C. Bryan Dawson
- Published in print:
- 2021
- Published Online:
- June 2022
- ISBN:
- 9780192895592
- eISBN:
- 9780191947988
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780192895592.001.0001
- Subject:
- Mathematics, Educational Mathematics, Applied Mathematics
Calculus Set Free: Infinitesimals to the Rescue is a single-variable calculus textbook that incorporates the use of infinitesimals, and more generally the hyperreal numbers. The infinitesimal methods ...
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Calculus Set Free: Infinitesimals to the Rescue is a single-variable calculus textbook that incorporates the use of infinitesimals, and more generally the hyperreal numbers. The infinitesimal methods and notation herein were developed with beginning calculus students in mind, resulting in exposition that is more intuitive as well as many calculational procedures that are easier to perform, as compared to both traditional calculus textbooks and earlier attempts at including infinitesimals in calculus. Arithmetic of hyperreal numbers, levels of hyperreal numbers, and approximation in the hyperreals lead to a definition of limit. Limit computations are based directly on that definition. Computation-style proofs of derivative rules use an approximation formula called the “local linearity formula.” The definite integral is developed through the idea of finding area using infinitely many subintervals and right-hand endpoints; the resulting “omega sums” are much easier than Riemann sums as a result of the “sum of powers approximation formula,” which also anticipates the Fundamental Theorem of Calculus by its resemblance to the antiderivative power rule. The limit comparison test is replaced by the “level comparison test,” which is so widely applicable and computationally simple that strategy for testing series is noticeably less difficult. Although infinitesimal methods are used for any mathematical process involving a limit, the remainder of the text uses the standard methods of calculus. Organization is similar to other college-level calculus texts. Features include ample marginal notes, examples, illustrations, and answers to odd-numbered exercises.Less
Calculus Set Free: Infinitesimals to the Rescue is a single-variable calculus textbook that incorporates the use of infinitesimals, and more generally the hyperreal numbers. The infinitesimal methods and notation herein were developed with beginning calculus students in mind, resulting in exposition that is more intuitive as well as many calculational procedures that are easier to perform, as compared to both traditional calculus textbooks and earlier attempts at including infinitesimals in calculus. Arithmetic of hyperreal numbers, levels of hyperreal numbers, and approximation in the hyperreals lead to a definition of limit. Limit computations are based directly on that definition. Computation-style proofs of derivative rules use an approximation formula called the “local linearity formula.” The definite integral is developed through the idea of finding area using infinitely many subintervals and right-hand endpoints; the resulting “omega sums” are much easier than Riemann sums as a result of the “sum of powers approximation formula,” which also anticipates the Fundamental Theorem of Calculus by its resemblance to the antiderivative power rule. The limit comparison test is replaced by the “level comparison test,” which is so widely applicable and computationally simple that strategy for testing series is noticeably less difficult. Although infinitesimal methods are used for any mathematical process involving a limit, the remainder of the text uses the standard methods of calculus. Organization is similar to other college-level calculus texts. Features include ample marginal notes, examples, illustrations, and answers to odd-numbered exercises.
Chris Heunen and Jamie Vicary
- Published in print:
- 2019
- Published Online:
- January 2020
- ISBN:
- 9780198739623
- eISBN:
- 9780191802584
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198739623.001.0001
- Subject:
- Mathematics, Mathematical Physics, Applied Mathematics
Monoidal category theory serves as a powerful framework for describing logical aspects of quantum theory, giving an abstract language for parallel and sequential composition and a conceptual way to ...
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Monoidal category theory serves as a powerful framework for describing logical aspects of quantum theory, giving an abstract language for parallel and sequential composition and a conceptual way to understand many high-level quantum phenomena. Here, we lay the foundations for this categorical quantum mechanics, with an emphasis on the graphical calculus that makes computation intuitive. We describe superposition and entanglement using biproducts and dual objects, and show how quantum teleportation can be studied abstractly using these structures. We investigate monoids, Frobenius structures and Hopf algebras, showing how they can be used to model classical information and complementary observables. We describe the CP construction, a categorical tool to describe probabilistic quantum systems. The last chapter introduces higher categories, surface diagrams and 2-Hilbert spaces, and shows how the language of duality in monoidal 2-categories can be used to reason about quantum protocols, including quantum teleportation and dense coding. Previous knowledge of linear algebra, quantum information or category theory would give an ideal background for studying this text, but it is not assumed, with essential background material given in a self-contained introductory chapter. Throughout the text, we point out links with many other areas, such as representation theory, topology, quantum algebra, knot theory and probability theory, and present nonstandard models including sets and relations. All results are stated rigorously and full proofs are given as far as possible, making this book an invaluable reference for modern techniques in quantum logic, with much of the material not available in any other textbook.Less
Monoidal category theory serves as a powerful framework for describing logical aspects of quantum theory, giving an abstract language for parallel and sequential composition and a conceptual way to understand many high-level quantum phenomena. Here, we lay the foundations for this categorical quantum mechanics, with an emphasis on the graphical calculus that makes computation intuitive. We describe superposition and entanglement using biproducts and dual objects, and show how quantum teleportation can be studied abstractly using these structures. We investigate monoids, Frobenius structures and Hopf algebras, showing how they can be used to model classical information and complementary observables. We describe the CP construction, a categorical tool to describe probabilistic quantum systems. The last chapter introduces higher categories, surface diagrams and 2-Hilbert spaces, and shows how the language of duality in monoidal 2-categories can be used to reason about quantum protocols, including quantum teleportation and dense coding. Previous knowledge of linear algebra, quantum information or category theory would give an ideal background for studying this text, but it is not assumed, with essential background material given in a self-contained introductory chapter. Throughout the text, we point out links with many other areas, such as representation theory, topology, quantum algebra, knot theory and probability theory, and present nonstandard models including sets and relations. All results are stated rigorously and full proofs are given as far as possible, making this book an invaluable reference for modern techniques in quantum logic, with much of the material not available in any other textbook.
Deborah Nolan and Sara Stoudt
- Published in print:
- 2021
- Published Online:
- July 2021
- ISBN:
- 9780198862741
- eISBN:
- 9780191895357
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198862741.001.0001
- Subject:
- Mathematics, Analysis, Applied Mathematics
Communicating with Data: The Art of Writing for Data Science aims to help students and researchers write about their data insights in a way that is both compelling and faithful to the data. This book ...
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Communicating with Data: The Art of Writing for Data Science aims to help students and researchers write about their data insights in a way that is both compelling and faithful to the data. This book aims to be both a resource for students who want to learn how to write about scientific findings both formally and for broader audiences and a textbook for instructors who are teaching science communication. In addition, a researcher who is looking for help with writing can use this book to self-train. The book consists of five parts. Part I helps the novice learn to write by reading the work of others. Part II delves into the specifics of how to describe data at a level appropriate for publication, create informative and effective visualizations, and communicate an analysis pipeline through well-written, reproducible code. Part III demonstrates how to reduce a data analysis to a compelling story and organize and write the first draft of a technical paper. Part IV addresses revision; this includes advice on writing about statistical findings in a clear and accurate way, general writing advice, and strategies for proof-reading and revising. Finally, Part V gives advice about communication strategies beyond the witten page, which includes giving talks, building a professional network, and participating in online communities. This part also contains 22 “portfolio prompts” aimed at building upon the guidance and examples in the earlier parts of the book and building a writer’s portfolio of data communication.Less
Communicating with Data: The Art of Writing for Data Science aims to help students and researchers write about their data insights in a way that is both compelling and faithful to the data. This book aims to be both a resource for students who want to learn how to write about scientific findings both formally and for broader audiences and a textbook for instructors who are teaching science communication. In addition, a researcher who is looking for help with writing can use this book to self-train. The book consists of five parts. Part I helps the novice learn to write by reading the work of others. Part II delves into the specifics of how to describe data at a level appropriate for publication, create informative and effective visualizations, and communicate an analysis pipeline through well-written, reproducible code. Part III demonstrates how to reduce a data analysis to a compelling story and organize and write the first draft of a technical paper. Part IV addresses revision; this includes advice on writing about statistical findings in a clear and accurate way, general writing advice, and strategies for proof-reading and revising. Finally, Part V gives advice about communication strategies beyond the witten page, which includes giving talks, building a professional network, and participating in online communities. This part also contains 22 “portfolio prompts” aimed at building upon the guidance and examples in the earlier parts of the book and building a writer’s portfolio of data communication.
Pierluigi Frisco
- Published in print:
- 2009
- Published Online:
- September 2009
- ISBN:
- 9780199542864
- eISBN:
- 9780191715679
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199542864.001.0001
- Subject:
- Mathematics, Applied Mathematics, Mathematical Biology
How could we use living cells to perform computation? Would our definition of computation change as a consequence of this? Could such a cell-computer outperform digital computers? These are some of ...
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How could we use living cells to perform computation? Would our definition of computation change as a consequence of this? Could such a cell-computer outperform digital computers? These are some of the questions that the study of Membrane Computing tries to answer and are at the base of what is treated by this monograph. Descriptional and computational complexity of models in Membrane Computing are the two lines of research on which is the focus here. In this context this book reports the results of only some of the models present in this framework. The models considered here represent a very relevant part of all the models introduced so far in the study of Membrane Computing. They are in between the most studied models in the field and they cover a broad range of features (using symbol objects or string objects, based only on communications, inspired by intra- and intercellular processes, having or not having a tree as underlying structure, etc.) that gives a grasp of the enormous flexibility of this framework. Links with biology and Petri nets are constant through this book. This book aims also to inspire research. This book gives suggestions for research of various levels of difficulty and this book clearly indicates their importance and the relevance of the possible outcomes. Readers new to this field of research will find the provided examples particularly useful in the understanding of the treated topics.Less
How could we use living cells to perform computation? Would our definition of computation change as a consequence of this? Could such a cell-computer outperform digital computers? These are some of the questions that the study of Membrane Computing tries to answer and are at the base of what is treated by this monograph. Descriptional and computational complexity of models in Membrane Computing are the two lines of research on which is the focus here. In this context this book reports the results of only some of the models present in this framework. The models considered here represent a very relevant part of all the models introduced so far in the study of Membrane Computing. They are in between the most studied models in the field and they cover a broad range of features (using symbol objects or string objects, based only on communications, inspired by intra- and intercellular processes, having or not having a tree as underlying structure, etc.) that gives a grasp of the enormous flexibility of this framework. Links with biology and Petri nets are constant through this book. This book aims also to inspire research. This book gives suggestions for research of various levels of difficulty and this book clearly indicates their importance and the relevance of the possible outcomes. Readers new to this field of research will find the provided examples particularly useful in the understanding of the treated topics.
Stéphane Boucheron, Gábor Lugosi, and Pascal Massart
- Published in print:
- 2013
- Published Online:
- May 2013
- ISBN:
- 9780199535255
- eISBN:
- 9780191747106
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199535255.001.0001
- Subject:
- Mathematics, Probability / Statistics, Applied Mathematics
This monograph presents a mathematical theory of concentration inequalities for functions of independent random variables. The basic phenomenon under investigation is that if a function of many ...
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This monograph presents a mathematical theory of concentration inequalities for functions of independent random variables. The basic phenomenon under investigation is that if a function of many independent random variables does not depend too much on any of them then it is concentrated around its expected value. This book offers a host of inequalities to quantify this statement. The authors describe the interplay between the probabilistic structure (independence) and a variety of tools ranging from functional inequalities, transportation arguments, to information theory. Applications to the study of empirical processes, random projections, random matrix theory, and threshold phenomena are presented. The book offers a self-contained introduction to concentration inequalities, including a survey of concentration of sums of independent random variables, variance bounds, the entropy method, and the transportation method. Deep connections with isoperimetric problems are revealed. Special attention is paid to applications to the supremum of empirical processes.Less
This monograph presents a mathematical theory of concentration inequalities for functions of independent random variables. The basic phenomenon under investigation is that if a function of many independent random variables does not depend too much on any of them then it is concentrated around its expected value. This book offers a host of inequalities to quantify this statement. The authors describe the interplay between the probabilistic structure (independence) and a variety of tools ranging from functional inequalities, transportation arguments, to information theory. Applications to the study of empirical processes, random projections, random matrix theory, and threshold phenomena are presented. The book offers a self-contained introduction to concentration inequalities, including a survey of concentration of sums of independent random variables, variance bounds, the entropy method, and the transportation method. Deep connections with isoperimetric problems are revealed. Special attention is paid to applications to the supremum of empirical processes.
Lyn C. Thomas
- Published in print:
- 2009
- Published Online:
- May 2009
- ISBN:
- 9780199232130
- eISBN:
- 9780191715914
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199232130.001.1
- Subject:
- Mathematics, Applied Mathematics, Mathematical Finance
Credit scoring — the quantitative and statistical techniques which assess the credit risks when lending to consumers — has been one of the most successful if unsung applications of mathematics in ...
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Credit scoring — the quantitative and statistical techniques which assess the credit risks when lending to consumers — has been one of the most successful if unsung applications of mathematics in business for the last fifty years. Now though, credit scoring is beginning to be used in relation to other decisions rather than the traditional one of assessing the default risk of a potential borrower. Lenders are changing their objectives from minimizing defaults to maximizing profits; using the internet and the telephone as application channels means lenders can price or customize their loans for individual consumers. The introduction of the Basel Capital Accord banking regulations and the credit crunch following the problems with securitizing sub prime mortgage mean one needs to be able to extend the default risk models from individual consumer loans to portfolios of such loans. Addressing these challenges requires new models that use credit scores as inputs. These in turn require extensions of what is meant by a credit score. This book reviews the current methodology for building scorecards, clarifies what a credit score really is, and the way that scoring systems are measured. It then looks at the models that can be used to address a number of these new challenges: how to obtain profitability based scoring systems; pricing new loans in a way that reflects their risk and also customise them to attract consumers; how the Basel Accord impacts on way credit scoring; and how credit scoring can be extended to assess the credit risk of portfolios of loans.Less
Credit scoring — the quantitative and statistical techniques which assess the credit risks when lending to consumers — has been one of the most successful if unsung applications of mathematics in business for the last fifty years. Now though, credit scoring is beginning to be used in relation to other decisions rather than the traditional one of assessing the default risk of a potential borrower. Lenders are changing their objectives from minimizing defaults to maximizing profits; using the internet and the telephone as application channels means lenders can price or customize their loans for individual consumers. The introduction of the Basel Capital Accord banking regulations and the credit crunch following the problems with securitizing sub prime mortgage mean one needs to be able to extend the default risk models from individual consumer loans to portfolios of such loans. Addressing these challenges requires new models that use credit scores as inputs. These in turn require extensions of what is meant by a credit score. This book reviews the current methodology for building scorecards, clarifies what a credit score really is, and the way that scoring systems are measured. It then looks at the models that can be used to address a number of these new challenges: how to obtain profitability based scoring systems; pricing new loans in a way that reflects their risk and also customise them to attract consumers; how the Basel Accord impacts on way credit scoring; and how credit scoring can be extended to assess the credit risk of portfolios of loans.
Raymond A. Anderson
- Published in print:
- 2021
- Published Online:
- January 2022
- ISBN:
- 9780192844194
- eISBN:
- 9780191926976
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780192844194.001.0001
- Subject:
- Mathematics, Applied Mathematics, Mathematical Finance
This book, “Forest Paths” for short, started as a detailed guide for the construction of predictive models for credit and other risk assessment, for use in big-bank retail lending. It became a ...
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This book, “Forest Paths” for short, started as a detailed guide for the construction of predictive models for credit and other risk assessment, for use in big-bank retail lending. It became a textbook covering credit processes (from marketing through to fraud), bureau and rating agencies, and various tools. Included are detailed histories (economics, statistics, social science}, which much referencing. It is unique in the field, with chatpers’-end questions. The primary target market is corporate and academic, but much would be of interest to a broader audience. There are eight modules: 1) an introduction to credit risk assessment and predictive modelling; 2) micro-histories of credit, credit intelligence, credit scoring, plus industrial revolutions, economic ups and downs, and both personal registration and identification; 4) mathematical and statistical tools used to develop and assess predictive models; 5) project management and data assembly; 6) data preparation from sampling to reject inference; 7) model training through to implementation; and 8) appendices, including an extensive glossary, bibliography, and index. Although the focus is credit risk, especially in the retail consumer and small-business segments, many concepts are common across disciplines as diverse as psychology, biology, engineering, and computer science, whether academic research or practical use. It also covers issues relating to the use of machine learning for credit risk assessment. Most of the focus is on traditional modelling techniques, but the increasing use of machine learning is recognised, as are its limitations. It is hoped that the contents will inform both camps.Less
This book, “Forest Paths” for short, started as a detailed guide for the construction of predictive models for credit and other risk assessment, for use in big-bank retail lending. It became a textbook covering credit processes (from marketing through to fraud), bureau and rating agencies, and various tools. Included are detailed histories (economics, statistics, social science}, which much referencing. It is unique in the field, with chatpers’-end questions. The primary target market is corporate and academic, but much would be of interest to a broader audience. There are eight modules: 1) an introduction to credit risk assessment and predictive modelling; 2) micro-histories of credit, credit intelligence, credit scoring, plus industrial revolutions, economic ups and downs, and both personal registration and identification; 4) mathematical and statistical tools used to develop and assess predictive models; 5) project management and data assembly; 6) data preparation from sampling to reject inference; 7) model training through to implementation; and 8) appendices, including an extensive glossary, bibliography, and index. Although the focus is credit risk, especially in the retail consumer and small-business segments, many concepts are common across disciplines as diverse as psychology, biology, engineering, and computer science, whether academic research or practical use. It also covers issues relating to the use of machine learning for credit risk assessment. Most of the focus is on traditional modelling techniques, but the increasing use of machine learning is recognised, as are its limitations. It is hoped that the contents will inform both camps.
Tony Van Gestel and Bart Baesens
- Published in print:
- 2008
- Published Online:
- January 2009
- ISBN:
- 9780199545117
- eISBN:
- 9780191720147
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199545117.001.0001
- Subject:
- Mathematics, Applied Mathematics, Mathematical Finance
This book is the first book of a series of three that provides an overview of all aspects, steps, and issues that should be considered when undertaking credit risk management, including the Basel II ...
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This book is the first book of a series of three that provides an overview of all aspects, steps, and issues that should be considered when undertaking credit risk management, including the Basel II Capital Accord, which all major banks must comply with in 2008. The introduction of the recently suggested Basel II Capital Accord has raised many issues and concerns about how to appropriately manage credit risk. Managing credit risk is one of the next big challenges facing financial institutions. The importance and relevance of efficiently managing credit risk is evident from the huge investments that many financial institutions are making in this area, the booming credit industry in emerging economies (e.g. Brazil, China, India), the many events (courses, seminars, workshops) that are being organised on this topic, and the emergence of new academic journals and magazines in the field (e.g., Journal of Credit Risk,Journal of Risk Model Validation, Journal of Risk Management in Financial Institutions). Financial risk management, an area of increasing importance with the recent Basel II developments, is discussed in terms of practical business impact and the increasing profitability competition, laying the foundation for the other two books in the series.Less
This book is the first book of a series of three that provides an overview of all aspects, steps, and issues that should be considered when undertaking credit risk management, including the Basel II Capital Accord, which all major banks must comply with in 2008. The introduction of the recently suggested Basel II Capital Accord has raised many issues and concerns about how to appropriately manage credit risk. Managing credit risk is one of the next big challenges facing financial institutions. The importance and relevance of efficiently managing credit risk is evident from the huge investments that many financial institutions are making in this area, the booming credit industry in emerging economies (e.g. Brazil, China, India), the many events (courses, seminars, workshops) that are being organised on this topic, and the emergence of new academic journals and magazines in the field (e.g., Journal of Credit Risk,Journal of Risk Model Validation, Journal of Risk Management in Financial Institutions). Financial risk management, an area of increasing importance with the recent Basel II developments, is discussed in terms of practical business impact and the increasing profitability competition, laying the foundation for the other two books in the series.
Eduard Feireisl
- Published in print:
- 2003
- Published Online:
- September 2007
- ISBN:
- 9780198528388
- eISBN:
- 9780191713590
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780198528388.001.0001
- Subject:
- Mathematics, Applied Mathematics
The book presents and develops the most recent ideas and concepts of the mathematical theory of viscous, compressible, and heat conducting fluids. Two main objectives are pursued: (i) global ...
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The book presents and develops the most recent ideas and concepts of the mathematical theory of viscous, compressible, and heat conducting fluids. Two main objectives are pursued: (i) global existence theory within the framework of variational solutions for the full Navier-Stokes-Fourier system supplemented with large data, and (ii) optimal existence results for barotropic flows with respect to the available a priori estimates.Less
The book presents and develops the most recent ideas and concepts of the mathematical theory of viscous, compressible, and heat conducting fluids. Two main objectives are pursued: (i) global existence theory within the framework of variational solutions for the full Navier-Stokes-Fourier system supplemented with large data, and (ii) optimal existence results for barotropic flows with respect to the available a priori estimates.
Mauro Fabrizio and Angelo Morro
- Published in print:
- 2003
- Published Online:
- September 2007
- ISBN:
- 9780198527008
- eISBN:
- 9780191713316
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780198527008.001.0001
- Subject:
- Mathematics, Applied Mathematics
This book is devoted to the mathematical modelling of electromagnetic materials. Electromagnetism in matter is developed with particular emphasis on material effects, which are ascribed to memory in ...
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This book is devoted to the mathematical modelling of electromagnetic materials. Electromagnetism in matter is developed with particular emphasis on material effects, which are ascribed to memory in time and nonlocality. Within the mathematical modelling, thermodynamics of continuous media plays a central role in that it places significant restrictions on the constitutive equations. Further, as shown in connection with uniqueness, existence and stability, variational settings, and wave propagation, a correct formulation of the pertinent problems is based on the knowledge of the thermodynamic restrictions for the material. The book is divided into four parts. Part I (chapters 1 to 4) reviews the basic concepts of electromagnetism, starting from the integral form of Maxwell’s equations and then addressing attention to the physical motivation for materials with memory. Part II (chapers 5 to 9) deals with thermodynamics of systems with memory and applications to evolution and initial/boundary-value problems. It contains developments and results which are unusual in textbooks on electromagnetism and arise from the research literature, mainly post-1960s. Part III (chapters 10 to 12) outlines some topics of materials modelling — nonlinearity, nonlocality, superconductivity, and magnetic hysteresis — which are of great interest both in mathematics and in applications.Less
This book is devoted to the mathematical modelling of electromagnetic materials. Electromagnetism in matter is developed with particular emphasis on material effects, which are ascribed to memory in time and nonlocality. Within the mathematical modelling, thermodynamics of continuous media plays a central role in that it places significant restrictions on the constitutive equations. Further, as shown in connection with uniqueness, existence and stability, variational settings, and wave propagation, a correct formulation of the pertinent problems is based on the knowledge of the thermodynamic restrictions for the material. The book is divided into four parts. Part I (chapters 1 to 4) reviews the basic concepts of electromagnetism, starting from the integral form of Maxwell’s equations and then addressing attention to the physical motivation for materials with memory. Part II (chapers 5 to 9) deals with thermodynamics of systems with memory and applications to evolution and initial/boundary-value problems. It contains developments and results which are unusual in textbooks on electromagnetism and arise from the research literature, mainly post-1960s. Part III (chapters 10 to 12) outlines some topics of materials modelling — nonlinearity, nonlocality, superconductivity, and magnetic hysteresis — which are of great interest both in mathematics and in applications.
Keith M. Martin
- Published in print:
- 2012
- Published Online:
- December 2013
- ISBN:
- 9780199695591
- eISBN:
- 9780191774898
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199695591.001.0001
- Subject:
- Mathematics, Applied Mathematics
Cryptography is a vital technology that underpins the security of information in computer networks. This book presents an introduction to the role that cryptography plays in providing information ...
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Cryptography is a vital technology that underpins the security of information in computer networks. This book presents an introduction to the role that cryptography plays in providing information security for technologies such as the Internet, mobile phones, payment cards, and wireless local area networks. Focusing on the fundamental principles that ground modern cryptography as they arise in modern applications, it avoids both an over-reliance on transient current technologies and over-whelming theoretical research. A short appendix is included for those looking for a deeper appreciation of some of the concepts involved. By the end of this book, the reader will not only be able to understand the practical issues concerned with the deployment of cryptographic mechanisms, including the management of cryptographic keys, but will also be able to interpret future developments in this increasingly important area of technology.Less
Cryptography is a vital technology that underpins the security of information in computer networks. This book presents an introduction to the role that cryptography plays in providing information security for technologies such as the Internet, mobile phones, payment cards, and wireless local area networks. Focusing on the fundamental principles that ground modern cryptography as they arise in modern applications, it avoids both an over-reliance on transient current technologies and over-whelming theoretical research. A short appendix is included for those looking for a deeper appreciation of some of the concepts involved. By the end of this book, the reader will not only be able to understand the practical issues concerned with the deployment of cryptographic mechanisms, including the management of cryptographic keys, but will also be able to interpret future developments in this increasingly important area of technology.
Andreas Kirsch and Natalia Grinberg
- Published in print:
- 2007
- Published Online:
- September 2008
- ISBN:
- 9780199213535
- eISBN:
- 9780191707629
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199213535.001.0001
- Subject:
- Mathematics, Applied Mathematics
This book is devoted to problems of shape identification in the context of (inverse) scattering problems and problems of impedance tomography. In contrast to traditional methods which are based on ...
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This book is devoted to problems of shape identification in the context of (inverse) scattering problems and problems of impedance tomography. In contrast to traditional methods which are based on iterative schemes of solving sequences of corresponding direct problems, this book presents a completely different method. The Factorization Method avoids the need to solve the (time consuming) direct problems. Furthermore, no a-priori information about the type of scatterer (penetrable or impenetrable), type of boundary condition, or number of components is needed. The Factorization Method can be considered as an example of a Sampling Method. The book aims to construct a binary criterium on the known data to decide whether or not a given point z is inside or outside the unknown domain D. By choosing a grid of sampling points z in a region known to contain D, the characteristic function of D can be computed (in the case of finite data only approximately). The book also introduces some alternative Sampling Methods.Less
This book is devoted to problems of shape identification in the context of (inverse) scattering problems and problems of impedance tomography. In contrast to traditional methods which are based on iterative schemes of solving sequences of corresponding direct problems, this book presents a completely different method. The Factorization Method avoids the need to solve the (time consuming) direct problems. Furthermore, no a-priori information about the type of scatterer (penetrable or impenetrable), type of boundary condition, or number of components is needed. The Factorization Method can be considered as an example of a Sampling Method. The book aims to construct a binary criterium on the known data to decide whether or not a given point z is inside or outside the unknown domain D. By choosing a grid of sampling points z in a region known to contain D, the characteristic function of D can be computed (in the case of finite data only approximately). The book also introduces some alternative Sampling Methods.
David J. Steigmann
- Published in print:
- 2017
- Published Online:
- December 2017
- ISBN:
- 9780198567783
- eISBN:
- 9780191746536
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198567783.001.0001
- Subject:
- Mathematics, Applied Mathematics
This book is suitable for a first-year graduate course on Non-linear Elasticity Theory. It is aimed at graduate students, post-doctoral fellows and researchers working in Mechanics. Included is a ...
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This book is suitable for a first-year graduate course on Non-linear Elasticity Theory. It is aimed at graduate students, post-doctoral fellows and researchers working in Mechanics. Included is a modern treatment of elementary plasticity theory emphasizing the foundational role played by finite elasticity. The book covers fundamental and advanced material that should be mastered before embarking on research. Included are the concepts of frame invariance, material symmetry, kinematic constraints, a development of nonlinear membrane theory, energy minimizers as stable equilibria and various attendant convexity conditions.Less
This book is suitable for a first-year graduate course on Non-linear Elasticity Theory. It is aimed at graduate students, post-doctoral fellows and researchers working in Mechanics. Included is a modern treatment of elementary plasticity theory emphasizing the foundational role played by finite elasticity. The book covers fundamental and advanced material that should be mastered before embarking on research. Included are the concepts of frame invariance, material symmetry, kinematic constraints, a development of nonlinear membrane theory, energy minimizers as stable equilibria and various attendant convexity conditions.
Adel N. Boules
- Published in print:
- 2021
- Published Online:
- May 2021
- ISBN:
- 9780198868781
- eISBN:
- 9780191905254
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198868781.001.0001
- Subject:
- Mathematics, Analysis, Applied Mathematics
Fundamentals of Mathematical Analysis is a beginning graduate textbook on real and functional analysis, with a substantial component on topology. The three leading chapters furnish background ...
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Fundamentals of Mathematical Analysis is a beginning graduate textbook on real and functional analysis, with a substantial component on topology. The three leading chapters furnish background information on the real and complex number fields, a concise introduction to set theory, and a rigorous treatment of vector spaces. Instructors can choose material from this part as their students’ background warrants. Chapter 4 is the spine of the book and is essential for an effective reading of the rest of the book. It is an extensive study of metric spaces, including the core topics of completeness, compactness, and function spaces, with a good number of applications. The remaining chapters consist of an introduction to general topology, a classical treatment of Banach and Hilbert spaces, the elements of operator theory, and a deep account of measure and integration theories. Several courses can be based on the book. The entire book is suitable for a two-semester course on analysis, and material can be chosen to design one-semester courses on topology, real analysis, or functional analysis. The book is designed as an accessible classical introduction to the subject, aims to achieve excellent breadth and depth, and contains an abundance of examples and exercises. The topics are carefully sequenced, the proofs are detailed, and the writing style is clear and concise. The only prerequisites assumed are a thorough understanding of undergraduate real analysis and linear algebra, and a degree of mathematical maturity.Less
Fundamentals of Mathematical Analysis is a beginning graduate textbook on real and functional analysis, with a substantial component on topology. The three leading chapters furnish background information on the real and complex number fields, a concise introduction to set theory, and a rigorous treatment of vector spaces. Instructors can choose material from this part as their students’ background warrants. Chapter 4 is the spine of the book and is essential for an effective reading of the rest of the book. It is an extensive study of metric spaces, including the core topics of completeness, compactness, and function spaces, with a good number of applications. The remaining chapters consist of an introduction to general topology, a classical treatment of Banach and Hilbert spaces, the elements of operator theory, and a deep account of measure and integration theories. Several courses can be based on the book. The entire book is suitable for a two-semester course on analysis, and material can be chosen to design one-semester courses on topology, real analysis, or functional analysis. The book is designed as an accessible classical introduction to the subject, aims to achieve excellent breadth and depth, and contains an abundance of examples and exercises. The topics are carefully sequenced, the proofs are detailed, and the writing style is clear and concise. The only prerequisites assumed are a thorough understanding of undergraduate real analysis and linear algebra, and a degree of mathematical maturity.
Frank C. Zagare
- Published in print:
- 2019
- Published Online:
- February 2019
- ISBN:
- 9780198831587
- eISBN:
- 9780191869525
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198831587.001.0001
- Subject:
- Mathematics, Logic / Computer Science / Mathematical Philosophy, Applied Mathematics
The main purpose of this book is to demonstrate, by way of example, the several advantages of using a formal game-theoretic framework to explain complex events, diplomatic history, and contentious ...
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The main purpose of this book is to demonstrate, by way of example, the several advantages of using a formal game-theoretic framework to explain complex events, diplomatic history, and contentious interstate relationships, via causal mechanisms and rationality. Chapter 1 lays out the broad parameters and major concepts of the mathematical theory of games and its applications in the security studies literature. Chapter 2 explores a number of issues connected with the use of game-theoretic models to organize analytic narratives, both generally and specifically. Chapter 3 interprets the Moroccan crisis of 1905–6 in the context of an incomplete information game model. Chapter 4 surveys and evaluates several prominent attempts to use game theory to explain the strategic dynamic of the Cuban missile crisis of 1962. Chapter 5 offers a general explanation that answers all of the foundational questions associated with the Cuban crisis within the confines of a single, integrated, game-theoretic model with incomplete information. Chapter 6 uses the same game form to develop a logically consistent and empirically plausible explanation of the outbreak of war in Europe in early August 1914. Chapter 7 introduces perfect deterrence theory and contrasts it with the prevailing realist theory of interstate war prevention, and classical deterrence theory. Chapter 8 addresses the charge made by some behavioral economists (and many strategic analysts) that game theory is of limited utility for understanding interstate conflict behavior.Less
The main purpose of this book is to demonstrate, by way of example, the several advantages of using a formal game-theoretic framework to explain complex events, diplomatic history, and contentious interstate relationships, via causal mechanisms and rationality. Chapter 1 lays out the broad parameters and major concepts of the mathematical theory of games and its applications in the security studies literature. Chapter 2 explores a number of issues connected with the use of game-theoretic models to organize analytic narratives, both generally and specifically. Chapter 3 interprets the Moroccan crisis of 1905–6 in the context of an incomplete information game model. Chapter 4 surveys and evaluates several prominent attempts to use game theory to explain the strategic dynamic of the Cuban missile crisis of 1962. Chapter 5 offers a general explanation that answers all of the foundational questions associated with the Cuban crisis within the confines of a single, integrated, game-theoretic model with incomplete information. Chapter 6 uses the same game form to develop a logically consistent and empirically plausible explanation of the outbreak of war in Europe in early August 1914. Chapter 7 introduces perfect deterrence theory and contrasts it with the prevailing realist theory of interstate war prevention, and classical deterrence theory. Chapter 8 addresses the charge made by some behavioral economists (and many strategic analysts) that game theory is of limited utility for understanding interstate conflict behavior.
Andrea Braides
- Published in print:
- 2002
- Published Online:
- September 2007
- ISBN:
- 9780198507840
- eISBN:
- 9780191709890
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780198507840.001.0001
- Subject:
- Mathematics, Applied Mathematics
This book introduces the main concepts of the theory of De Giorgi's Gamma-convergence and gives a description of its main applications to the study of asymptotic variational problems. The content is ...
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This book introduces the main concepts of the theory of De Giorgi's Gamma-convergence and gives a description of its main applications to the study of asymptotic variational problems. The content is based on results obtained during thirty years of research. The book is divided into sixteen short chapters, an Introduction, and an Appendix. After explaining how a notion of variational convergence arises naturally from the study of the asymptotic behaviour of variational problems, the Introduction presents a number of examples that show how diversified the applications of this notion may be. The first chapter covers the abstract theory of Gamma-convergence, including its links with lower semicontinuity and relaxation, and the fundamental results on the convergence of minimum problems. The following ten chapters are all set in a one-dimensional framework to illustrate the main issues of convergence without the burden of high-dimensional technicalities. These include variational problems in Sobolev spaces, in particular homogenization theory, limits of discrete systems, segmentation and phase-transition problems, free-discontinuity problems and their approximation, etc. Chapters 12-15 are devoted to problems in a higher-dimensional setting, showing how some one-dimensional reasoning may be extended, if properly formulated, to a more general setting, and how some concepts already introduced can be integrated with vectorial issues. The final chapter introduces the more general and abstract localization methods of Gamma-convergence. All chapters are complemented by a guide to the literature, and a short description of extensions and developments.Less
This book introduces the main concepts of the theory of De Giorgi's Gamma-convergence and gives a description of its main applications to the study of asymptotic variational problems. The content is based on results obtained during thirty years of research. The book is divided into sixteen short chapters, an Introduction, and an Appendix. After explaining how a notion of variational convergence arises naturally from the study of the asymptotic behaviour of variational problems, the Introduction presents a number of examples that show how diversified the applications of this notion may be. The first chapter covers the abstract theory of Gamma-convergence, including its links with lower semicontinuity and relaxation, and the fundamental results on the convergence of minimum problems. The following ten chapters are all set in a one-dimensional framework to illustrate the main issues of convergence without the burden of high-dimensional technicalities. These include variational problems in Sobolev spaces, in particular homogenization theory, limits of discrete systems, segmentation and phase-transition problems, free-discontinuity problems and their approximation, etc. Chapters 12-15 are devoted to problems in a higher-dimensional setting, showing how some one-dimensional reasoning may be extended, if properly formulated, to a more general setting, and how some concepts already introduced can be integrated with vectorial issues. The final chapter introduces the more general and abstract localization methods of Gamma-convergence. All chapters are complemented by a guide to the literature, and a short description of extensions and developments.
Daniel Canarutto
- Published in print:
- 2020
- Published Online:
- December 2020
- ISBN:
- 9780198861492
- eISBN:
- 9780191894374
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198861492.001.0001
- Subject:
- Mathematics, Applied Mathematics, Mathematical Physics
This monograph addresses the need to clarify basic mathematical concepts at the crossroad between gravitation and quantum physics. Selected mathematical and theoretical topics are exposed within a ...
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This monograph addresses the need to clarify basic mathematical concepts at the crossroad between gravitation and quantum physics. Selected mathematical and theoretical topics are exposed within a not-too-short, integrated approach that exploits standard and non-standard notions in natural geometric language. The role of structure groups can be regarded as secondary even in the treatment of the gauge fields themselves. Two-spinors yield a partly original ‘minimal geometric data’ approach to Einstein-Cartan-Maxwell-Dirac fields. The gravitational field is jointly represented by a spinor connection and by a soldering form (a ‘tetrad’) valued in a vector bundle naturally constructed from the assumed 2-spinor bundle. We give a presentation of electroweak theory that dispenses with group-related notions, and we introduce a non-standard, natural extension of it. Also within the 2-spinor approach we present: a non-standard view of gauge freedom; a first-order Lagrangian theory of fields with arbitrary spin; an original treatment of Lie derivatives of spinors and spinor connections. Furthermore we introduce an original formulation of Lagrangian field theories based on covariant differentials, which works in the classical and quantum field theories alike and simplifies calculations. We offer a precise mathematical approach to quantum bundles and quantum fields, including ghosts, BRST symmetry and anti-fields, treating the geometry of quantum bundles and their jet prolongations in terms Frölicher's notion of smoothness. We propose an approach to quantum particle physics based on the notion of detector, and illustrate the basic scattering computations in that context.Less
This monograph addresses the need to clarify basic mathematical concepts at the crossroad between gravitation and quantum physics. Selected mathematical and theoretical topics are exposed within a not-too-short, integrated approach that exploits standard and non-standard notions in natural geometric language. The role of structure groups can be regarded as secondary even in the treatment of the gauge fields themselves. Two-spinors yield a partly original ‘minimal geometric data’ approach to Einstein-Cartan-Maxwell-Dirac fields. The gravitational field is jointly represented by a spinor connection and by a soldering form (a ‘tetrad’) valued in a vector bundle naturally constructed from the assumed 2-spinor bundle. We give a presentation of electroweak theory that dispenses with group-related notions, and we introduce a non-standard, natural extension of it. Also within the 2-spinor approach we present: a non-standard view of gauge freedom; a first-order Lagrangian theory of fields with arbitrary spin; an original treatment of Lie derivatives of spinors and spinor connections. Furthermore we introduce an original formulation of Lagrangian field theories based on covariant differentials, which works in the classical and quantum field theories alike and simplifies calculations. We offer a precise mathematical approach to quantum bundles and quantum fields, including ghosts, BRST symmetry and anti-fields, treating the geometry of quantum bundles and their jet prolongations in terms Frölicher's notion of smoothness. We propose an approach to quantum particle physics based on the notion of detector, and illustrate the basic scattering computations in that context.
Yvonne Choquet-Bruhat
- Published in print:
- 2008
- Published Online:
- May 2009
- ISBN:
- 9780199230723
- eISBN:
- 9780191710872
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780199230723.001.0001
- Subject:
- Mathematics, Applied Mathematics
General Relativity has passed all experimental and observational tests to model the motion of isolated bodies with strong gravitational fields, though the mathematical and numerical study of these ...
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General Relativity has passed all experimental and observational tests to model the motion of isolated bodies with strong gravitational fields, though the mathematical and numerical study of these motions is still in its infancy. It is believed that General Relativity models our cosmos, with a manifold of dimensions possibly greater than four and debatable topology opening a vast field of investigation for mathematicians and physicists alike. Remarkable conjectures have been proposed, many results have been obtained but many fundamental questions remain open. This book overviews the basic ideas in General Relativity, introduces the necessary mathematics and discusses some of the key open questions in the field.Less
General Relativity has passed all experimental and observational tests to model the motion of isolated bodies with strong gravitational fields, though the mathematical and numerical study of these motions is still in its infancy. It is believed that General Relativity models our cosmos, with a manifold of dimensions possibly greater than four and debatable topology opening a vast field of investigation for mathematicians and physicists alike. Remarkable conjectures have been proposed, many results have been obtained but many fundamental questions remain open. This book overviews the basic ideas in General Relativity, introduces the necessary mathematics and discusses some of the key open questions in the field.
Susan D'Agostino
- Published in print:
- 2020
- Published Online:
- April 2020
- ISBN:
- 9780198843597
- eISBN:
- 9780191879388
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/oso/9780198843597.001.0001
- Subject:
- Mathematics, Educational Mathematics, Applied Mathematics
How to Free Your Inner Mathematician: Notes on Mathematics and Life offers readers guidance in managing the fear, freedom, frustration, and joy that often accompany calls to think mathematically. ...
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How to Free Your Inner Mathematician: Notes on Mathematics and Life offers readers guidance in managing the fear, freedom, frustration, and joy that often accompany calls to think mathematically. With practical insight and years of award-winning mathematics teaching experience, DAgostino offers more than 300 hand-drawn sketches alongside accessible descriptions of fractals, symmetry, fuzzy logic, knot theory, Penrose patterns, infinity, the Twin Prime Conjecture, Arrows Impossibility Theorem, Fermats Last Theorem, and other intriguing mathematical topics. Readers are encouraged to embrace change, proceed at their own pace, mix up their routines, resist comparison, have faith, fail more often, look for beauty, exercise their imaginations, and define success for themselves. Mathematics students and enthusiasts will learn advice for fostering courage on their journey regardless of age or mathematical background. How to Free Your Inner Mathematician delivers not only engaging mathematical content but provides reassurance that mathematical success has more to do with curiosity and drive than innate aptitude.Less
How to Free Your Inner Mathematician: Notes on Mathematics and Life offers readers guidance in managing the fear, freedom, frustration, and joy that often accompany calls to think mathematically. With practical insight and years of award-winning mathematics teaching experience, DAgostino offers more than 300 hand-drawn sketches alongside accessible descriptions of fractals, symmetry, fuzzy logic, knot theory, Penrose patterns, infinity, the Twin Prime Conjecture, Arrows Impossibility Theorem, Fermats Last Theorem, and other intriguing mathematical topics. Readers are encouraged to embrace change, proceed at their own pace, mix up their routines, resist comparison, have faith, fail more often, look for beauty, exercise their imaginations, and define success for themselves. Mathematics students and enthusiasts will learn advice for fostering courage on their journey regardless of age or mathematical background. How to Free Your Inner Mathematician delivers not only engaging mathematical content but provides reassurance that mathematical success has more to do with curiosity and drive than innate aptitude.
Moody Chu and Gene Golub
- Published in print:
- 2005
- Published Online:
- September 2007
- ISBN:
- 9780198566649
- eISBN:
- 9780191718021
- Item type:
- book
- Publisher:
- Oxford University Press
- DOI:
- 10.1093/acprof:oso/9780198566649.001.0001
- Subject:
- Mathematics, Applied Mathematics
The basic goal of an inverse eigenvalue problem is to reconstruct the physical parameters of a certain system from the knowledge or desire of its dynamical behavior. Depending on the application, ...
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The basic goal of an inverse eigenvalue problem is to reconstruct the physical parameters of a certain system from the knowledge or desire of its dynamical behavior. Depending on the application, inverse eigenvalue problems appear in many different forms. This book discusses the fundamental questions, some known results, many applications, mathematical properties, a variety of numerical techniques, as well as several open problems.Less
The basic goal of an inverse eigenvalue problem is to reconstruct the physical parameters of a certain system from the knowledge or desire of its dynamical behavior. Depending on the application, inverse eigenvalue problems appear in many different forms. This book discusses the fundamental questions, some known results, many applications, mathematical properties, a variety of numerical techniques, as well as several open problems.