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1.Behavioral Finance
Reading 1 The Behavioral Biases of Individuals
Reading 2 Behavioral Finance and Investment Processes
2.Capital Market Expectations
Reading 3 Capital Market Expectations, Part 1 Framework and Macro Considerations
Reading 4 Capital Market Expectations, Part 2 Forecasting Asset Class Returns
3.Asset Allocation and Related Decisions in Portfolio Management
Reading 5 Overview of Asset Allocation
Reading 6 Principles of Asset Allocation
Reading 7 Asset Allocation with Real-World Constraints
4.Derivatives and Currency Management
Reading 8 Options Strategies
Reading 9 Swaps, Forwards, and Futures Strategies
Reading 10 Currency Management: An Introduction
5.Fixed-Income Portfolio Management
Reading 11 Overview of Fixed- Income Portfolio Management
Reading 12 Liability- Driven and Index- Based Strategies
Reading 13 Yield Curve Strategies
Reading 14 Fixed- Income Active Management Credit Strategies
6.Equity Portfolio Management
Reading 15 Overview of Equity Portfolio Management
Reading 16 Passive Equity Investing
Reading 17 Active Equity Investing: Strategies
Reading 18 Active Equity Investing: Portfolio Construction
7.Alternative Investments for Portfolio Management
Reading 19 Hedge Fund Strategies
Reading 20 Asset Allocation to Alternative Investments
8.Private Wealth Management
Introduction
Reading 21 Overview of Private Wealth Management
Reading 22 Topics in Private Wealth Management
Reading 23 Risk Management for Individuals
9.Portfolio Management for Institutional Investors
Reading 24 Portfolio Management for Institutional Investors
10.Trading, Performance Evaluation, and Manager Selection
Reading 25 Trade Strategy and Execution
Reading 26 Portfolio Performance Evaluation
Reading 27 Investment Manager Selection
11.Cases in Portfolio Management and Risk Management
Reading 28 Case Study in Portfolio Management Institutional
Reading 29 Case Study in Risk Management: Private Wealth
Reading 30 Integrated Cases in Risk Management: Institutional
12.Ethical and Professional Standards
Reading 31 Code of Ethics and Standards of Professional Conduct
Reading 32 Guidance for Standards I–VII
Reading 33 Application of the Code and Standards: Level III
Reading 34 Asset Manager Code of Professional Conduct
Reading 35 Overview of the Global Investment Performance Standards
1.Behavioral Finance
Reading 1 The Behavioral Biases of Individuals
Reading 2 Behavioral finance
2.Capital Market Expectations
Reading 3 Capital Market Expectations, Part 1: Framework and Macro Considerations
Reading 4 Capital Market Expectations, Part 2: Forecasting Asset Class Returns
3.Asset Allocation and Related Decisions in Portfolio Management
Reading 5 Overview of Asset Allocation
Reading 6 Principles of Asset Allocation
Reading 7 Asset Allocation with Real-World Constraints
4.Derivatives and Currency Management
Reading 8 Options Strategies
Reading 9 Swaps, Forwards, and Futures Strategies
Reading 10 Currency Management: An Introduction
5.Fixed-Income Portfolio Management
Reading 11 Overview of Fixed-Income Portfolio Management
Reading 12 Liability-Driven and Index-Based Strategies
Reading 13 Yield Curve Strategies
Reading 14 Fixed-Income Active Management: Credit Strategies
6.Equity Portfolio Management
Reading 15 Introduction to Equity Portfolio Management
Reading 16 Passive Equity Investing
Reading 17 Active Equity Investing:Strategies
Reading 18 Active Equity Investing:Portfolio Construction
7.Alternative Investments for Portfolio Management
Reading 19 Hedge Funds
Reading 20 Asset allocation to alternative investments
8.Private Wealth Management
Reading 21 Overview of Private Wealth Management
Reading 22 Topics in Private Wealth Management
Reading 23 Risk Management for Individuals
9.Portfolio Management for Institutional Investors
Reading 24 Portfolio Management for Institutional Investors
10.Trading, Performance Evaluation, and Manager Selection
Reading 25 Trade Strategy and Execution
Reading 26 Portfolio Performance Evaluation
Reading 27 Investment Manager Selection
11.Ethical and Professional Standards
Reading 32 Guidance for Standards I–VII
Reading 33 Application of the Code and Standards: Level III
Reading 34 Asset Manager Code of Professional Conduct
Reading 35 Overview of the Global Investment Performance Standards
1.Behavioral Finance
Reading 1 The Behavioral Biases of Individuals
Reading 2 Behavioral Finance and Investment Processes
2.Capital Market Expectations
Reading 3 Capital Market Expectations, Part 1: Framework and Macro Considerations
Reading 4 Capital Market Expectations, Part 2: Forecasting Asset Class Returns
3.Asset Allocation and Related Decisions in Portfolio Management
Reading 5 Overview of Asset Allocation
Reading 6 Principles of Asset Allocation
Reading 7 Asset Allocation with Real-World Constraints
4.Derivatives and Currency Management
Reading 8 Options Strategies
Reading 9 Swaps, Forwards, and Futures Strategies
Reading 10 Currency Management- An Introduction
5.Fixed-Income Portfolio Management
Reading 11 Overview of Fixed- Income Portfolio Management
Reading 12 Liability- Driven and Index- Based Strategies
Reading 13 Yield Curve Strategies
Reading 14 Fixed- Income Active Management- Credit Strategies
6.Equity Portfolio Management
Reading 15 Overview of Equity Portfolio Management
Reading 16 Passive Equity Investing
Reading 17 Active Equity Investing Strategies
Reading 18 Active Equity Investing Portfolio Construction
7.Alternative Investments for Portfolio Management
Reading 19 Hedge Funds
Reading 20 Asset allocation to alternative investments
8.Private Wealth Management
Reading 21 Overview of Private Wealth Management
Reading 22 Topics in Private Wealth Management
Reading 23 Risk Management for Individuals
9.Portfolio Management for Institutional Investors
Reading 24 Portfolio Management for Institutional Investors
10.Trading, Performance Evaluation, and Manager Selection
Reading 25 Trade strategy and execution
Reading 26 Portfolio performance evaluation
Reading 27 Investment manager selection
11.Ethical and Professional Standards
Reading 31&Reading 32 Guidance for Standards I–VII
Reading 34 Asset Manager Code of Professional Conduct
Reading 35 Overview of the Global Investment Performance Standards
1.Behavioral Finance
Behavioral Finance
2.Capital Market Expectations
Capital Market Expectations
3.Asset Allocation and Related Decisions in Portfolio Management
Asset Allocation and Related Decisions in Portfolio Management
4.Derivatives and Currency Management
Derivatives and Currency Management
5.Fixed-Income Portfolio Management
Fixed-Income Portfolio Management
6.Equity Portfolio Management
Equity Portfolio Management
7.Alternative Investments for Portfolio Management
Alternative Investments for Portfolio Management
8.Private Wealth Management
Private Wealth Management
9.Portfolio Management for Institutional Investors
Portfolio Management for Institutional Investors
10.Trading, Performance Evaluation, and Manager Selection
Trading, Performance Evaluation, and Manager Selection
11.Ethical and Professional Standards
Ethical and Professional Standards
1.Capital Market Expectations
資本市場預期沖刺
2.Asset Allocation and Related Decisions in Portfolio Management
資產配置沖刺
3.Derivatives and Currency Management
衍生品沖刺
4.Fixed-Income Portfolio Management
固定收益沖刺
5.Equity Portfolio Management
權益投資沖刺
6.Alternative Investments for Portfolio Management
另類投資沖刺
7.Private Wealth Management
個人IPS沖刺
8.Portfolio Management for Institutional Investors
機構IPS沖刺
9.Trading, Performance Evaluation, and Manager Selection
資產組合管理沖刺
10.Ethical and Professional Standards
道德沖刺
1.Ethical and Professional Standards
道德串講
2.Trading, Performance Evaluation, and Manager Selection
Module 1 Trade Strategy and Execution
Module 2 Portfolio Performance Evaluation
Module 3 Investment Manager Selection
3.Portfolio Management for Institutional Investors
Module 1 Portfolio Management for Institutional Investors
4.Private Wealth Management
Module 1 Overview of Private Wealth Management
Module 2 Topics in Private Wealth Management
Module 3 Risk Management for Individuals
5.Alternative Investments for Portfolio Management
Module 1 Hedge funds
Module 2 Asset allocation to alternative investments
6.Equity Portfolio Management
Module 1 Introduction to Equity Portfolio Management
Module 2 Passive Equity Investing
Module 3 Active Equity Investing: Strategies
Module 4 Active Equity Investing: Portfolio Construction
7.Fixed-Income Portfolio Management
Module 1 Overview of Fixed- Income Portfolio Management
Module 2 Liability- Driven and Index- Based Strategies
Module 3 Yield Curve Strategies
Module 4 Fixed- Income Active Management: Credit Strategies
8.Derivatives and Currency Management
Module 1 Options Strategies
Module 2 Swaps, Forwards, and Futures Strategies
Module 3 Currency Management: An Introduction
9.Capital Market Expectations
Module 1 Part 1: Framework and Macro Considerations
Module 2 Part 2: Forecasting Asset Class Returns
10.Asset Allocation and Related Decisions in Portfolio Management
Module 3 Asset Allocation with Real-World Constraints
Module 2 Principles of Asset Allocation
Module 1 Overview of Asset Allocation
1.Capital Market Expectations
2016年經濟學真題
2017年經濟學真題
2018年經濟學真題
2.Asset Allocation and Related Decisions in Portfolio Management
2016年資產配置真題
2017年資產配置真題
2018年資產配置真題
3.Fixed-Income Portfolio Management
2016年固定收益真題
2017年固定收益真題
2018年固定收益真題
4.Equity Portfolio Management
2016年權益投資真題
2018年權益投資真題
5.Alternative Investments for Portfolio Management
2017年另類投資真題
6.Private Wealth Management
2016年個人IPS真題
2017年個人IPS真題
2018年個人IPS真題
7.Portfolio Management for Institutional Investors
2016年機構IPS真題
2017年機構IPS真題
2018年機構IPS真題
8.Trading, Performance Evaluation, and Manager Selection
2016年資產管理真題
2017年資產管理真題
2018年資產管理真題
9.Cases in Portfolio Management and Risk Management
2016年Case真題
2017年Case真題
2018年Case真題
1.IPS私播課
串講復習
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