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详情介绍
课程大纲
{in name="user_id" value="21644"} {/ in}课程试听 推荐
1.考试大纲介绍
2022年CFA一级考纲解读
2.官方机考系统体验
官方机考系统介绍
3.考试介绍及备考指南
4.金融英语
伦理道德部分
衍生品
固定收益
股权投资
资产组合管理
公司金融
财务报表分析
经济学
数量分析
其他类投资
5.金融数学
前导课
6.计算机使用教程
CFA 一级 前导 财务计算器使用概述
CFA 一级 前导 货币的时间价值功能和摊销功能
CFA 一级 前导 现金流计算功能
CFA 一级 前导 债券计算功能
CFA 一级 前导 折旧计算功能
CFA 一级 前导 计算器其他功能和考试推荐设置
CFA 一级 前导 统计计算功能
7.财务报表分析前导
前导课
1.Quantitative Methods
Reading 1 The Time Value of Money
Reading 2 Organizing, Visualizing, and Describing Data
Reading 3 Probability Concepts
Reading 4 Common Probability Distributions
Reading 5 Sampling and Estimation
Reading 6 Hypothesis Testing
Reading 7 Introduction to Linear Regression
2.Portfolio Management
Reading 48 Portfolio Management: An Overview 405
Reading 49 Portfolio Risk and Return: Part I
Reading 50 Portfolio Risk and Return: Part II
Reading 51 Basics of Portfolio Planning and Construction
Reading 52 The Behavioral Biases of Individuals
Reading 53 Introduction to Risk Management
Reading 54 Technical Analysis
Reading 55 Fintech in Investment Management
3.Alternative Investments
Reading 47 Introduction to Alternative Investments
4.Derivatives
Reading 45 Derivative Markets and Instruments
Reading 46 Basics of Derivative Pricing and Valuation
5.Fixed Income
Reading 44 Fundamentals of Credit Analysis
Reading 41 Introduction to Fixed-Income Valuation
Reading 42 Introduction to Asset-Backed Securities
Reading 43 Understanding Fixed-Income Risk and Return
Reading 40 Fixed-Income Markets Issuance, Trading, and Funding
Reading 39 Fixed-Income Securities Defining Elements
6.Equity Investments
Reading 33 Market Organization and Structure
Reading 34 Security Market Indices
Reading 35 Market Efficiency
Reading 36 Overview of Equity Securities
Reading 37 Introduction to Industry and company Analysis
Reading 38 Equity Valuation Concept and Basic Tool
7.Corporate Issuers
overview
Reading 27 Introduction to Corporate Governance and Other ESG Considerations
Reading 28 Use of Capital
Reading 29 Source of Capital
Reading 30 Cost of Capital-Foundational Topics
Reading 31 Capital Structure
Reading 32 Measure of Leverage
8.Financial Statement Analysis
Reading 15 Introduction to Financial Statement Analysis
Reading 25 Financial Reporting Quality
Reading 24 Long-Term Liabilities and Leases
Reading 23 Income Taxes
Reading 22 Long-Lived Assets
Reading 21 Inventories
Reading 20 Financial Analysis Techniques
Reading 19 Understanding Cash Flow Statements
Reading 18 Understanding Balance Sheets
Reading 17 Understanding Income Statements
Reading 16 Financial Reporting Standards
Reading 26 Financial Statement Analysis: Applications
9.Economics
Reading 8 Topics in Demand and Supply Analysis
Reading 9 The Firm and Market Structures
Reading 10 Aggregate Output, Prices, and Economic Growth
Reading 11 Understanding Business Cycles
Reading 12 Monetary and Fiscal Policy
Reading 13 International Trade and Capital Flows
Reading 14 Currency Exchange Rates
10.Ethical and Professional Standards
一级道德基础班overview
Reading 56 Ethics and Trust in the Investment
Reading 57 Code of Ethics and Standards of
Reading 58 Guidance for Standards I–VII
Reading 59Introduction to the Global Investment
Reading 60 Ethics Application
1.Quantitative Methods
Reading 5 Sampling and Estimation
Reading 4 Common Probability Distributions
Reading 3 Probability Concepts
Reading 2 Organizing, Visualizing, and Describing Data
Reading 1 The Time Value of Money
Reading 6 Hypothesis Testing
Reading 7 Introduction to Linear Regression
2.Portfolio Management
Reading 48 Portfolio management overview
Reading 49 Portfolio Risk and Return- Part I
Reading 50 Portfolio Risk and Return- Part II
Reading 51 Basics of Portfolio Planning and Construction
Reading 52 The Behavioral Biases of Individuals
Reading 53 Introduction to Risk Management
Reading 54 Technical Analysis
Reading 55 Fintech in Investment Management
3.Alternative Investments
Reading 47 Introduction to Alternative Investments
4.Derivatives
Reading 45 Derivative Markets and Instruments
Reading 46 Basics of Derivative Pricing and Valuation
5.Fixed Income
Reading 39 Fixed-Income Securities: Defining Elements
Reading 40 Fixed-Income Markets: Issuance, Trading, and Funding
Reading 41 Introduction to Fixed-Income Valuation
Reading 42 Introduction to Asset-Backed Securities
Reading 43 Understanding Fixed-Income Risk and Return
Reading 44 Fundamentals of Credit Analysis
6.Equity Investments
Reading 33 Market Organization and Structure
Reading 34 Security Market Indices
Reading 35 Market Efficiency
Reading 36 Overview of Equity Securities
Reading 37 Introduction to Industry and company Analysis
Reading 38 Equity Valuation: Concept and Basic Tool
7.Corporate Issuers
Reading 27 Introduction to Corporate Governance and Other ESG Considerations
Reading 28 Use of Capital
Reading 29 Source of Capital
Reading 30 Cost of Capital-Foundational Topics
Reading 31 Capital Structure
Reading 32 Measures of Leverage
8.Financial Statement Analysis
Reading 15 Introduction to Financial Statement Analysis
Reading 25 Financial Reporting Quality
Reading 24 Non-Current (Long-Term) Liabilities
Reading 23 Income Taxes
Reading 22 Long-Lived Assets
Reading 21 Inventories
Reading 20 Financial Analysis Techniques
Reading 19 Understanding Cash Flow Statements
Reading 18 Understanding Balance Sheets
Reading 17 Understanding Income Statements
Reading 16 Financial Reporting Standards
Reading 26 Applications of Financial Statement Analysis
9.Economics
Reading 8 Topics in Demand and Supply Analysis
Reading 9 The Firm and Market Structures
Reading 10 Aggregate Output, Prices, and Economic Growth
Reading 11 Understanding Business Cycles
Reading 12 Monetary and Fiscal Policy
Reading 13 International Trade and Capital Flows
Reading 14 Currency Exchange Rates
10.Ethical and Professional Standards
Reading 56 Ethics and Trust in the Investment Profession
Reading 57 Code of Ethics and Standards of Professional Conduct
Reading 58 Guidance for Standards I–VII
Reading 59 Introduction to the Global Investment Performance Standards (GIPS)
1.Quantitative Methods
R1_M1_EAY and Compounding Frequency
R1_M2_Calculating PV and FV
R1_M3_Uneven Cash Flows
R2_M1_Organizing Data
R2_M2_Visualizing Data
R2_M3_Measures of Central Tendency
R2_M4_Measures of Location and Dispersion
R2_M5_Skewness Kurtosis and Correlation
R3_M1_Conditional and Joint Probabilities
R3_M2_Conditional Expectations and Expected Value
R3_M3_Portfolio Variance Bayes and Counting Problems
R4_M1_Uniform and Binomial Distributions
R4_M2_Normal Distributions
R4_M3_Lognormal T Chi-Square and F Distributions
R5_M1_Sampling Methods Central Limit Theorem and Standard Error
R5_M2_Confidence Intervals Resampling and Sampling Biases
R6_M1_Hypothesis Tests and Types of Errors Part 1
R6_M2_P-Values and Tests of Means
R6_M3_Mean Differences and Difference in Means
R6_M4_Tests of Variance Correlation and Independence
R7_M1_Linear Regression Introduction
R7_M2_Goodness of Fit and Hypothesis Tests
R7_M3_Predicting Dependent Variables
2.Economics
R8_M1_Elasticity
R8_M2_Demand and Supply
R9_M1_Perfect Competition
R9_M2_Monopolistic Competition
R9_M3_Oligopoly
R9_M4_Monopoly and Concentration
R10_M1_GDP Income and Expenditures
R10_M2_Aggregate Demand and Supply
R10_M3_Macro Equilibrium and Growth
R11_M1_Business Cycle Phases
R11_M2_Inflation and Indicators
R12_M1_Money and Inflation
R12_M2_Monetary Policy
R12_M3_Fiscal Policy
R13_M1_International Trade Benefits
R13_M2_Trade Restrictions
R14_M1_Foreign Exchange Rates
R14_M2_Forward Exchange Rates
R14_M3_Managing Exchange Rates
3. Financial Statement Analysts
R15_M1_Financial Statement Roles
R15_M2_Footnotes Audit and Analysis
R16_M1_Standards Overview
R16_M2_Financial Reporting Framework
R17_M1_Income Statement Overview
R17_M2_Revenue Recognition
R17_M3_Expense Recognition
R17_M4_EPS and Dilutive Securities
R17_M5_Common Size Income Statements
R18_M1_Balance Sheet Introduction
R18_M2_Assets and Liabilities
R18_M3_Current Assets and Liabilities
R18_M4_Noncurrent Assets and Liabilities
R18_M5_Intangible Assets
R18_M6_Marketable Securities
R18_M7_Shareholders Equity and Ratios
R19_M1_Cash Flow Introduction
R19_M2_Direct and Indirect Methods
R19_M3_Converting Direct to Indirect
R19_M4_Free Cashflow and Ratios
R20_M1_Introduction to Financial Ratios
R20_M2_Financial Ratios Part 1
R20_M3_Financial Ratios Part 2
R20_M4_DuPont Analysis
R20_M5_More Financial Ratios
R21_M1_Cost Flow Methods
R21_M2_Inventory Systems
R21_M3_Converting LIFO to FIFO
R21_M4_Inventory Valuation
R21_M5_Inventory Analysis
R22_M1_Capitalization vs. Expensing
R22_M2_Depreciation
R22_M3_Impairment and Revaluation
R22_M4_Fixed Asset Disclosures
R23_M1_Tax Terms
R23_M2_DTLs and DTAs
R23_M3_Deferred Tax Examples
R23_M4_Change in Tax Rates
R23_M5_Permanent Differences
R24_M1_Bond Issuance
R24_M2_Discount and Premium Bonds
R24_M3_Issuance Cost Derecognition and Disclosures
R24_M4_Lease and Pension Accounting
R25_M1_Reporting Quality
R25_M2_Accounting Choices and Estimates
R25_M3_Warning Signs
R26_M1_Forecasting
R26_M2_Credit and Equity Analysis
4. Corporate Issuers
R27_M1_Stakeholder Management
R27_M2_Factors Affecting Corporate Governance
R28_M1_Capital Allocation Principles
R28_M2_Net Present Value and Internal Rate of Return
R28_M3_Real Options and Capital Allocation Pitfalls
R29_M1_Sources of Capital
R30_M1_Weighted Average Cost of Capital
R30_M2_Beta Estimation and Flotation Costs
R31_M1_Capital Structure Theories
R31_M2_Capital Structure Decisions
R32_M1_Measures of Leverage
5.Equity Investments
R33_M1_Markets Assets and Intermediaries
R33_M2_Positions and Leverage
R33_M3_Order Execution and Validity
R34_M1_Index Weighting Methods
R34_M2_Uses and Types of Indexes
R35_M1_Market Efficiency
R36_M1_Types of Equity Investments
R36_M2_Foreign Equities and Equity Risk
R37_M1_Industry Analysis
R37_M2_Pricing Power and Company Analysis
R38_M1_Dividends Splits and Repurchases
R38_M2_Dividend Discount Models
R38_M3_Relative Valuation Measures
6. Fixed Income
R39_M1_Bond Indentures Regulation and Taxation
R39_M2_Bond Cash Flows and Contingencies
R40_M1_Types of Bonds and Issuers
R40_M2_Corporate Debt and Funding Alternatives
R41_M1_Bond Valuation and Yield to Maturity
R41_M2_Spot Rates and Accrued Interest
R41_M3_Yield Measures
R41_M4_Yield Curves
R41_M5_Yield Spreads
R42_M1_Structure of Mortgage Backed Securities
R42_M2_Prepayment Risk and Non-Mortgage-Backed ABS
R43_M1_Sources of Returns Duration
R43_M2_Interest Rate Risk Money Duration
R43_M3_Convexity and Yield Volatility
R44_M1_Credit Risk and Bond Ratings
R44_M2_Evaluating Credit Quality
7.Derivatives
R45_M1_Forwards and Futures
R45_M2_Swaps and Options
R46_M1_Forwards and Futures Valuation
R46_M2_Forward Rate Agreements and Swap Valuation
R46_M3_Option Valuation and Put-Call Parity
R46_M4_Binomial Model for Option Values
8.Alternative Investments
R47_M1_Alternative Investment Structures
R47_M2_-Hedge Funds
R47_M3_Private Capital
R47_M4_Natural Resources Real Estate and Infrastructure
R47_M5_Performance Appraisal and Return Calculations
9.Portfolio Management and Wealth Planning
R48_M1_Portfolio Management Process
R48_M2_Asset Management and Pooled Investments
R49_M1_Returns Measures
R49_M2_Covariance and Correlation
R49_M3_The Efficient Frontier
R50_M1_Systematic Risk and Beta
R50_M2_The CAPM and SML
R50_M2_The CAPM and SML
R51_M1_Portfolio Planning and Construction
R52_M1_Cognitive Errors vs Emotional Biases
R52_M2_Emotional Biases
R53_M1_Introduction to Risk Management
R54_M1_Technical Analysis
R55_M1_Fintech in Investment Management
10.Ethical and Professional Standards
R56_M1_Ethics and Trust in the Investment Profession
R57_M1_Code and Standards
R58_M1_Standard IA B
R58_M2_Standard IC D
R58_M3_Standard II
R58_M4_Standard IIIA B
R58_M5_Standard IIIC D E
R58_M6_Standard IV
R58_M7_Standard V
R58_M8_Standard VI
R58_M9_Standard VII
R59_M1_Introduction to GIPS
R60_M1_Ethics Application
1.串讲复习班
Equity Investments-1
Economics-1
Derivatives
Alternative Investments
Financial Statement Analysis-2
Financial Statement Analysis-1
Portfolio Management
Quantitative Methods-2
Quantitative Methods-1
Fixed Income-2
Fixed Income-1
Corporate Issuers
Ethical and Professional Standards
Equity Investments-2
Economics-2
1.百题冲刺班
Equity Investments
Fixed Income
Ethical and Professional Standards
Corporate Issuers
Financial Statement Analysis
Derivatives
Alternative Investments
Portfolio Management
Quantitative Methods
Economics
1.模考解析班
模拟机考一 -1
模拟机考一 -2
模拟机考二-1
模拟机考二-2