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    • Sales Rank: #627208 in Books
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    • Original language: English
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    • 234 pages

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    Jumat, 22 November 2013

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    • Statistical Methods: A Worktext Approach uses a student-friendly, conversational tone to explain core statistical concepts in a way that students can readily understand.

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    • Sales Rank: #910259 in Books
    • Published on: 2010-01-03
    • Original language: English
    • Number of items: 1
    • Dimensions: 10.90" h x .80" w x 8.40" l, 1.54 pounds
    • Binding: Paperback
    • 242 pages

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    Scholars of the U.S. House disagree over the importance of political parties in organizing the legislative process. On the one hand, non-partisan theories stress how congressional organization serves members' non-partisan goals. On the other hand, partisan theories argue that the House is organized to serve the collective interests of the majority party. This book advances a partisan theory and presents a series of empirical tests of that theory's predictions (pitted against others). The evidence demonstrates that the majority party seizes agenda control at nearly every stage of the legislative process in order to prevent bills that the party dislikes from reaching the floor.

    • Sales Rank: #596157 in Books
    • Brand: Brand: Cambridge University Press
    • Published on: 2005-09-12
    • Original language: English
    • Number of items: 1
    • Dimensions: 9.21" h x .75" w x 6.14" l, 1.10 pounds
    • Binding: Paperback
    • 352 pages
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    Review
    "In this follow up to their previous work on congressional parties, Cox and McCubbins have made a major contribution to the scientific understanding of Congress. The theoretical argument is tightly reasoned and persuasive, and the evidence is extensive and convincing. Setting the Agenda will be widely adopted in courses and will shape the research agendas of other scholars for years to come." David Rohde, Michigan State University

    "This is a majestic book on Congress. Cox and McCubbins provide a new approach to the most important questions in the field: Why is Congress organized as it is? What is the role of parties in Congress? What do congressional leaders do? What does the Rules Committee do? Moreover, this book seeks to reinterpret critical moments in congressional history, such as the Reed Rules in 1890 and the era of the so-called "textbook Congress" of the mid-twentieth century. This book succeeds on every dimension. Given the controversies in this literature, it will be read by every student of Congress." Barry Weingast, Stanford University

    "Setting the Agenda is a remarkable achievement. It responds with impressive historical sweep to more than a decade of research on parties in Congress, and it significantly advances our theoretical understanding of why parties matter. This work will itself set the agenda for scholarship on Congress and its parties in the years to come." Sarah Binder, George Washington University

    "Another Cox and McCubbins masterpiece. Building on the theory in Legislative Leviathan of why parties form, Setting the Agenda explains why and how parties matter. By controlling the agenda party leaders can stop policies their members do not like and can ensure party discipline by preventing votes on issues on which their members have conflicting opinions. This has implications beyond the US Congress, for understanding politics and policy-making in parliaments throughout the democratic world." Simon Hix, London School of Economics and Political Science

    "Cox and McCubbins make a powerful case for viewing agenda control as a persistent and fundamental dimension of party influence in the modern U.S. Congress. Even readers who may not be persuaded that this mode of analysis captures the full range of contributions parties and leaders make to congressional politics will benefit from a close reading of this study." - Randall Strahan, Emory University

    About the Author
    Gary W. Cox is a professor of political science at the University of California, San Diego. In addition to numerous articles in the areas of legislative and electoral politics, he is author of The Efficient Secret (winner of the Samuel H. Beer dissertation prize in 1983), coauthor of Legislative Leviathan (winner of the Richard F. Fenno Prize in 1993), and author of Making Votes Count: Strategic Coordination in the World's Electoral Systems (1997), which was awarded APSA's awards for the best book in political science (Woodrow Wilson Foundation Award), the best book in comparative politics (Gregory Luebbert Prize), and for the best book in political economy. His latest book, Elbridge Gerry's Salamander, analyzes the political consequences of the reapportionment revolution in the United States. Cox is a former Guggenheim Fellow and was elected to the American Academy of Arts and Sciences in 1996.

    Mathew D. McCubbins is a professor of political science at the University of California, San Diego. His authored works include Legislative Leviathan: Party Government in the House (1993); Under the Watchful Eye: Managing Presidential Campaigns in the Television Era (1992); Recent co-edited books include The Origins of Liberty: Political and Economic Liberalization in the Modern World (1997); and Elements of Reason: Cognition, Choice, and the Bounds of Rationality (2000). His most recent book is Stealing the Initiative: How State Government Responds to Direct Democracy (2001) with Elisabeth Gerber, Arthur Lupia, and D. Roderick Kiewiet. McCubbins is also the author of numerous articles in journals such as Legislative Studies Quarterly; Journal of Law, Economics, and Organization; Law and Contemporary Problems; and the American Journal of Political Science. He is the coordinator of the Law and the Behavioral Sciences Project and was a Fellow at the Center for Advanced Study in the Behavioral Sciences for 1994-95.

    Most helpful customer reviews

    0 of 0 people found the following review helpful.
    A new look at parties
    By Arnold
    This book is really aimed at pushing the procedural cartel theory of political parties, which basically argues that parties are organized in order to monopolize the rules of the legislature, not exclusively to win votes or pass substantive bills. The authors use a mix of game theoretic models and anecdotes to drive their point. Definitely a contribution to the Congress literature.

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    • Sales Rank: #5884355 in Books
    • Published on: 1969
    • Binding: Comic
    • 28 pages

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    • Sales Rank: #2493414 in Books
    • Published on: 2015-11-25
    • Original language: English
    • Number of items: 1
    • Dimensions: 8.50" h x .46" w x 5.50" l, .52 pounds
    • Binding: Paperback
    • 182 pages

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    1 of 1 people found the following review helpful.
    I highly recommend this read to anyone interested in perspectives outside the ...
    By Tabitha Wells
    Kat Argo’s second book, Donbas Unfiltered, is yet another work of incredible stature from her. While Shadow of the Bear walked us through many of her experiences passing through Ukraine during the civil war, Donbas Unfiltered gives us further insight into the Pro-Russian Separatists, and what has led them to where they stand.

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    Her sense of humour, mixed with the raw truths of the situations, people and experiences she encountered during her time with the Pro-Russian Separatists provides another perspective to the stories we often see through Western Media.

    Once again, I highly recommend this read to anyone interested in perspectives outside the media on the situation in Ukraine.

    0 of 2 people found the following review helpful.
    Not much here
    By IAK
    Kat Argo is no Ryzard Kapuscynski.

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    Sabtu, 16 November 2013

    [Y419.Ebook] PDF Download Signaling System #7, Sixth Edition, by Travis Russell

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    Thoroughly updated to cover the latest advances in the telecommunications industry, Signaling System # 7, Sixth Edition, addresses the impact of emerging technologies and applications, such as Long Term Evolution (LTE) and 4G networks, on SS7. An all-new chapter on Diameter discusses how to successfully implement SS7-to-Diameter interfaces to bridge 3G and 4G networks. Real-world examples, protocol message details, call flows, and effective migration strategies are included in this practical guide.

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    • Sales Rank: #993307 in eBooks
    • Published on: 2014-08-12
    • Released on: 2014-08-12
    • Format: Kindle eBook

    About the Author

    Travis Russell is a technologist with Oracle Communications and the author of Session Initiation Protocol (SIP), The IP Multimedia Subsystem (IMS), and Telecommunications Protocols

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    Punishment is a topic of increasing importance for citizens and policymakers. Why should we punish criminals? Which theory of punishment is most compelling? Is the death penalty ever justified? These questions and many others are addressed in this highly engaging guide.

    Punishment is a critical introduction to the philosophy of punishment, offering a new and refreshing approach that will benefit readers of all backgrounds and interests. The first critical guide to examine all leading contemporary theories of punishment, this book explores – among others – the communicative theory of punishment, restorative justice, and the unified theory of punishment. Thom Brooks examines several case studies in detail, including capital punishment, juvenile offending, and domestic abuse. Punishment highlights the problems and prospects of different approaches in order to argue for a more pluralistic and compelling perspective that is novel and groundbreaking.

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    • Sales Rank: #1054222 in Books
    • Brand: Brand: Routledge
    • Published on: 2013-01-12
    • Original language: English
    • Number of items: 1
    • Dimensions: 9.00" h x 6.00" w x 1.00" l, .0 pounds
    • Binding: Paperback
    • 296 pages
    Features
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    Review

    "Lucid, fair-minded, and well-informed, Thom Brooks’ Punishment offers a superb introduction to a complex and contentious subject. Many a perplexed student will find illumination in his patient discussion of each of the leading theories. The way Brooks shows their interconnectedness and application in practice – to capital punishment, juvenile offenders, domestic violence, and the like – will interest not only students but scholars as well."

    ―Stuart P. Green, Distinguished Professor of Law and Nathan L. Jacobs Scholar, Rutgers School of Law

     "As a topic in moral and political philosophy, punishment has been jolted back to life. In the last quarter century, retribution has returned with a vengeance, both in the theoretical literature and (with a very different emphasis) in public policy. The rise of the victim as a player in the criminal justice system has also fuelled a counter-trend, placing an emphasis on redress. Human rights, privatization, globalization, the rise of the therapist, the lobbyist, the terrorist: all have affected our ways of punishing and of thinking about punishment. A new survey of the terrain is overdue. And who better to conduct it than Thom Brooks, whose grasp of the literature and feel for the issues is second to none? From the noble ideals of ‘communicative’ theory to the grim realities of children in prison: in Punishment Brooks covers it all with insight, rigour, and energy."

    ―John Gardner, Professor of Jurisprudence, University of Oxford

     "Thom Brooks has produced a valuable introduction to, and critical survey of, current theoretical approaches to punishment together with an analysis of their implications for practice. In addition, he has provided a spirited defence of a new, unified theory inspired by the British Idealists and encompassing retributive, consequentialist, and restorative elements. Written in a lucid and engaging style, the book will interest a wide range of readers – students, theorists of punishment, as well as those engaged in criminal justice policy."

    ―Alan Brudner, Albert Abel Professor Emeritus, Faculty of Law, University of Toronto

    "Thom Brooks’ Punishment is a rare thing: a book about a complex and important topic that is both of interest for experts and accessible to non-experts."

    ―Andrew Cornford, Lecturer in Criminal Law, The University Of Edinburgh, in Criminal Law and Criminal Justice Books.

    "This book has the ability to speak to a wide audience about the theoretical and practical issues surrounding the discussion of punishment. It’s illustration of the application of general and hybrid theories to case studies of different types of crime allows the reader to understand how such theories can be applied and discussed in practice in contemporary western society." ― Helen Nichols, Prison Service Journal

    About the Author
    Thom Brooks is Professor of Law and Government & Associate in Philosophy at Durham University. He is the editor and founder of the Journal of Moral Philosophy.

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    3 of 3 people found the following review helpful.
    Interesting, often novel, and useful (4.5 stars)
    By A Reader
    Thom Brooks' book _Punishment_ is an interesting, often novel, and very useful contribution to the philosophical literature on punishment. It is useful both in its clear and fair discussion of rival theories and approaches to punishment, and in its discussion of how Brooks' own "unified" theory of punishment would apply, and have practical implication, in a number of areas of criminal law. (Brooks considers capital punishment, juvenile offenders, domestic abuse, and sexual crimes.) Much legal philosophy, even philosophy of criminal law, is quite abstract, so it was useful and interesting to see Brooks apply his account to concrete and important problems, including some that are often overlooked by philosophers. This is perhaps especially likely to make the book attractive to students, but its of use to "professionals", too.

    Three aspects of the book stuck out to me as particularly novel and interesting. First, Brooks' own account of punishment, his so-called "unified theory". This is distinct from traditional retributivist and deterrence approaches, and attempts to include aspects of both, as well as other desirable elements. I'll admit that I wasn't completely convinced that the approach worked, but it's an important new view that should be considered by people working in the field. The second novel element was the use of ideas drawn from the British Idealists. This once-dominant school of thought was largely forgotten for several decades, but is now making a come-back, with many important philosophers drawing on and making use of their work. Brooks is a leader in this area, and this book makes an important contribution to the claim for continuing relevance for the British Idealists. Finally, and most interestingly to me, Brooks develops a notion of "stakeholding" that he uses to explain how punishment theory fits into a larger political theory. As he says, "The idea of a the stakeholder society is the idea that each individual citizens believes he or she has some significant stake in the political community and its continuation." This idea, which is at least partially distinct from Brooks' "unified theory" of punishment, suggests an important way to think about the function and goal of punishment and the criminal law in general. I think it is likely to be highly fruitful and useful for people working in the field, whether they accept Brooks' larger view or not.

    The book isn't perfect, and if it were possible on Amazon I'd give it 4.5 starts. Most of my complaints are minor. The discussion of Hart and Rawls is generally very good, though I' m not convinced it gives quite the right weight to some distinctions Hart makes. (I think almost no one gets this quite right, so it's not a big drawback here.) While the discussion of restorative justice was very interesting and moved the debate further, I wasn't convinced that the potential serious drawbacks of community involvement were taken as seriously as I would have liked them to be. But, these are relatively minor flaws in a book that is fairly short. It's a very well done work deserving of serious consideration by both students and punishment theory professionals.

    2 of 2 people found the following review helpful.
    An Indispensable Work on the Topic of Punishment
    By V. Alan White
    Thom Brooks is an Anglo-American philosopher of law and politics at Durham University in the United Kingdom who seeks in his work to exemplify the very best of academia both in scholarly excellence and practical impact. This book superbly embodies both. This monograph on the judicial concept of punishment is a model of spare and clear prose allied with carefully constructed and richly cited reasoning as well as a nuanced pronouncement on the topic that deserves careful study by those involved in constructing public policy and the judiciary itself. As someone involved with the law community (I serve on a district committee of the Wisconsin Office of Lawyer Regulation) I have recommended it to lawyers and bench judges with good feedback. It is an excellent book on the meaning of the applications of punishment, and deserves to be cast centrally in the ongoing debate of the concept of punishment and its function in society.

    After a thorough introduction to the topic of the book, wherein Brooks wisely embraces a broad definition of punishment as "the response to crime," he deftly surveys the classic theories of punishment in scholarly and critical detail. Retributive, deterrent, rehabilitative, expressivist, and restorative theories are considered, along with one of his own, which he dubs "a unified theory of punishment," recently recognized by Research Councils UK as one of the 100 "Big Ideas" for the future. The rest of the book carefully compares and contrasts the various theories against some of the thorniest kinds of cases of punishment: capital punishment, juvenile offenders, domestic abuse, and sexual crimes (sexual assault on adults and children). This latter portion of the book is particularly relevant to discussions of punishment as a matter of public policy as it is bolstered by plentiful references to empirical data to support various points and criticisms. Certainly the backbone strength of this book is that while it is a detailed and sweeping philosophical examination of its topic, it always remains in touch with real-life data to constrain speculation.

    Brooks' unified theory deserves special consideration by the reader. He is careful to distinguish it from hybrid views that attempt to combine various classic theories and defends it from the charge it is merely a pragmatic hodgepodge of different goals of punishment. Its inspiration is from diverse sources, including Hegel, the British Idealists, and particularly the American Law Institute's Model Penal Code of 1962 (and as revised later). What the unified theory attempts to do is provide a sorely-lacking theoretical support structure for the Model Code that complies closely with many of its recommendations. One important part of that theoretical structure is an emphasis on restorative justice, wherein all "stakeholders" in criminal justice--victims, offenders, and the public--attempt by a form of contractual agreement to restore damaged, disregarded, or obliterated individual rights, which Brooks places at the center of the concept of what constitutes criminal action. While restorative justice does have various difficulties (particularly heinous crimes, incorrigible offenders, victims unwilling to participate in the process, etc.), Brooks makes a good case that these can be overcome in many cases. He also makes a strong case (again backed with data) that sheerly in terms of economic costs an emphasis on restorative justice might steer many countries, particularly the US, away from the disastrous investment in prisons they are now making to house burgeoning numbers of long-term inmates. (Aside: my own state of Wisconsin presently spends more on prisons than on higher education, which is very alarming.)

    Besides the obvious audience for this book--lawmakers, judges, lawyers and philosophers of law and students of such--another important group of readers I strongly recommend for this book is one I'm deeply involved in--philosophers and neuroscientists involved in action and free will theory. Too often discussions of human action in relation to moral and criminal activity are simply unaware of theories and positions on juridical responsibility and punishment beyond well-known ones like retributivism and deterrence. This excellent work will go a long way toward remedying that deficiency.

    1 of 2 people found the following review helpful.
    Punishment could be a good book, but it isn't
    By Greg
    Punishment could be a good book, but it isn't there yet. On the positive side, it does provide an accessible overview of philosophical theories of punishment. It also provides an insightful gloss on four case studies that are well worth considering. The discussion of stakeholders is very good, and sheds light on the problems that face policy-makers, and how policy can be irrational. In my view, this is the strongest aspect of the book. It is also a plus that Brooks is versed in both philosophy and public policy.

    On the other hand, the level of argument is often rather glib. The discussion of retributivism is far too brief. Kant is mentioned almost parenthetically. Mill's critique is treated as a "common confusion" rather than a serious argument. Of course it is just an introduction but perhaps retribution deserves two chapters?

    The chapter on Feinberg & Duff leaves the reader wondering why these views have attracted so much attention.

    Brooks' "Unified Theory," is astoundingly vague and fails to express any genuine theory of punishment, at least as stated. The unifying aspect is that the word "rights" enters into any justification. Hence, punishment is justified when it is punitively proportionate to the rights violation (retribution), or when it deters future rights violations (deterrence), or when it is restorative of community rights (restorative justice), or rehabilitates the criminal into a rights-respecting citizen (rehabilitation theory). Is this a unified theory? Why not just accept value pluralism?


    Nor is it at all clear that rights are always relevant. Brooks argues, contra Feinberg, that parking fines are a form of punishment, but he never explains how failing to deposit another dime in a timely manner violates anyone's rights. The theory implies that punishing victimless crime is unjust. I know some folks who would argue for this claim, but one would still think an argument in order, especially for mala prohibita crime.

    Finally, the book is premised on the claim that all punishment is legal punishment. Talk of parents "punishing" a child, or whatnot, is loose speech or metaphor. Brooks warns that such cases can distort our intuitions about legal punishment. But even if this is true, one could distinguish between legal and nonlegal punishment. Further, there is often much we can learn from our nonlegal intuitions, especially concerning our desire to punish -- a topic not often touched on in this book. "Mom, will I be punished for this?" "No, dear, you will not be actually punished -- you'll only be `punished' in the metaphorical sense of being beaten and getting no dinner." This move might beg the question against retribution or Jean Hampton.

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    Multifractal Volatility: Theory, Forecasting, and Pricing (Academic Press Advanced Finance), by Laurent E. Calvet, Adlai J. Fisher

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    Multifractal Volatility: Theory, Forecasting, and Pricing (Academic Press Advanced Finance), by Laurent E. Calvet, Adlai J. Fisher

    Calvet and Fisher present a powerful, new technique for volatility forecasting that draws on insights from the use of multifractals in the natural sciences and mathematics and provides a unified treatment of the use of multifractal techniques in finance. A large existing literature (e.g., Engle, 1982; Rossi, 1995) models volatility as an average of past shocks, possibly with a noise component. This approach often has difficulty capturing sharp discontinuities and large changes in financial volatility. Their research has shown the advantages of modelling volatility as subject to abrupt regime changes of heterogeneous durations. Using the intuition that some economic phenomena are long-lasting while others are more transient, they permit regimes to have varying degrees of persistence. By drawing on insights from the use of multifractals in the natural sciences and mathematics, they show how to construct high-dimensional regime-switching models that are easy to estimate, and substantially outperform some of the best traditional forecasting models such as GARCH. The goal of their book is to popularize the approach by presenting these exciting new developments to a wider audience. They emphasize both theoretical and empirical applications, beginning with a style that is easily accessible and intuitive in early chapters, and extending to the most rigorous continuous-time and equilibrium pricing formulations in final chapters.

    · Presents a powerful new technique for forecasting volatility
    · Leads the reader intuitively from existing volatility techniques to the frontier of research in this field by top scholars at major universities.
    · The first comprehensive book on multifractal techniques in finance, a cutting-edge field of research

    • Sales Rank: #1575974 in Books
    • Published on: 2008-09-16
    • Original language: English
    • Number of items: 1
    • Dimensions: 9.02" h x .63" w x 5.98" l, 1.25 pounds
    • Binding: Hardcover
    • 272 pages

    Review
    Advance Praise for Multifractal Volitility

    “I thoroughly enjoyed reading the book and highly recommend it. The authors masterfully present their work on the Markov-Switching Multifractal model and its implications for Asset Pricing. This is a wonderful contribution to the field of Financial Economics.”
    -Ravi Bansal, J.B. Fuqua Professor of Finance, Duke University Durham, NC

    “I have always been intrigued by the multi-fractal approach to volatility modeling, forecasting and pricing pioneered by Calvet and Fisher. This book does a wonderful job in gathering together all of the fundamental ideas and results in a coherent framework, and I highly recommend it to anybody interested in learning more about these novel techniques and how they compare to the more traditional GARCH and stochastic volatility based modeling procedures.”
    -Tim Bollerslev, Juanita and Clifton Kreps Professor of Economics, Duke University, NC

    “This starkly original work defines a key part of the research frontier, developing a ‘multifractal’ perspective on volatility that unifies regime-switching and long memory, in discrete and continuous time, univariate and multivariate. Simultaneously and astonishingly, it is of immediate practical relevance for asset management, asset pricing and risk management. This book is required reading, for academics and practitioners alike.”
    -Francis X. Diebold, J.M. Cohen Professor of Economics, University of Pennsylvania

    "Calvet and Fisher have fashioned the definitive treatment of multi-fractal models of return volatility. Since Mandelbrot first challenged the standard paradigm, evidence supporting the parsiomony and flexibility of the multifractal approach has accumulated. Calvet and Fisher are uniquely positioned to finally unify this progress, much of which is based on their own research. The result is masterful and convincing, particularly for capturing return risk over multiple time horizons. I highly recommend their book."
    -Darrell Duffie, Dean Witter Distinguished Professor of Finance, Stanford University, CA

    “This book offers a unified treatment of multifractal volatility, a remarkable approach developed by the authors in a series of earlier papers. The idea is to capture in a single, coherent framework the set of observed features of financial data, whether seen as “jumps” in continuous-time models, “fat tails” in data discretely sampled over short intervals, different characterizations of volatility persistence over intermediate and long horizons, and nonlinearities and skewness in the conditional distributions. The underlying framework is a Markov-switching model with a very large number of different regimes, with the nature of different regimes summarized by a much smaller set of parameters. The book provides an excellent illustration of just how successful this flexible yet parsimonious approach can be in terms of describing a wide variety of the characteristics of financial time series.”
    -James Hamilton, Professor of Economics, University of California, San Diego

    “Calvet and Fisher provide a valuable and thorough development of a novel class of models of financial market volatility. The methods and models exposited so nicely in their book should be part of the toolkit of researchers interested in understanding and characterizing the stochastic nature of volatility fluctuations. Their book is simultaneously accessible and complete. It shows how to use these models in practice, and it provides a rigorous foundation for their application.”
    -Lars Hansen, Livingston Distinguished Service Professor, University of Chicago, IL

    “Volatility is a central concern of modern financial econometrics, challenging econometricians to build plausible models and practical methods of inference. Calvet and Fisher draw together the ingredients of a promising new research agenda, integrating a decade of work on multifractal modeling into a masterful overview of the field of volatility, demonstrating the advantages of Markov switching multifractals in aggregating components of differing persistence and showing us how rare events need not be studied in isolation as curiosa. A compelling read for financial theorists and practitioners.”
    -Peter C. B. Philips, Sterling Professor of Economics & Statistics, Yale University, CT

    “To accommodate the high persistence and variability of volatility in financial time series, Calvet and Fisher developed the class of Markov-Switching Multifractal models. This book, which summarizes ten years of their research, is of great interest to researchers in asset pricing and essential reading for practitioners working on risk management or volatility forecasting.”
    -Jose Scheinkman, Theodore Wells '29 Professor of Economics, Princeton University, NJ

    From the Back Cover
    Advance Praise for Multifractal Volitility

    “I thoroughly enjoyed reading the book and highly recommend it. The authors masterfully present their work on the Markov-Switching Multifractal model and its implications for Asset Pricing. This is a wonderful contribution to the field of Financial Economics.”
    -Ravi Bansal, J.B. Fuqua Professor of Finance, Duke University Durham, NC

    “I have always been intrigued by the multi-fractal approach to volatility modeling, forecasting and pricing pioneered by Calvet and Fisher. This book does a wonderful job in gathering together all of the fundamental ideas and results in a coherent framework, and I highly recommend it to anybody interested in learning more about these novel techniques and how they compare to the more traditional GARCH and stochastic volatility based modeling procedures.”
    -Tim Bollerslev, Juanita and Clifton Kreps Professor of Economics, Duke University, NC

    “This starkly original work defines a key part of the research frontier, developing a ‘multifractal’ perspective on volatility that unifies regime-switching and long memory, in discrete and continuous time, univariate and multivariate. Simultaneously and astonishingly, it is of immediate practical relevance for asset management, asset pricing and risk management. This book is required reading, for academics and practitioners alike.”
    -Francis X. Diebold, J.M. Cohen Professor of Economics, University of Pennsylvania

    "Calvet and Fisher have fashioned the definitive treatment of multi-fractal models of return volatility. Since Mandelbrot first challenged the standard paradigm, evidence supporting the parsiomony and flexibility of the multifractal approach has accumulated. Calvet and Fisher are uniquely positioned to finally unify this progress, much of which is based on their own research. The result is masterful and convincing, particularly for capturing return risk over multiple time horizons. I highly recommend their book."
    -Darrell Duffie, Dean Witter Distinguished Professor of Finance, Stanford University, CA

    “This book offers a unified treatment of multifractal volatility, a remarkable approach developed by the authors in a series of earlier papers. The idea is to capture in a single, coherent framework the set of observed features of financial data, whether seen as “jumps” in continuous-time models, “fat tails” in data discretely sampled over short intervals, different characterizations of volatility persistence over intermediate and long horizons, and nonlinearities and skewness in the conditional distributions. The underlying framework is a Markov-switching model with a very large number of different regimes, with the nature of different regimes summarized by a much smaller set of parameters. The book provides an excellent illustration of just how successful this flexible yet parsimonious approach can be in terms of describing a wide variety of the characteristics of financial time series.”
    -James Hamilton, Professor of Economics, University of California, San Diego

    “Calvet and Fisher provide a valuable and thorough development of a novel class of models of financial market volatility. The methods and models exposited so nicely in their book should be part of the toolkit of researchers interested in understanding and characterizing the stochastic nature of volatility fluctuations. Their book is simultaneously accessible and complete. It shows how to use these models in practice, and it provides a rigorous foundation for their application.”
    -Lars Hansen, Livingston Distinguished Service Professor, University of Chicago, IL

    “Volatility is a central concern of modern financial econometrics, challenging econometricians to build plausible models and practical methods of inference. Calvet and Fisher draw together the ingredients of a promising new research agenda, integrating a decade of work on multifractal modeling into a masterful overview of the field of volatility, demonstrating the advantages of Markov switching multifractals in aggregating components of differing persistence and showing us how rare events need not be studied in isolation as curiosa. A compelling read for financial theorists and practitioners.”
    -Peter C. B. Philips, Sterling Professor of Economics & Statistics, Yale University, CT

    “To accommodate the high persistence and variability of volatility in financial time series, Calvet and Fisher developed the class of Markov-Switching Multifractal models. This book, which summarizes ten years of their research, is of great interest to researchers in asset pricing and essential reading for practitioners working on risk management or volatility forecasting.”
    -Jose Scheinkman, Theodore Wells '29 Professor of Economics, Princeton University, NJ

    About the Author
    By Laurent E. Calvet and Adlai J. Fisher

    Most helpful customer reviews

    15 of 15 people found the following review helpful.
    Great source on state-of-the-art volatility modeling in Finance
    By N. Tuzov
    This book reflects a significant step in volatility modeling with a clear focus on financial applications. It offers a nice combination of theoretical results combined with fitting the corresponding models to real financial data.

    From a practical point of view, it has been long known that (log) asset prices are not adequately described by Brownian Motion (BM) or Fractional BM. For instance, take the fact that typically, low-frequency (weekly or monthly) return distribution has much thinner tails than high-frequency (daily or hourly) return distribution. Such absence of "self-similarity" across frequencies is not consistent with BM or Fractional BM.

    To capture this effect (among many others), they propose to model the (log) asset price as a Multifractal Process. Such process is characterized by so-called "scaling function" which can be estimated from the data. One may think of Multifractal Processes as an extended class of stochastic processes that includes self-similar BM / Fractional BM. In particular, for self-similar processes the scaling function has to be linear. However, estimations based on real currency and equity data (see Chapter 8) do not produce a linear scaling function. Therefore, the hypothesis of self-similarity (also called "unifractality") of the (log) asset price doesn't hold.

    Apparently, the limitations of self-similar processes have been known for a while, and many popular volatility models (such as GARCH or FIGARCH) address them to a certain degree. However, numerical results show that the Multifractal Model is a better fit to the data in terms of scaling function.

    In practice, the multifractal approach is implemented as so-called Markov-Switching Multifractal model (MSM) in discrete time. Markov-Switching models (pioneered by Hamilton, see Time Series Analysis) are based on the idea is that volatility (and possibly drift) are dependent on the unobserved state variable that follows a Markov process. MSM extends that idea by imposing certain restrictions on the transition matrix, thus reducing the dimensionality. The physical meaning of the restrictions is that different economic factors (technology shocks, business cycles, liquidity shocks) affect the volatility on different time scales. The volatility impact from one economic factor can be a lot more lasting than that from another factor.

    The authors demonstrate that MSM model accounts for such data features as:

    1) short- and long-range dependence in volatility;
    2) fat tails of return distribution;
    3) volatility jumps.

    Again, many previously known models account for these effects to a certain extent, so a comparison to some benchmark models is necessary. Fitting MSM model to daily currency data via Maximum Likelihood (Chapter 3) shows that MSM is superior to:

    1) GARCH-t ("t" means that the error term has a t-distribution)
    2) Markov-Switching GARCH-t
    3) FIGARCH-t

    Personally, I would have liked to see how well MSM competes with some models based on Extreme Value Distribution, but no examples are provided.

    There have been many complaints in the reviews of the popular book of Mandelbrot (see The Misbehavior of Markets: A Fractal View of Financial Turbulence) that few "implementation details" had been provided. Numerical examples in Calvet and Fisher clearly show how to apply Mandelbrot's ideas to real data and where exactly the new framework surpasses the existing volatility models.

    Other chapters include multivariate volatility modeling (again, MSM is superior to multivariate CC-GARCH) and application of MSM to asset pricing theory. Therefore, I can highly recommend this book to people interested in the latest advances in volatility modeling.

    11 of 11 people found the following review helpful.
    An excellent review of an important topic
    By Aaron C. Brown
    With all due respect to the other reviewers, there's not much point discussing how good a job this book does explaining multifractal volatility. It's the only book on that subject. I think it's more useful to describe why someone who doesn't already know what MV is might want to read this excellent book.

    A lot of financial data series (and non-financial as well) exhibit apparently erratic behavior such as sudden jumps or periods of high and low volatility. These have caused many disasters, but also present tempting opportunity for anyone who can understand them. The tricky part is that simple models don't provide good fits, and complicated models are too hard to calibrate.

    There are some standard approaches to this problem and the authors have come up with one they think is better. But you don't need to accept that to find this book useful. It lays out a general mathematical framework and covers a wide range of models, comparing them both mathematically and with financial data. The mathematics is only moderately difficult, and the clear presentation explains the main ideas for people who cannot follow each step of the formalism. Whether or not you like MV, and it is a small group so far that does, this book is the best up-to-date introduction to this field. There are extensive references to a wide range of approaches. The material is presented as a set of tools and ideas, you can take the ones you find useful and combine them as you like.

    It would be even better if the book included data and computer code, either on a CD or at a website. More discussion of data would be helpful, as would some applications that go beyond data fitting (for example, it would be nice to see MV make money, or warn of disasters). The charts and tables are ugly, and the charts absurdly small for the information they are intended to convey. Some of the chapters could have used better editing to smooth over their origins as journal articles.

    However, those are minor criticisms compared to the outstanding job the authors have done of summarizing important work in time series modeling, with rigor and depth, but without making the work inaccessible to a wide audience.

    9 of 10 people found the following review helpful.
    time scale sensitive discussion of a new volatiltiy theory
    By Bachelier
    Calvet & Fisher's "Multifractal Volatility: Theory, Forecasting, and Pricing" is a welcome addition to the conversation in mathematical finance on volatility modeling expectations and tractable and practical models.

    Multifractal Volatility (MV) covers novel techniques outside of more traditional GARCH and stochastic volatility models (the controlling state variable is unobserved), and builds on the thinking of Benoit Mandelbrot on a sub-set of mathematics known as fractals, which are systems of non-linear equations that exhibit such characteristics as self-similarity (linear, non-linear, or statistical), scale invariance, and a (usually) non-integer Hausdorff dimension. Capturing fractals over multiple time horizons is the game.

    (Note: there is a tedious back-and-forth about how Mandelbrot fractals are nothing but Elliott wave principal dressed up as higher mathematics. If your idea of fun is reading about cranks snarking at each other, G--gle it all up and have fun reading).

    MV holds that both market returns and volatility exhibit strong kurtosis in the distribution of measured outcomes (i.e. there is a strong and sticky tendency for returns to stay either very close to the mean or far from it).

    MV addresses the curse of dimensionality of regime switching state models (because the number of parameters increases with the square of the number of states) buy using a Markov-Switching Multifractal (MSM) model, where volatility is assumed to be drawn from a large discrete distribution, each of which can randomly switch to a new value drawn from a common distribution. The variable order is along regime switching probability, and increases smoothly for low to high frequency observations, but allows volatility major jumps when a regime switch occurs.

    The first section introduces MSM in discrete time, followed by a section extending (or restating) the model in Continuous Time, followed by an examination of information arrival and Equilibrium Pricing.

    This work is for specialists and persons well-trained in mathematical finance who are familiar with date measure and distributions. It assumes knowledge of Brownian Motion, Markov chains, equilibrium pricing, information theory, and regime switching (knowledge from fluid mechanics on viscosity would also help). It introduces and argues for fractal distributions of volatility for higher goodness of fit, and makes a strong case.

    MV is well-written and clear, and even those who are not familiar or highly trained in the intricacies of Mandelbrot sets and other fractals can comprehend the arguments Calvet and Fisher make. This is a curious and interesting book and deserves a front-row seat in the continuing conversation in mathematical finance.

    See all 4 customer reviews...

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