Senin, 29 April 2013

[U839.Ebook] PDF Download From the Sacred Heart to the Trinity: The Spiritual Itinerary of Saint Teresa Margaret of the Sacred Heart, O.C.D., by Gabriel

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From the Sacred Heart to the Trinity: The Spiritual Itinerary of Saint Teresa Margaret of the Sacred Heart, O.C.D., by Gabriel

St. Teresa Margaret Redi was a Carmelite captivated by the love of God. Helping us to appreciate the holy life she led are eyewitness accounts of her spiritual directors collected soon after her death. The author of this small study builds his story on those accounts by the Discalced Carmelite friars who knew her as a young religious. Father Gabriel of St. Mary Magdalene lays out clearly the steps in Saint Teresa Margaret's spiritual biography and how she developed her deep attachment to love for God, by using classic Carmelite doctrine about growth in the spiritual life.

Teresa Margaret Redi was an Italian daughter of Saint Teresa of Jesus who lived in the eighteenth century (1747-1770). Like Saints Therese of Lisieux and Teresa de los Andes after her, her life in Carmel was brief. Her canonization came early in the last century (1934) and only now are we coming to appreciate better the spiritual legacy she left behind. This summary study by a noted spiritual theologian is a useful companion to the fuller biography of Margaret Rowe, God is Love: Saint Teresa Margaret, Her Life (ICS Publications, 2003).

The translator was Editor of Spiritual Life Magazine when he issued this work for Spiritual Life press originally in 1965.

  • Sales Rank: #234428 in Books
  • Published on: 2006-01-06
  • Original language: English
  • Number of items: 1
  • Dimensions: 8.75" h x 5.50" w x .25" l, .26 pounds
  • Binding: Paperback
  • 92 pages

Most helpful customer reviews

0 of 0 people found the following review helpful.
A good companion to the biography of this Saint
By MOR200
A good companion book to read after her biography. I loved both very much. I didn't know much about this saint who is very similar to St. Therese, The Little Flower, in her spirituality and heroic love and virtue.

1 of 1 people found the following review helpful.
A short, pleasant book about a saint that's easy to love
By Shannon J. Behrens
I finished this as part of my Carmelite reading.

St. Teresa Margaret Redi was a Carmelite captivated by the love of God. She had a profound mystical experience that lasted about 3 days in which she felt intimately connected to God. After that was an extremely painful period of spiritual dryness where she felt that she could not love God to the degree that she wanted or that He deserved. She died at the age of 22. She was extremely anxious to experience union with God in heaven.

This is a very short, nice book. At a mere 92 pages, it was a nice distraction from Sister Faustina's diary which I've been reading for about a year ;) St. Teresa Margaret is a favorite saint among Discalced Carmelites, and it's easy to see why.

0 of 0 people found the following review helpful.
Carmelite Saint
By Mom Z
Carmelite Saint not well known. A good read and unexpected. I recommend this for all looking to deepen their spiritual understanding. Do check this out.

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Minggu, 28 April 2013

[D837.Ebook] Download Natural Value, by Friedrich Wieser

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Natural Value, by Friedrich Wieser

This is a reproduction of a book published before 1923. This book may have occasional imperfections such as missing or blurred pages, poor pictures, errant marks, etc. that were either part of the original artifact, or were introduced by the scanning process. We believe this work is culturally important, and despite the imperfections, have elected to bring it back into print as part of our continuing commitment to the preservation of printed works worldwide. We appreciate your understanding of the imperfections in the preservation process, and hope you enjoy this valuable book.

  • Published on: 2010-02-22
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.69" h x .62" w x 7.44" l, 1.17 pounds
  • Binding: Paperback
  • 296 pages

Language Notes
Text: English, German (translation)

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4 of 4 people found the following review helpful.
Natural Value
By Jake Le Master
This brilliant book contains Friedrich Freiherr von Wieser's statement of marginal utility as formulated by the Austrian school (Book I), his abstraction from differences of purchasing power which make prices deviate from "natural value" (Book II), his application of marginal utility theory to the valuation of producer goods through "imputation" (Books III and IV), his interpretation of cost as indirect utility, or sacrifice of wealth capable of other uses than that to which it is actually put, that is, as opportunity cost -- the theorem which later has been called "Wieser's law" (Book V), and his attempt to extend the theory of value to principles of taxation (Book VI).

Wieser's best known contribution to the development of economic thought is his investigation of the relation between cost and value from the point of view of subjective value theory: given the quantity of the factors of production, competition for factors in the different lines of employment will distribute them in such a way that the values of their different products allow them to earn the same total amount in every alternative use. This early version of opportunity cost, as it was later called by the American theorist Herbert J. Davenport, involved abandoning the search for real cost which the classical economists had regarded as desirable. It was a theory of great elegance which used human behavior as the point of departure for the explanation of value in the field of consumer as well as producer goods and gave internal consistency to the whole theory of value. It was the first comprehensive attempt to apply marginal utility economics to the structure of production and thus to unify the laws of value and distribution. William Smart's edition of 1893, which followed the German original (1889) within four years, facilitated its wide acceptance in the English-speaking world.

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Sabtu, 27 April 2013

[Y514.Ebook] Ebook Download Linda Goodman's Star Signs by Linda Goodman, by by Linda Goodman

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Linda Goodman's Star Signs by Linda Goodman, by by Linda Goodman

  • Sales Rank: #1365531 in Books
  • Published on: 2009-07-12
  • Binding: Mass Market Paperback

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1 of 1 people found the following review helpful.
Love this book
By Alicia Carroll
Very influential book when I read it thirty years ago, and it still resonates today. Love this book!!

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Senin, 08 April 2013

[E822.Ebook] Free Ebook Pioneering Portfolio Management: An Unconventional Approach to Institutional Investment, Fully Revised and Updated, by David F. Swensen

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Pioneering Portfolio Management: An Unconventional Approach to Institutional Investment, Fully Revised and Updated, by David F. Swensen

An indispensable roadmap for creating a successful investment program from Yale’s chief investment officer, David F. Swensen.

In the years since the now-classic Pioneering Portfolio Management was first published, the global investment landscape has changed dramatically -- but the results of David Swensen's investment strategy for the Yale University endowment have remained as impressive as ever. Year after year, Yale's portfolio has trumped the marketplace by a wide margin, and, with over $20 billion added to the endowment under his twenty-three-year tenure, Swensen has contributed more to Yale's finances than anyone ever has to any university in the country. What may have seemed like one among many success stories in the era before the Internet bubble burst emerges now as a completely unprecedented institutional investment achievement.

In this fully revised and updated edition, Swensen, author of the bestselling personal finance guide Unconventional Success, describes the investment process that underpins Yale's endowment. He provides lucid and penetrating insight into the world of institutional funds management, illuminating topics ranging from asset-allocation structures to active fund management. Swensen employs an array of vivid real-world examples, many drawn from his own formidable experience, to address critical concepts such as handling risk, selecting advisors, and weathering market pitfalls.

Swensen offers clear and incisive advice, especially when describing a counterintuitive path. Conventional investing too often leads to buying high and selling low. Trust is more important than flash-in-the-pan success. Expertise, fortitude, and the long view produce positive results where gimmicks and trend following do not.

The original Pioneering Portfolio Management outlined a commonsense template for structuring a well-diversified equity-oriented portfolio. This new edition provides fund managers and students of the market an up-to-date guide for actively managed investment portfolios.

  • Sales Rank: #34640 in Books
  • Brand: Swensen, David F.
  • Published on: 2009-01-06
  • Released on: 2009-01-06
  • Original language: English
  • Number of items: 1
  • Dimensions: 9.25" h x 1.30" w x 6.12" l, 1.61 pounds
  • Binding: Hardcover
  • 432 pages
Features
  • ISBN13: 9781416544692
  • Condition: Used - Very Good
  • Notes: 100% Satisfaction Guarantee. Tracking provided on most orders. Buy with Confidence! Millions of books sold!

Review
Peter L. Bernstein, President Peter L. Bernstein, Inc. This book will be a classic: it is essential reading for all investors, great and small. David Swensen is a leader and pioneer whose words reveal a rare combination of courage, integrity, and intelligence. No one can fail to find value here.

Jack R. Meyer, President and CEO,

Harvard Management Company, Inc.

A masterful work by the master himself. We at Harvard wish that David Swensen would find a new job.

Barton M. Biggs, Chairman,

Morgan Stanley Dean Witter Investment Management

David Swensen is one of the best and most original fiduciaries of modern times. His thinking has survived the battlefields and it has worked for big money.

Burton G. Malkiel, Chemical Bank

Chairman's Professor of Economics, Princeton University

One of the world's most successful institutional fund managers presents powerful insights to help us become better investors. A must-read for both institutional and serious individual investors.

Peter L. Bernstein, President

Peter L. Bernstein, Inc.

This book will be a classic: it is essential reading for all investors, great and small. David Swensen is a leader and pioneer whose words reveal a rare combination of courage, integrity, and intelligence. No one can fail to find value here.

Richard C. Levin

F.W. Beinecke Professor of Economics and President, Yale University

David Swensen's creative and disciplined approach to investment has given Yale the resources it needs to augment its capacity for excellence in scholarship and teaching. Those who absorb the wisdom in this book will likewise strengthen the institutions they serve.

Jack R. Meyer, President and CEO, Harvard Management Company, Inc. A masterful work by the master himself. We at Harvard wish that David Swensen would find a new job.

Burton G. Malkiel, Chemical Bank Chairman's Professor of Economics, Princeton University One of the world's most successful institutional fund managers presents powerful insights to help us become better investors. A must-read for both institutional and serious individual investors.

Barton M. Biggs, Chairman, Morgan Stanley Dean Witter Investment Management David Swensen is one of the best and most original fiduciaries of modern times. His thinking has survived the battlefields and it has worked for big money.

Richard C. Levin F.W. Beinecke Professor of Economics and President, Yale University David Swensen's creative and disciplined approach to investment has given Yale the resources it needs to augment its capacity for excellence in scholarship and teaching. Those who absorb the wisdom in this book will likewise strengthen the institutions they serve.

About the Author
David F. Swensen is the chief investment officer of Yale University and the bestselling author of Pioneering Portfolio Management. He serves on the boards of TIAA, The Brookings Institution, Carnegie Institution, and Hopkins School. At Yale, where he produced an unparalleled two-decade investment record of 16.1 percent-per-annum returns, he teaches economics classes at Yale College and finance classes at Yale�s School of Management. Mr. Swensen lives in New Haven, Connecticut.

Excerpt. � Reprinted by permission. All rights reserved.

1

Introduction

When I wrote the introduction to the first edition of Pioneering Portfolio Management in early 1999, Yale's pathbreaking investment strategy had produced excellent results, both in absolute and relative terms, but had not yet been tested by adverse market conditions. In fact, Yale's return for the ten years ending June 30, 1998 amounted to 15.5 percent per annum, more than three full percentage points short of the S&P 500's 18.6 percent result. The endowment's deficit relative to the then-highest-performing asset class of domestic equity caused naysayers to question the wisdom of undertaking the difficult task of creating a well-diversified equity-oriented portfolio.

The years following the first edition's publication proved the worth of Yale's innovative asset allocation. The continuation of the bull market in 1999 and early 2000 produced wonderful results for Yale, culminating in a 41.0 percent return for the year ending June 30, 2000, a result that trounced the average endowment return of 13.0 percent. Yet, the real test of Yale's approach took place in 2001 and 2002 as the Internet bubble burst and marketable equities collapsed. Yale posted positive returns of 9.2 percent in 2001 and 0.7 percent in 2002, even as the average endowment reported deficits of 3.6 percent and 6.0 percent, respectively. In short, equity orientation continued to drive Yale's strong results, while diversification kicked in to preserve the university's assets.

From a market perspective, the vantage point of early 2008 differs dramatically from that of early 1999. For the ten years ending June 30, 2007, Yale's 17.8 percent return emphatically exceeded the S&P 500's 7.1 percent. Twenty-year results tell a similar tale with Yale's 15.6 percent trumping the S&P's 10.8 percent. In fact, Yale's conspicuous success attracted the attention of many investors, making the university's strategy seem less radical and more sensible, less pioneering and more mainstream.

In spite of widespread imitation of Yale's portfolio management philosophy, the university posted stunning returns relative to peers. For the year ended June 30, 2007, Yale reported a 28.0 percent return, which exceeded the results of all of the educational institutions that participated in the 2007 Cambridge Associates Annual Analysis of College and University Pool Returns. More significantly, Yale's results led the pack for five-, ten-, and twenty-year periods. The university's pioneering portfolio management works in theory and in practice.

The most important measure of endowment management success concerns the endowment's ability to support Yale's educational mission. When I arrived at Yale in 1985, the endowment contributed $45 million to the university's budget, representing a century-low 10 percent of revenues. For Yale's 2009 fiscal year, in large part as a result of extraordinary investment returns, the endowment will transfer to the budget approximately $1,150 million, representing about 45 percent of revenues. High quality investment management makes a difference!

Institutions versus Individuals

When I wrote my second book, Unconventional Success, I characterized its message as "a sensible investment framework for individuals," in contrast to the institutional focus of Pioneering Portfolio Management. I erred in describing my target audiences. In fact, I have come to believe that the most important distinction in the investment world does not separate individuals and institutions; the most important distinction divides those investors with the ability to make high quality active management decisions from those investors without active management expertise. Few institutions and even fewer individuals exhibit the ability and commit the resources to produce risk-adjusted excess returns.

The correct strategies for investors with active management expertise fall on the opposite end of the spectrum from the appropriate approaches for investors without active management abilities. Aside from the obvious fact that skilled active managers face the opportunity to generate market-beating returns in the traditional asset classes of domestic and foreign equity, skilled active managers enjoy the more important opportunity to create lower-risk, higher-returning portfolios with the alternative asset classes of absolute return, real assets, and private equity. Only those investors with active management ability sensibly pursue market-beating strategies in traditional asset classes and portfolio allocations to nontraditional asset classes. The costly game of active management guarantees failure for the casual participant.

No middle ground exists. Low-cost passive strategies, as outlined in Unconventional Success, suit the overwhelming number of individual and institutional investors without the time, resources, and ability to make high quality active management decisions. The framework outlined in Pioneering Portfolio Management applies to only a small number of investors with the resources and temperament to pursue the grail of risk-adjusted excess returns.

The World of Endowment Management

The fascinating activity of endowment management captures the energy and imagination of many talented individuals charged with stewardship of institutional assets. Investing with a time horizon measured in centuries to support the educational and research missions of society's colleges and universities creates a challenge guaranteed to engage the emotions and the intellect.

Aside from the appeal of the eleemosynary purposes that endowments serve, the investment business contains an independent set of attractions. Populated by unusually gifted, extremely driven individuals, the institutional funds management industry provides a nearly limitless supply of products, a few of which actually serve fiduciary aims. Mining the handful of gems from the tons of mine ore provides intellectually stimulating employment for the managers of endowment portfolios.

The knowledge base that provides useful support for investment decisions knows no bounds. A rich understanding of human psychology, a reasonable appreciation of financial theory, a deep awareness of history, and a broad exposure to current events all contribute to development of well-informed portfolio strategies. Many top-notch practitioners confess they would work without pay in the endlessly fascinating money management business.

The book begins by painting the big picture, discussing the purposes of endowment accumulation and examining the goals for institutional portfolios. Articulation of an investment philosophy provides the underpinnings for developing an asset-allocation strategy -- the fundamentally important decision regarding the portion of portfolio assets devoted to each type of investment alternative.

After establishing a framework for portfolio construction, the book investigates the nitty-gritty details of implementing a successful investment program. A discussion of portfolio management issues examines situations where real world frictions might impede realization of portfolio objectives. Chapters on traditional and alternative asset classes provide a primer on investment characteristics and active management opportunities, followed by an outline of asset class management issues. The book closes with some thoughts on structuring an effective decision-making process.

The linearity of the book's exposition of the investment process masks the complexities inherent in the portfolio management challenge. For example, asset allocation relies on a combination of top-down assessment of asset class characteristics and bottom-up evaluation of asset class opportunities. Since quantitative projections of returns, risks, and correlations describe only part of the scene, top-notch investors supplement the statistical overview with a ground-level understanding of specific investments. Because bottom-up insights into investment opportunity provide information important to assessing asset class attractiveness, effective investors consider both top-down and bottom-up factors when evaluating portfolio alternatives. By beginning with an analysis of the broad questions regarding the asset allocation framework and narrowing the discussion to issues involved with managing specific investment portfolios, the book lays out a neat progression from macro to micro, ignoring the complex simultaneity of the asset management process.

Rigorous Investment Framework

Three themes surface repeatedly in the book. The first theme centers on the importance of taking actions within the context of an analytically rigorous framework, implemented with discipline and undergirded with thorough analysis of specific opportunities. In dealing with the entire range of investment decisions from broad-based asset allocation to issue-specific security selection, investment success requires sticking with positions made uncomfortable by their variance with popular opinion. Casual commitments invite casual reversal, exposing portfolio managers to the damaging whipsaw of buying high and selling low. Only with the confidence created by a strong decision-making process can investors sell mania-induced excess and buy despair-driven value.

Establishing an analytically rigorous framework requires a ground-up examination of the investment challenges faced by the institution, evaluated in the context of the organization's specific characteristics. All too often investors fail to address the particular investment policy needs of an institution, opting instead to adopt portfolio structures similar to those pursued by comparable institutions. In other cases, when evaluating individual investment strategies, investors make commitments based on the identity of the co-investors, not on the merits of the proposed transaction. Playing follow-the-leader exposes assets to substantial risk.

Disciplined implementation of investment decisions ensures that investors reap the rewards and incur the costs associated with the policies adopted by the institution. While many important investment activities require...

Most helpful customer reviews

36 of 36 people found the following review helpful.
Truly unique insight into institutional portfolio management
By John Mihaljevic
Swensen's book is a must-read for endowment managers and other institutional investors, particularly those who take a fund-of-funds approach (as does Yale, where Swensen is Chief Investment Officer). Swensen aptly lays out the investment policy that has enabled Yale to consistently outperform other U.S. endowments. As Yale's CIO, Swensen has set a target portfolio allocation that departs significantly from the still heavily U.S. equity and debt-focused strategy of most endowments. Swensen's approach includes a large allocation to asset classes that are not highly correlated to the U.S. public equity market. He outlines these "alternative" classes in his book, giving the reader an excellent view of how alternative investments can increase risk-adjusted portfolio returns.
Perhaps the biggest contribution of Swensen's book, however, is the debunking of myths that still lull fiducaries into making the wrong decisions, for example when it comes to picking investment managers. Swensen advises against chasing managers who have performed well simply because of their past performance. If attributes such as personal integrity and the right fee structure are lacking, solid past performance can become a liability, not an asset. Swensen describes the example of private equity firm KKR-- after tremendous early successes, the flood of investor capital into KKR enabled the firm's partners to set up a fee structure that ensured big payoffs for themselves even if their funds underperformed. This is just one of many valuable lessons the reader will draw from Swensen's book.

39 of 40 people found the following review helpful.
Essential reading for endowment stewardship
By JB
This survey of endowment investing offers an incisive framework for how to think about investable assets of charitable institutions. The value of the book is that Swensen has thought long and hard about how endowment investing differs from personal wealth management and how those differences ripple through almost all aspects of overseeing and implementing endowment investments. As the chair of an endowment investment committee and the author of the Endowment Stewardship blog, I find all of Swensen's insights valuable, but especially his chapters on endowment purposes, investment and spending goals, investment philosophy and investment process. [...]Also, if you're an individual investor trying to copy Yale, this book will explain why you're wasting your time.

52 of 56 people found the following review helpful.
A must-have for MBA students and investment professionals
By A Customer
First of all, Swensen and Takahashi's team puzzled me by its consistent performance to beat the benchmark for over 15 years, with last year��s stunning annual return of 41%, leading the assets under management to easily surpass $10 Billion. The book is not only a great resource to look into the minds of the people who made this happen but also a wonderful application of finance, investment, asset allocation, strategy and management that you are learning in business school. Without mentioning the merits of the finance theory and investment techniques, the book is presenting a compelling case study of how investment office fits into the picture of institution building.
Second, the fascinating aspects of the book is the ��unconventional approach��, not just simply statistics and financial modeling, for long-time horizon investing. For example, in asset allocation and manager selection, it can come from topdown analysis with support of quantitative modeling and sophisticated simulation; it also can come from scientific findings and number crunching to uncover the value creation process, which usually leads to the later asset allocation strategy to fully take advantage of the discoveries.
Third, the stress and analysis of alternative investment assets and absolute returns are also worthy of mentioning. Contrary to what traditional financial theories or books focusing on efficient markets, Swensen��s book casts a lot of insights on the less-covered alternative asset classes and less efficient markets. Interestingly, they never seem to be constrained by their own defined class by constantly exploring those asset classes. For example, Swensen is famous for backing venture capital and private equity. It is true that they took the plunge well before others did. Nevertheless, they explore much more than that --other inefficient markets and conventionally less-discovered places.
Finally, there are some more things that I would love to see in the book��s next edition or a new book. One intriguing aspect of Yale Investment Office is its consistently great performance, which happens to coincide with the very volatile years from 1985-2001. Think about the Black Monday in 1997, the stagnation (coupled with high inflation) in late 1980s, bull market, bear market, Asian Financial Crises, Russian Default, Internet bubbles in 2000 and recent bubble-burst. How they weather through the storms as well as sunny days in a systematic way would be really worthy of reading. How do they deal with financial innovation, such as some exotic financial instruments and hedge funds?
In general, I would rate this book the highest score, with high hopes for another book from their team.

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Senin, 01 April 2013

[X747.Ebook] Ebook Free International Law, by The Late Antonio Cassese

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International Law, by The Late Antonio Cassese

This new edition of Cassese's International Law provides a stimulating and authoritative account of international law for undergraduates and postgraduates. It has been fully revised and updated to include all recent developments in the subject, and contains a new chapter on terrorism as well as extensive revision of the section on state responsibility. Providing a comprehensive commentary on international law as a whole, it compares the traditional legal position with the developing and evolving law in a way that is sensitive to political and economic considerations, as well as including detailed yet accessible examinations of state responsibility and international criminal law. The late Professor Cassese was a leading figure in the field, and this new edition takes full advantage of his extensive experience to provide a more personal approach to the subject than is typically found in the standard textbook, acting as good intellectual exercise for the stronger student.

The late Antonio Cassese was the Editor of the Journal of International Criminal Justice. To read sample articles from the journal visit: www.jicj.oupjournals.org

  • Sales Rank: #335864 in Books
  • Published on: 2005-02-10
  • Original language: English
  • Number of items: 1
  • Dimensions: 6.70" h x 1.30" w x 9.60" l, 2.35 pounds
  • Binding: Paperback
  • 612 pages

About the Author

The Late Antonio Cassese is the former Professor of International Law at the University of Florence; former President of the Council of Europe Committee for the Prevention of Torture; former Judge and President of the International Criminal Tribunal for the former Yugoslavia; Chairman of the UN International Commission of Enquiry into Violations of Human Rights and Humanitarian Law in Darfur; and member of the Institut de Droit International.

Most helpful customer reviews

12 of 12 people found the following review helpful.
Clear and Comprehensive guide for Int Law Students
By Vicky
I found this book incredibly useful for research, and as one of the main sources of information for a law competition I participated in.
The information is presented in a clear manner, yet it encompases a large range of international law theory. On top of that it includes real life examples within the text, but in a format, that they can be skipped over if neccesary.
The book was a great guide to international law jurisprudence, pointing me in the right direction in every case.
This book is great either as an introduction to international law, or as a reference book.
I think its an all around must-have.

9 of 9 people found the following review helpful.
Excellent updated book
By Prof. Marco Odello
I consider this book as an excellent text for students of International Law and International Relations. The work provides clear legal reasoning and information, but also interesting and updated examples. This mixture makes the book extremely interesting, including the web infomation linked to the book.
Actually, I adopted this text as the basic reading for my University introductory course on Public International Law.

1 of 1 people found the following review helpful.
Great, general overview
By SetSail&Go
Required text for my International Law class. Pretty good as far as textbooks go. Not terribly dry, but does give a pretty general understanding. Definitely more of an "intro" guide rather than something that delves terribly deep.

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