage credit risk

Today’s credit risk measurement and management tools and techniques provide organizations with dramatically improved strength and flexibility, not only in mitigating risk but also in improving overall financial performance. Measuring and Managing Credit Risk introduces and explores each of these tools, along with the rapidly evolving global credit environment, to provide bankers and other financial decision-makers with the know-how to avoid excessive credit risk where possible―and mitigate it when necessary.

  • Sales Rank: #344865 in Books
  • Published on: 2004-05-05
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.10" h x 1.55" w x 6.30" l, 1.78 pounds
  • Binding: Hardcover
  • 388 pages

From the Back Cover

State-of-the-art tools and techniques for controlling credit risk exposure of all types, in every environment

The oldest risk in world financial markets--credit risk--has become a leading source of problems and confusion, not just for bankers and investors but for all finance professionals. The Standard & Poor's Guide to Measuring and Managing Credit Risk will help you understand every aspect of credit risk, and provide you with today's most up-to-date techniques and models for identifying, measuring, monitoring, and controlling your organization's credit risk exposure.

Praise for The Standard & Poor's Guide to Measuring and Managing Credit Risk:

"de Servigny and Renault have written a valuable reference book on the analytics of credit markets.  Theory and data are integrated seamlessly throughout the manuscript.  The mathematical treatment is complete, though not overbearing. The economics, pricing, structuring and capital allocation aspects are artfully combined into a coherent whole."

--Jamil Baz, Global Head of Fixed Income Research, Deutsche Bank

"This is much more than just a 'how to' book--it is analytically complete in that it looks at the microeconomics of industry structure to understand why credit risks have to be measured and monitored as well as being comprehensive in covering all the different approaches used to monitor and measure credit risk."

--Bunt Ghosh, Global Head of Fixed Income Research, Credit Suisse First Boston

"This extensive work, really clear while dealing with sophisticated methodologies, is right in the heart of today's concerns."

--Jean-Pierre Mustier, CEO, SG Corporate and Investment Banking

"de Servigny and Renault provide a comprehensive treatment of all aspects of modern credit risk measurement, management, and mitigation, not only for large corporations but also for retail and small business (with an excellent chapter on credit scoring). This book is an absolute must for both academics and risk professionals, especially those struggling with the implementation of Basel II."

--Michel Crouhy, Head of Business Analytic Solutions, Canadian Imperial Bank of Commerce

Fast-changing regulations, transformative technologies, and today's go-for-broke business mentality present investment banks and other lenders with default problems that are both unprecedented and daunting. To keep pace with this change, finance professionals are finding they must continually review and upgrade their credit risk management tools and techniques.

The Standard & Poor's Guide to Measuring and Managing Credit Risk takes you far beyond the Basel guidelines to detail a powerful, proven program for understanding and controlling your firm's credit risk. Providing hands-on answers on practical topics from capital management to correlations, and supporting its theories with discerning data and insights, this authoritative book examines every key aspect of credit risk, including:

  • Determinants of credit risk and pricing/spread implications
  • Quantitative models for moving beyond Altman's Z score to separate "good" borrowers from "bad"
  • Key determinants of loss given default, and potential links between recovery rates and probabilities of default
  • Measures of dependency including linear correlation, and the impact of correlation on portfolio losses
  • A detailed review of five of today's most popular portfolio models--CreditMetrics, CreditPortfolioView, Portfolio Risk Tracker, CreditRisk+, and Portfolio Manager
  • How credit risk is reflected in the prices and yields of individual securities
  • How derivatives and securitization instruments can be used to transfer and repackage credit risk

Today's credit risk measurement and management tools and techniques provide organizations with dramatically improved strength and flexibility, not only in mitigating risk but also in improving overall financial performance. The Standard & Poor's Guide to Measuring and Managing Credit Risk introduces and explores each of these tools, along with the rapidly evolving global credit environment, to provide bankers and other financial decision-makers with the know-how to avoid excessive credit risk where possible--and mitigate it when necessary.

About the Author

Arnaud de Servigny, Ph.D., is the head of Quantitative Analytics for Standard & Poor's. A popular speaker at conferences and seminars throughout Europe, de Servigny is the author of a number of books and articles on finance and credit risk.

Olivier Renault, Ph.D., works in portfolio modeling in the quantitative analytics and products team for Standard & Poor's Risk Solutions. Prior to joining Standard and Poor's, Olivier was a lecturer on finance at the London School of Economics where he taught derivatives and risk.

Most helpful customer reviews

4 of 4 people found the following review helpful.
Much more details desired
By cq
Only read chapter 3 "Default Risk: Quantitative Methodologies" as part of FRM curriculum - so the comments below are only limited to that.

The text was not clearly written. The x-axis ans y-axis of many charts are left for readers to guess themselves. Some typos make it confusing. The book is not for you if you want to understand the details and start following some of these quantitative methods. May have some value for a survey of the area of credit risk measurement and management.

17 of 19 people found the following review helpful.
a complete, robust and comprehensive valuable resource!
By A Customer
In Measuring and Managing Credit Risk, the authors provided a robust, complete and comprehensive treatment of several aspects of modern credit risk measurement and management. Written by two high talented practitioners, this book will become certainly a reference both for academics and practitioners thanks to its careful treatment of several not so known empirical issues which practitioners have to face everyday. At the same time, do not consider the book as a new recipes book for managing credit risk. Both authors already proved their deep knowledges of financial theory and establish once again, through this book, how advanced knowledges of theory combined with significant practical experience make leading researches. As a PhD candidate in Finance, actually writing on credit risk, I definitively adopted this book and higly recommend it for anyone dealing with credit risk issues either through a practical experience or through a theoritical work.

1 of 1 people found the following review helpful.
Very good book on credit risk
By George
It is a very thorough yet not overloading book. It is more about the essence of credit risk rather than about regulation Although there is a part on regulation, some parts of it are outdated as it supposed to be - regulation is changing. The essence stays the same.

Authors achieved a very good balance between mathematical and descriptive parts. Some heavy math is put in Appendices, which makes it really easy to read the book while choosing where you want to go into depth.
Summaries and side-by-side comparisons of different models are just wonderful.
Correlations issues are properly addressed.

This book was and is a great help to me.

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