上课信息
上课时间:
上课地点:
报名时间 | 至 |
---|---|
培训时间 | |
培训地点 | |
培训费用 | 750 |
授课安排 |
CFA三级A套餐内容介绍
套餐内容包含:
2018年CFA考试教材notes(BOOK1-book5) 5本书纸质+(彩色三折页公式表)1张纸质+( KAPLAN官方付费在线软件做题题库网页和APP使用)+Flash Card+一对一服务(老师在线答疑)
售价:750元
在线题库:Kaplan 2018年CFA在线题库共计4000多道专项练习题目(在线注册使用)
Flash Card:在Qbank在线题库的基础上,增加FlashCard产品,便于学员和考生记忆, 快速掌握相关知识。
下面是4本书和习题集目录:
BooK1-ETHICAL AND PROFESSIONAL
STANDARDS AND BEHAVIORALFINANCE (第一本书目录)
Readings and Learning Outcome Statements..............................……………….………………………………………………….x
Study Session 1-Code of Ethics andStandards of Professional Conduct......………………………………………………………………………………………..…….1
Study Session 2-Ethical and ProfessionalStandards in Practice………………................................................................................……37
Study Session 3-BehavioralFinance...................................................................................................…79
Index......................................................................................................…153
Book 2-PRIVATE WEALTHMANAGEMENT
AND INSTITUTIONALINVESTORS(第二本书目录)
Readings and Learning Outcome Statements……………………………………………….v
Study Session 4-Private Wealth Management (1)..............................................................................................................1
Study Session 5-Private Wealth Management(2)............................................................................................................107
Self- Test -Private WealthManagement.............................................................................................169
Study Session 6-Fortfolio Management forInstitutional Investors..................................................................................................172
Self-Test -Portfolio Management for InstitutionalInvestors..................................................................................................213
Formulas………………………………..…………………………………………………………….216
Index…………………………………………………………………………………………………...218
BooK3-ECONOMIC ANALYSIS,ASSET
ALLOCATIONAND FIXED-INCOME
PORTFOLIOMANAGEMENT(第三本书目录)
Readings and Learning Outcome Statements…………………………………………….…..….v
Study Session 7-Applicationsof Economic Analysis to Portfolio Management…….….1
Self-Test-EconomicAnalysis...........................................................................................................85
Study Session8-Asset Allocation and Related Decisions in Portfolio
Management(1)………………………………………………………………..………………..………..88
Study Session 9-AssetAllocation and Related Decisions in Portfolio
Management(2)…………………………………………………………………………..……..………140
Self-Test-AssetAllocation.......................................................................................................2l6
Study Session10-Fixed-Income Portfolio Management (1)………………......………….224
Study Session11-Fixed -Income Portfolio Management(2 )….........................................................................................281
Self-Test-Fixed-IncomePortfolio Management……………………………………………...326
Formulas………………………………………………….………………………………..……………..329
Index...……………………………………………………………………………………..……………..333
Book 4-EQUITY PORTFOLIO
MANAGEMENT,ALTERNATIVE
INVESTMENTS,RISKMANAGEMENT,AND
DERIVATIVES
Readings and Learning Outcome Statements………………………………….………………v
Study Session 12-Equity PortfolioManagement.……………………………………..........1
Self-Test-Equity PortfolioManagement.................................................................................................50
Study Session 13-Alternative InvestmentsPortfolio Management.….............................................................................................53
Self-Test-Alternative Investments PortfolioManagement................................................................................................94
Study Session 14-RiskManagement.…...........................................................................................97
Self-Test-RiskManagement...............................................................................................135
Study Session 15-Risk ManagementApplications of Derivatives..............................................................................................….138
Self-Test-Risk Management Applications ofDerivatives.................................................................................................238
Formulas....................................................................................................241
CumulativeZ-Table........................................................................................................243
Index………………………………………………………………………………………….…………244
Book 5-TRADING,MONITORING,
ANDREBALANCING;PERFORMANCE
EVALUATION,AND GLOBALINVESTMENT
PERFORMANCE STANDARDS
Readings and Learning OutcomeStatements..............................…………………………………………………………………..v
Study Session 16-Trading,Monitoring,and Rebalancing………...…………………………1
Study Session 17-PerformanceEvaluation..................................................................................................59
Study Session 18-Global Investment PerformanceStandards…………………...............................................................................125
Formulas...................................................................................................204
Index……………………………………………………………………………………..……………..206
内容不能少于5个字符!
©2024Peixun.net 北京国富如荷网络科技有限公司 版权所有 未经许可 请勿转载 京ICP备11001960号-4 京公网安备 11010802034634号
邮件已发送!
已成功发送邮件到您注册的邮箱 请前往查询并点击链接重置密码