融跃教育

2021年CFA一级冲刺私播课

原价:¥6980.00

现价: 3980.00

课程简介: 私播课的授课老师均为融跃核心师资,通过直播平台多维教学工具,真实还原面授课堂知识传递现场。 课程更有课下题库练习、私教辅导学习、学测题库平台,助您考试备考无忧,一次通过。

视频有效期:6个月

视频时长:71学时

视频数量:50个

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  • 2021年CFA一级Kaplan英文视频
  • 2021年CFA一级冲刺私播课

2021年CFA一级Kaplan原版英文视频

  • How to Pass the Level I Exam(讲义在这里)

    • How to Pass the Level I Exam

  • Ethical and Professional Standards

    • SS1_R1_M1_Ethics and Trust in the Investment Profession

    • SS1_R2_M1_Code and Standards

    • SS1_R3_M1_Standard IA B

    • SS1_R3_M2_Standard IC D

    • SS1_R3_M3_Standard II

    • SS1_R3_M4_Standard IIIA B

    • SS1_R3_M5_Standard IIIC D E

    • SS1_R3_M6_Standard IV

    • SS1_R3_M7_Standard V

    • SS1_R3_M8_Standard VI

    • SS1_R3_M9_Standard VII

    • SS1_R4_M1_Introduction to GIPS

    • SS1_R5_M1_Global Investment Performance Standards

  • Quantitative Methods

    • SS2_R6_M1_EAY and Compounding Frequency

    • SS2_R6_M2_Calculating PV and FV

    • SS2_R6_M3_Uneven Cash Flows

    • SS2_R7_M1_Describing Data Sets

    • SS2_R7_M2_Means and Variance

    • SS2_R7_M3_Skew and Kurtosis

    • SS2_R8_M1_Conditional and Joint Probabilities

    • SS2_R8_M2_Conditional Expectations and Correlation

    • SS2_R8_M3_Portfolio Variance Bayes and Counting Problems

    • SS3_R9_M1_Uniform and Binomial Distributions

    • SS3_R9_M2_Normal Distributions

    • SS3_R9_M3_Lognormal Distribution and Simulations

    • SS3_R10_M1_Central Limit Theorem and Standard Error

    • SS3_R10_M2_Confidence Intervals and T-distribution

    • SS3_R11_M1_Hypothesis Tests and Types of Errors

    • SS3_R11_M2_Tests of Means and p-values

    • SS3_R11_M3_Mean Differences Difference in Means

  • Economics

    • SS4_R12_M1_Elasticity

    • SS4_R12_M2_Demand and Supply

    • SS4_R13_M1_Perfect Competition

    • SS4_R13_M2_Monopolistic Competition

    • SS4_R13_M3_Oligopoly_subtile

    • SS4_R13_M4_Monopoly and Concentration

    • SS4_R14_M1_GDP Income and Expenditures

    • SS4_R14_M2_Aggregate Supply and Demand

    • SS4_R14_M3_Macro Equilibrium and Growth

    • SS4_R15_M1_Business Cycle Phases

    • SS4_R15_M2_Inflation and Indicators

    • SS5_R16_M1_Money and Inflation

    • SS5_R16_M2_Monetary Policy

    • SS5_R16_M3_Fiscal Policy

    • SS5_R17_M1_International Trade Benefits

    • SS5_R17_M2_Trade Restrictions

    • SS5_R18_M1_Foreign Exchange Rates

    • SS5_R18_M2_Forward Exchange Rates

    • SS5_R18_M3_Managing Exchange Rates

  • Financial Reporting and Analysis

    • SS6_R19_M1_Financial Statement Roles

    • SS6_R19_M2_Footnotes Audit and Analysis

    • SS6_R20_M1_Standards Overview

    • SS6_R20_M2_Financial Reporting Framework

    • SS7_R21_M1_Income Statement Overview

    • SS7_R21_M2_Revenue Recognition

    • SS7_R21_M3_Expense Recognition

    • SS7_R21_M4_EPS and Dilutive Securities

    • SS7_R21_M5_Common Size Income Statements

    • SS7_R22_M1_Balance Sheet Introduction

    • SS7_R22_M2_Assets and Liabilities

    • SS7_R22_M3_Current Assets and Liabilities

    • SS7_R22_M4_Noncurrent Assets and Liabilities

    • SS7_R22_M5_Intangible Assets

    • SS7_R22_M6_Marketable Securities

    • SS7_R22_M7_Shareholders Equity and Ratios

    • SS7_R23_M1_Cash Flow Introduction

    • SS7_R23_M2_Direct and Indirect Methods

    • SS7_R23_M3_Converting Direct to Indirect

    • SS7_R23_M4_Free Cashflow and Ratios

    • SS7_R24_M1_Introduction to Financial Ratios

    • SS7_R24_M2_Financial Ratios 1

    • SS7_R24_M3_Financial Ratios Part 2

    • SS7_R24_M4_DuPont Analysis

    • SS7_R24_M5_More Financial Ratios

    • SS8_R25_M1_Cost Flow Methods

    • SS8_R25_M2_Inventory Systems

    • SS8_R25_M3_Converting LIFO to FIFO

    • SS8_R25_M4_Inventory Valuation

    • SS8_R25_M5_Inventory Analysis

    • SS8_R26_M1_Capitalization vs. Expensing

    • SS8_R26_M2_Depreciation

    • SS8_R26_M3_Impairment and Revaluation

    • SS8_R26_M4_Fixed Asset Disclosures

    • SS8_R27_M1_Tax Terms

    • SS8_R27_M2_DTLs and DTAs

    • SS8_R27_M3_Deferred Tax Examples

    • SS8_R27_M4_Change in Tax Rates

    • SS8_R27_M5_Permanent Differences

    • SS8_R28_M1_Bond Issuance

    • SS8_R28_M2_Discount and Premium Bonds

    • SS8_R28_M3_Issuance Cost Derecognition and Disclosures

    • SS8_R28_M4_Lease and Pension Accounting

    • SS9_R29_M1_Reporting Quality

    • SS9_R29_M2_Accounting Choices and Estimates

    • SS9_R29_M3_Warning Signs

    • SS9_R30_M1_Forecasting

    • SS9_R30_M2_Credit and Equity Analysis

  • Corporate Finance

    • SS10_R31_M1_Stakeholder Management

    • SS10_R31_M2_Factors Affecting Corporate Governance

    • SS10_R32_M1_Capital Projects NPV and IRR

    • SS10_R32_M2_Payback Period Project Rankings

    • SS10_R33_M1_Weighted Average Cost of Capital

    • SS10_R33_M2_Project Cost of Capital

    • SS11_R34_M1_Measures of Leverage

    • SS11_R35_M1_Working Capital Management

  • Equity Investments

    • SS12_R36_M1_Markets Assets and Intermediaries

    • SS12_R36_M2_Positions and Leverage

    • SS12_R36_M3_Order Execution and Validity

    • SS12_R37_M1_Index Weighting Methods

    • SS12_R37_M2_Uses and Types of Indexes

    • SS12_R38_M1_Market Efficiency

    • SS13_R39_M1_Types of Equity Investments

    • SS13_R39_M2_Foreign Equities and Equity Risk

    • SS13_R40_M1_Industry Analysis

    • SS13_R40_M2_Pricing Power and Company Analysis

    • SS13_R41_M1_Dividends Splits and Repurchases

    • SS13_R41_M2_Dividend Discount Models

    • SS13_R41_M3_Relative Valuation Measures

  • Fixed Income

    • SS14_R42_M1_Bond Indentures Regulation and Taxation

    • SS14_R42_M2_Bond Cash Flows and Contingencies

    • SS14_R43_M1_Types of Bonds and Issuers

    • SS14_R43_M2_Corporate Debt and Funding Alternatives

    • SS14_R44_M1_Bond Valuation and Yield to Maturity

    • SS14_R44_M2_Spot Rates and Accrued Interest

    • SS14_R44_M3_Yield Measures

    • SS14_R44_M4_Yield Curves

    • SS14_R44_M5_Yield Spreads

    • SS14_R45_M1_Structure of Mortgage Backed Securities

    • SS14_R45_M2_Prepayment Risk Nonmortage Backed

    • SS15_R46_M1_Sources of Returns Duration

    • SS15_R46_M2_Interest Rate Risk Money Duration

    • SS15_R46_M3_Convexity Yield Volatility

    • SS15_R47_M1_Credit Risk and Bond Ratings

    • SS15_R47_M2_Evaluating Credit Quality

  • Derivatives

    • SS16_R48_M1_Forwards and Futures

    • SS16_R48_M2_Swaps and Options

    • SS16_R49_M1_Forwards and Futures Valuation

    • SS16_R49_M2_Forward Rate Agreements and Swap Valuation

    • SS16_R49_M3_Option Valuation and Put-Call Parity

    • SS16_R49_M4_Binomial Model for Option Values

  • Alternative Investments

    • SS17_R50_M1_Private Equity and Real Estate

    • SS17_R50_M2_Hedge Funds Commodities and Infrastructure

  • Portfolio Management

    • SS18_R51_M1_Portfolio Management Process

    • SS18_R51_M2_Asset Management and Pooled Investments

    • SS18_R52_M1_Returns Measures

    • SS18_R52_M2_Covariance and Correlation

    • SS18_R52_M3_The Efficient Frontier

    • SS18_R53_M1_Systematic Risk and Beta

    • SS18_R53_M2_The CAPM and SML

    • SS19_R54_M1_Portfolio Planning and Construction

    • SS19_R55_M1_Introduction to Risk Management

    • SS19_R56_M1_Technical Analysis

    • SS19_R57_M1_Fintech in Investment Management

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