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课程大纲
{in name="user_id" value="21644"} {/ in}课程试听 推荐
                1.冲刺直播
数量分析
											                
											            
风险管理基础
											                
											            
估值与风险模型
											                
											            
金融市场产品
											                
											            
模拟机考
											                
											            
1.Corporate Issuers
overview
											                
											            
Module 1 Corporate Structures and Ownership
											                
											            
Module 2 Introduction to Corporate Governance and Other ESG Considerations
											                
											            
Module 3 Business Models & Risks
											                
											            
Module 4 Capital Investments
											                
											            
Module 5 Working Capital & Liquidity
											                
											            
Module 6 Cost of Capital-Foundational Topics
											                
											            
Module 7 Capital Structure
											                
											            
Module 8 Measure of Leverage
											                
											            
2.Equity Investment
Module 1 Market Organization and Structure
											                
											            
Module 2 Security Market Indices
											                
											            
Module 3 Market Efficiency
											                
											            
Module 4 Overview of Equity Securities
											                
											            
Module 5 Introduction to Industry and company Analysis
											                
											            
Module 6 Equity Valuation: Concept and Basic Tool
											                
											            
3.Fixed Income
Module 1 Fixed-Income Securities: Defining Elements
											                
											            
Module 2 Fixed-Income Markets: Issuance, Trading, and Funding
											                
											            
Module 3 Introduction to Fixed-Income Valuation
											                
											            
Module 4 Introduction to Asset-Backed Securities
											                
											            
Module 5 Understanding Fixed-Income Risk and Return
											                
											            
Module 6 Fundamentals of Credit Analysis
											                
											            
4.Derivatives
Module 1 Derivative Instrument and Derivative Market Features
											                
											            
Module 2 Forward Commitment and Contingent Claim Features and Instruments
											                
											            
Module 3 Derivative Benefits, Risks, and Issuer and Investor Uses
											                
											            
Module 4 Arbitrage, Replication, and the Cost of Carry in Pricing Derivatives
											                
											            
Module 5 Pricing and Valuation of Forward Contracts and for an Underlying with Varying Maturities
											                
											            
Module 6 Pricing and Valuation of Futures Contracts
											                
											            
Module 7 Pricing and Valuation of Interest Rates and Other Swaps
											                
											            
Module 8 Pricing and Valuation of Options
											                
											            
Module 9 Option Replication Using Put–Call Parity
											                
											            
Module 10 Valuing a Derivative Using a One-Period Binomial Model
											                
											            
5.Alternative Investments
Module 1 Categories, Characteristics, and Compensation Structures of Alternative Investments
											                
											            
Module 2 Performance Calculation and Appraisal of Alternative Investments
											                
											            
Module 3 Private Capital, Real Estate, Infrastructure, Natural Resources, and Hedge Funds
											                
											            
6.Portfolio Management and Wealth Planning
Module 1 Portfolio management overview
											                
											            
Module 2 Portfolio Risk and Return: Part Ⅰ
											                
											            
Module 3 Portfolio Risk and Return: Part Ⅱ
											                
											            
Module 4 Basic of Portfolio Planning and Construction
											                
											            
Module 5 The Behavioral Biases of Individuals
											                
											            
Module 6 Introduction to Risk Management
											                
											            
Module 7 Technical Analysis
											                
											            
Module 8 Fintech in Investment Management
											                
											            
7.Ethical and Professional Standards
Module 1 Ethics and Professionalism
											                
											            
Module 2 Code of Ethics and Standards of Professional Conduct
											                
											            
Module 3 Guidance for Standards I–VII
											                
											            
Module 4 Introduction to the Global Investment Performance Standards (GIPS)
											                
											            
Module 5 Ethics Application
											                
											            
8.Financial Statement Analysts-Lai
Module 1 Introduction to Financial Statement Analysis
											                
											            
Module 2 Financial Reporting Standards
											                
											            
Module 3 Understanding Income Statements
											                
											            
Module 4 Understanding Balance Sheets
											                
											            
Module 5 Understanding Cash Flow Statements
											                
											            
Module 6 Financial Analysis Techniques
											                
											            
Module 7 Inventories
											                
											            
Module 8 Long-Lived Assets
											                
											            
Module 9 Income Taxes
											                
											            
Module 10 Long-Term Liabilities and Leases
											                
											            
Module 11 Financial Reporting Quality
											                
											            
Module 12 Financial Statement Analysis: Applications
											                
											            
Introduction
											                
											            
9.Financial Statement Analysts-Clara
Module 1 Introduction to Financial Statement Analysis
											                
											            
Module 2 Financial Reporting Standards
											                
											            
Module 3 Understanding Income Statements
											                
											            
Module 4 Understanding Balance Sheets
											                
											            
Module 5 Understanding Cash Flow Statements
											                
											            
Module 6 Financial Analysis Techniques
											                
											            
Module 7 Inventories
											                
											            
Module 8 Long-Lived Assets
											                
											            
Module 9 Income taxes
											                
											            
Module 10 Long-Term Liabilities
											                
											            
Module 11 Financial reporting quality
											                
											            
Module 12 Applications of Financial Statement Analysis
											                
											            
10.Economics
overview
											                
											            
Module 1 Topics in Demand and Supply Analysis
											                
											            
Module 2 The Firm and Market Structures
											                
											            
Module 3 Aggregate Output, Prices, and Economic Growth
											                
											            
Module 4 Understanding Business Cycles
											                
											            
Module 5 Monetary and Fiscal Policy
											                
											            
Module 6 Introduction to Geopolitics
											                
											            
Module 7 International Trade and Capital Flows
											                
											            
Module 8 Currency Exchange Rates
											                
											            
11.Quantitative Methods
Module 1 The Time Value of Money
											                
											            
Module 2 Organizing, Visualizing, and Describing Data
											                
											            
Module 3 Probability Concepts
											                
											            
Module 4 Common Probability Distributions
											                
											            
Module 5 Sampling and Estimation
											                
											            
Module 6 Hypothesis Testing
											                
											            
Module 7 Introduction to Linear Regression
											                
											            
1.计算机使用教程
计算机使用教程
											                
											            
2.计算器使用教程
1 - 计算器基本操作
											                
											            
2 - CFA考试用操作和功能
											                
											            
3 - CFA考试用功能的经典例题
											                
											            
4 - CFA考试推荐设置
											                
											            
3.金融数学
金融数学
											                
											            
4.CFA考前注意事项
CFA考前注意事项
											                
											            
5.金融英语
金融英语
											                
											            
6.财务报表分析前导
财务报表分析前导
											                
											            
7.2023年一级考纲变化
2023年一级考纲变化
											                
											            
8.官方机考系统体验
官方机考系统介绍
											                
											            
1.Quantitative Methods
Module 1 The Time Value of Money
											                
											            
Module 2 Organizing, Visualizing, and Describing Data
											                
											            
Module 3 Probability Concepts
											                
											            
Module 4 Common Probability Distributions
											                
											            
Module 5 Sampling and Estimation
											                
											            
Module 6 Hypothesis Testing
											                
											            
Module 7 Introduction to Linear Regression
											                
											            
2.Economics
Module 1 Topics in Demand and Supply Analysis
											                
											            
Module 2 The Firm and Market Structures
											                
											            
Module 3 Aggregate Output, Prices, and Economic Growth
											                
											            
Module 4 Understanding Business Cycles
											                
											            
Module 5 Monetary and Fiscal Policy
											                
											            
Module 6 Introduction to Geopolitics
											                
											            
Module 7 International Trade and Capital Flows
											                
											            
Module 8 Currency Exchange Rates
											                
											            
3.Financial Statement Analysts-Clara
Module 1 Introduction to Financial Statement Analysis
											                
											            
Module 2 Financial Reporting Standards
											                
											            
Module 3 Understanding Income Statements
											                
											            
Module 4 Understanding Balance Sheets
											                
											            
Module 5 Understanding Cash Flow Statements
											                
											            
Module 6 Financial Analysis Techniques
											                
											            
Module 7 Inventories
											                
											            
Module 8 Long-Lived Assets
											                
											            
Module 9 Income taxes
											                
											            
Module 10 Long-Term Liabilities
											                
											            
Module 11 Financial reporting quality
											                
											            
Module 12 Applications of Financial Statement Analysis
											                
											            
4.Financial Statement Analysts-Lai
Module 1 Introduction to Financial Statement Analysis
											                
											            
Module 2 Financial Reporting Standards
											                
											            
Module 3 Understanding Income Statements
											                
											            
Module 4 Understanding Balance Sheets
											                
											            
Module 5 Understanding Cash Flow Statements
											                
											            
Module 6 Financial Analysis Techniques
											                
											            
Module 7 Inventories
											                
											            
Module 8 Long-Lived Assets
											                
											            
Module 9 Income Taxes
											                
											            
Module 10 Long-Term Liabilities and Leases
											                
											            
Module 11 Financial Reporting Quality
											                
											            
Module 12 Financial Statement Analysis: Applications
											                
											            
习题知识点汇总
											                
											            
5.Corporate Issuers
Module 1 Corporate Structures and Ownership
											                
											            
Module 2 Introduction to Corporate Governance and Other ESG Considerations
											                
											            
Module 3 Business Models & Risks
											                
											            
Module 4 Capital Investments
											                
											            
Module 5 Working Capital & Liquidity
											                
											            
Module 6 Cost of Capital-Foundational Topics
											                
											            
Module 7 Capital Structure
											                
											            
Module 8 Measure of Leverage
											                
											            
6.Equity Investment
Module 1 Market Organization and Structure
											                
											            
Module 2 Security Market Indices
											                
											            
Module 3 Market Efficiency
											                
											            
Module 4 Overview of Equity Securities
											                
											            
Module 5 Introduction to Industry and company Analysis
											                
											            
Module 6 Equity Valuation: Concept and Basic Tool
											                
											            
7.Fixed Income
Module 1 Fixed-Income Securities: Defining Elements
											                
											            
Module 2 Fixed-Income Markets: Issuance, Trading, and Funding
											                
											            
Module 3 Introduction to Fixed-Income Valuation
											                
											            
Module 4 Introduction to Asset-Backed Securities
											                
											            
Module 5 Understanding Fixed-Income Risk and Return
											                
											            
Module 6 Fundamentals of Credit Analysis
											                
											            
8.Derivatives
Module 1 Derivative Instrument and Derivative Market Features
											                
											            
Module 2 Forward Commitment and Contingent Claim Features and Instruments
											                
											            
Module 3 Derivative Benefits, Risks, and Issuer and Investor Uses
											                
											            
Module 5 Pricing and Valuation of Forward Contracts and for an Underlying with Varying Maturities
											                
											            
Module 6 Pricing and Valuation of Futures Contracts
											                
											            
Module 7 Pricing and Valuation of Interest Rates and Other Swaps
											                
											            
Module 8 Pricing and Valuation of Options
											                
											            
Module 10 Valuing a Derivative Using a One-Period Binomial Model
											                
											            
9.Alternative Investments
Module 1 Categories, Characteristics, and Compensation Structures of Alternative Investments
											                
											            
Module 2 Performance Calculation and Appraisal of Alternative Investments
											                
											            
Module 3 Private Capital, Real Estate, Infrastructure, Natural Resources, and Hedge Funds
											                
											            
10.Portfolio Management and Wealth Planning
Module 1 Portfolio management overview
											                
											            
Module 2 Portfolio Risk and Return- Part I
											                
											            
Module 3 Portfolio Risk and Return- Part II
											                
											            
Module 4 Basics of Portfolio Planning and Construction
											                
											            
Module 5 The Behavioral Biases of Individuals
											                
											            
Module 6 Introduction to Risk Management
											                
											            
Module 7 Technical Analysis
											                
											            
Module 8 Fintech in Investment Management
											                
											            
11.Ethical and Professional Standards
Module 1 Ethics and Trust in the Investment Profession
											                
											            
Module 2 Code of Ethics and Standards of Professional Conduct
											                
											            
Module 3 Guidance for Standards I–VII
											                
											            
Module 4 Introduction to the Global Investment Performance Standards (GIPS)
											                
											            
1.Corporate Issuers
Module 1 Analysis of Dividends and Share Repurchases
											                
											            
Module 2 Environmental, Social, and Governance (ESG) Considerations in Investment Analysis
											                
											            
Module 3 Cost of Capital: Advanced Topics
											                
											            
Module 4 Corporate Restructuring
											                
											            
2.Equity Investment
Module 1 Equity Valuation: Applications and Processes
											                
											            
Module 2 Discounted Dividend Valuation
											                
											            
Module 3 Free Cash Flow Valuation
											                
											            
Module 4 Market-Based Valuation: Price and Enterprise Value Multiples
											                
											            
Module 5 Residual Income Valuation
											                
											            
Module 6 Private Company Valuation
											                
											            
3.Fixed Income
Module 1 The Term Structure and Interest Rate Dynamics
											                
											            
Module 2 The Arbitrage-Free Valuation Framework
											                
											            
Module 3 Valuation and Analysis of Bonds with Embedded Options
											                
											            
Module 4 Credit Analysis Models
											                
											            
Module 5 Credit Default Swaps
											                
											            
4.Derivatives
Module 1 Pricing and Valuation of Forward Commitments
											                
											            
Module 2 Valuation of Contingent Claims
											                
											            
5.Alternative Investments
Module 1 Overview of Types of Real Estate Investment
											                
											            
Module 2 Investments in Real Estate through Private Vehicles
											                
											            
Module 3 Investments in Real Estate Through Publicly Traded Securities
											                
											            
Module 4 Private Equity Investments
											                
											            
Module 5 Introduction to Commodities and Commodity Derivatives
											                
											            
6.Portfolio Management and Wealth Planning
Module 1 Exchange-Traded Funds: Mechanics and Applications
											                
											            
Module 2 Using Multifactor Models
											                
											            
Module 3 Measuring and Managing Market Risk
											                
											            
Module 4 Backtesting and Simulation
											                
											            
Module 5 Economics and Investment Markets
											                
											            
Module 6 Analysis of Active Portfolio Management
											                
											            
Module 7 Trading Costs and Electronic Markets
											                
											            
7.Ethical and Professional Standards
Module 1 Code of Ethics and Standards of Professional Conduct
											                
											            
Module 2 Guidance for Standards I–VII
											                
											            
Module 3 Application of the Code and Standards: Level II
											                
											            
8.Financial Statement Analysts-Liv
Module 1 Intercorporate Investments
											                
											            
Module 2 Employee Compensation: Post-Employment and Share-Based
											                
											            
Module 3 Multinational Operations
											                
											            
Module 4 Analysis of Financial Institutions
											                
											            
Module 5 Evaluating Quality of Financial Reports
											                
											            
Module 6 Integration of Financial Statement Analysis Techniques
											                
											            
Module 7 Financial Statement Modeling
											                
											            
9.Financial Statement Analysts-Lucy
Module 1 Intercorporate Investments
											                
											            
Module 2 Employee Compensation: Post-Employment and Share-Based
											                
											            
Module 3 Multinational Operations
											                
											            
Module 4 Analysis of Financial Institutions
											                
											            
Module 5 Evaluating Quality of Financial Reports
											                
											            
Module 6 Integration of Financial Statement Analysis Techniques
											                
											            
Module 7 Financial Statement Modeling
											                
											            
overview
											                
											            
10.Economics
Module 1 Currency Exchange Rates- Understanding Equilibrium Value
											                
											            
Module 2 Economic Growth and investment decision
											                
											            
Module 3 Economics of Regulation
											                
											            
11.Quantitative Methods
Module 1 Basics of Multiple Regression and Underlying Assumptions
											                
											            
Module 2 Evaluating Regression Model Fit and Interpreting Model Results
											                
											            
Module 3 Model Misspecification
											                
											            
Module 4 Extensions of Multiple Regression
											                
											            
Module 5 Time-Series Analysis
											                
											            
Module 6 Machine learning ( ML )
											                
											            
Module 7 Big Data Projects
											                
											            
1.Quantitative Methods
Module 1 Basics of Multiple Regression and Underlying Assumptions
											                
											            
Module 2 Evaluating Regression Model Fit and Interpreting Model Results
											                
											            
Module 3 Model Misspecification
											                
											            
Module 4 Extensions of Multiple Regression
											                
											            
Module 5 Time-Series Analysis
											                
											            
Module 6 Machine learning ( ML )
											                
											            
Module 7 Big Data Projects
											                
											            
2.Economics
Module 1 Currency Exchange Rates- Understanding Equilibrium Value
											                
											            
Module 2 Economic Growth and investment decision
											                
											            
Module 3 Economics of Regulation
											                
											            
3.Financial Statement Analysts-Liv
Module 1 Intercorporate Investments
											                
											            
Module 2 Employee Compensation: Post-Employment and Share-Based
											                
											            
Module 3 Multinational Operations
											                
											            
Module 4 Analysis of Financial Institutions
											                
											            
Module 5 Evaluating Quality of Financial Reports
											                
											            
Module 6 Integration of Financial Statement Analysis Techniques
											                
											            
Module 7 Financial Statement Modeling
											                
											            
4.Financial Statement Analysts
Module 1 Intercorporate Investments
											                
											            
Module 2 Employee Compensation: Post-Employment and Share-Based
											                
											            
Module 3 Multinational Operations
											                
											            
Module 4 Analysis of Financial Institutions
											                
											            
Module 5 Evaluating Quality of Financial Reports
											                
											            
Module 6 Integration of Financial Statement Analysis Techniques
											                
											            
Module 7 Financial Statement Modeling
											                
											            
5.Corporate Issuers
Module 1 Analysis of Dividends and Share Repurchases
											                
											            
Module 2 Environmental, Social, and Governance (ESG) Considerations in Investment Analysis
											                
											            
Module 3 Cost of Capital: Advanced Topics
											                
											            
Module 4 Corporate Restructuring
											                
											            
6.Equity Investment
Module 1 Equity Valuation: Applications and Processes
											                
											            
Module 2 Discounted Dividend Valuation
											                
											            
Module 3 Free Cash Flow Valuation
											                
											            
Module 4 Market-Based Valuation: Price and Enterprise Value Multiples
											                
											            
Module 5 Residual Income Valuation
											                
											            
Module 6 Private Company Valuation
											                
											            
7.Fixed Income
Module 1 The Term Structure and Interest Rate Dynamics
											                
											            
Module 2 The Arbitrage-Free Valuation Framework
											                
											            
Module 3 Valuation and Analysis of Bonds with Embedded Options
											                
											            
Module 4 Credit Analysis Models
											                
											            
Module 5 Credit Default Swaps
											                
											            
8.Derivatives
Module 1 Pricing and Valuation of Forward Commitments
											                
											            
Module 2 Valuation of Contingent Claims
											                
											            
9.Alternative Investments
Module 2 Investments in Real Estate through Private Vehicles
											                
											            
Module 3 Investments in Real Estate Through Publicly Traded Securities
											                
											            
Module 4 Private Equity Investments
											                
											            
Module 5 Introduction to Commodities and Commodity Derivatives
											                
											            
10.Portfolio Management and Wealth Planning
Module 1 Exchange-Traded Funds: Mechanics and Applications
											                
											            
Module 2 Using Multifactor Models
											                
											            
Module 3 Measuring and Managing Market Risk
											                
											            
Module 4 Backtesting and Simulation
											                
											            
Module 5 Economics and Investment Markets
											                
											            
Module 6 Analysis of Active Portfolio Management
											                
											            
Module 7 Trading Costs and Electronic Markets
											                
											            
11.Ethical and Professional Standards
Module 2 Guidance for Standards I–VII
											                
											            
1.2023年考纲解读
考纲解读
											                
											            
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.金融计算器
前言
											                
											            
计算器版本介绍
											                
											            
计算器初览
											                
											            
小数点位设置
											                
											            
运算优先级模式设置
											                
											            
期初期末模式设置
											                
											            
存储调用操作
											                
											            
常用清除键操作
											                
											            
指数运算
											                
											            
对数、阶乘、排列组合运算
											                
											            
泊松分布、二项分布运算
											                
											            
债券价格计算与日期函数运算
											                
											            
货币的时间价值运算
											                
											            
货币时间价值运算实务操作
											                
											            
货币时间价值运算不适用的情况
											                
											            
统计功能操作
											                
											            
2.金融数学
金融数学
											                
											            
3.金融英语
1 - FRM与英语
											                
											            
2 - Grammar
											                
											            
3 - Financial Risk
											                
											            
4 - Financial Institute
											                
											            
5 - Financial Products
											                
											            
4.银行经营模式
银行组织架构
											                
											            
银行经营模式
											                
											            
银行财报
											                
											            
5.债权类产品基础
债券
											                
											            
6.金融市场产品
常见的金融机构
											                
											            
利率和债券
											                
											            
衍生品
											                
											            
1.风险管理基础
Introduction
											                
											            
1 - The Building Blocks of Risk Management
											                
											            
2 - How Do Firms Manage Financial Risk?
											                
											            
3 - The Governance of Risk Management
											                
											            
4 - Credit Risk Transfer Mechanisms
											                
											            
5 - Modern Portfolio Theory and Capital Asset Pricing Model
											                
											            
6 - The APT and Multifactor Models of Risk and Return
											                
											            
7 - Principles for Effective Data Aggregation and Risk Reporting
											                
											            
8 - Enterprise Risk Management and Future Trends
											                
											            
9 - Learning from Financial Disasters
											                
											            
10 - Anatomy of the Great Financial Crisis of 2007-2009
											                
											            
11 - GARP Code of Conduct
											                
											            
2.数量分析
Introduction
											                
											            
1 - Fundamentals of probability
											                
											            
2 - Random variables
											                
											            
3 - Common Univariate Random Variables
											                
											            
4 - Multivariate Random Variables
											                
											            
5 - Sample moments
											                
											            
6 - Hypothesis Testing
											                
											            
7 - Linear Regression
											                
											            
8 - Regression with Multiple Explanatory Variables
											                
											            
9 - Regression Diagnosis
											                
											            
10 - Stationary Time Series
											                
											            
11 - Non-Stationary Time Series
											                
											            
12 - Measuring Returns, Volatility, and Correlation
											                
											            
13 - Simulation and Bootstrapping
											                
											            
14 - Machine-Learning Methods
											                
											            
15 - Machine Learning and Prediction
											                
											            
3.金融市场产品
1 - Banks
											                
											            
2 - Insurance Companies and Pension Plans
											                
											            
3 - Funds Management
											                
											            
4 - Exchanges and OTC Markets
											                
											            
5 - Central clearing
											                
											            
6 - Interest Rates and Bonds
											                
											            
7 - Corporate Bonds
											                
											            
8 - Introduction to Derivatives
											                
											            
9 - Futures Markets
											                
											            
10 - Pricing Financial Forward and Futures
											                
											            
11 - Foreign Exchange Markets
											                
											            
12 - FRA and Interest Rate Futures
											                
											            
13 - Using Futures for Hedging
											                
											            
14 - Swaps
											                
											            
15 - Options Markets
											                
											            
16 - Properties of Options
											                
											            
17 - Trading Strategies
											                
											            
18 - Exotic Options
											                
											            
19 - Mortgages and Mortgage-Backed Securities
											                
											            
4.估值与风险模型
Introduction
											                
											            
1 - Measures of Financial Risk
											                
											            
2 - Calculating and Applying VaR
											                
											            
3 - Measuring and Monitoring Volatility
											                
											            
4 - External and Internal Ratings
											                
											            
5 - Country Risk: Determinants, Measures, and Implications
											                
											            
6 - Measuring Credit Risk
											                
											            
7 - Operational Risk
											                
											            
8 - Stress Testing
											                
											            
9 - Pricing Conventions, Discounting, and Arbitrage
											                
											            
10 - Interest Rates
											                
											            
11 - Bond Yields and Return Calculations
											                
											            
12 - Applying Duration, Convexity, and DV01
											                
											            
13 - Modeling Non-Parallel Term Structure Shifts and Hedging
											                
											            
14 - Binomial Trees
											                
											            
15 - The Black-Scholes-Merton Model
											                
											            
16 - Option Sensitivity Measures: The “Greeks”
											                
											            
1.风险管理基础
1 - Risk Management and Corporate Government
											                
											            
2 - Modern Portfolio Theory
											                
											            
3 - Learning From Financial Disasters
											                
											            
4 - The Anatomy of Subprime Crisis
											                
											            
2.数量分析
Quantitative Analysis
											                
											            
3.金融市场产品
1 - Financial Institutions and CCP
											                
											            
2 - Interest Rates and Bonds basics
											                
											            
3 - Forwards and Futures
											                
											            
4 - Swaps
											                
											            
5 - Options Markets
											                
											            
6 - Mortgage-Backed Securities
											                
											            
4.估值与风险模型
1 - Market Risk
											                
											            
2 - Credit Risk
											                
											            
3 - Operational Risk
											                
											            
4 - Bonds
											                
											            
5 - Options
											                
											            
1.FRM一级 冲刺直播
风险管理基础
											                
											            
数量分析
											                
											            
估值与风险模型
											                
											            
金融市场产品
											                
											            
全景模拟机考
											                
											            
2.24年FRM一级 冲刺直播
风险管理基础
											                
											            
金融市场产品
											                
											            
数量分析
											                
											            
估值与风险模型
											                
											            
FRM一级模拟机考
											                
											            
3.【202411】FRM一级 冲刺直播
风险管理基础
											                
											            
估值和风险模型
											                
											            
金融市场和产品
											                
											            
数量分析
											                
											            
一级模拟机考
											                
											            
4.冲刺私播课
风险管理基础
											                
											            
金融市场和产品
											                
											            
数量分析
											                
											            
估值和风险模型
											                
											            
一级模拟机考
											                
											            
5.【202511】FRM一级冲刺直播
冲刺私播课
											                
											            
1.2023年考纲解读
考纲解读
											                
											            
2.市场风险
市场风险
											                
											            
3.信用风险
信用风险
											                
											            
4.操作风险
操作风险
											                
											            
1.市场风险
0 - Introduction
											                
											            
1 - Estimate market risk measurement
											                
											            
2 - Non-parametric approaches
											                
											            
3 - ParametricApproaches (II):Extreme Value
											                
											            
4 - backtesting VaR
											                
											            
5 - VaR Mapping
											                
											            
6 - Messages from the Academic Literature on Risk Management for the Trading Book
											                
											            
7 - Correlation Basics:Definitions, Applications, and Terminology
											                
											            
8 - Empirical Properties of Correlation: How Do Correlations Behave in the Real World?
											                
											            
9 - Financial Correlation Modeling-Bottom-Up Approaches
											                
											            
10 - Empirical Approaches to Risk Metrics and Hedging
											                
											            
11 - The Science ofTerm Structure Models
											                
											            
12 - The Evolution of Short Rates and the Shape of the Term Structure
											                
											            
13 - The Art of Term Structure Model: Drift
											                
											            
14 - The Art of Term Structure Model Volatility and Distribution
											                
											            
15 - Volatility Smiles
											                
											            
16 - FundamentalReview of theTrading Book
											                
											            
2.信用风险
1 - The credit decision
											                
											            
2 - The credit analyst
											                
											            
3 - Capital Structure in Banks
											                
											            
4 - Rating assignment methodologies
											                
											            
5 - Credit risk and credit derivatives
											                
											            
6 - Spread risk and default intensity models
											                
											            
7 - Portfolio credit risk
											                
											            
8 - Counterparty risk and beyond
											                
											            
9 - Netting, close-out and related aspects
											                
											            
10 - Margin(Collateral) and Settlement
											                
											            
11 - Future Value and Exposure
											                
											            
12 - CVA
											                
											            
13 - The evolution of stress-testing counterparty exposures
											                
											            
14 - Credit scoring and retail credit risk management
											                
											            
15 - Credit transfer markets and their implications
											                
											            
16 - An introduction of securitization
											                
											            
17 - Structured credit risk
											                
											            
18 - Understanding the securitization of subprime mortgage credit
											                
											            
Introduction
											                
											            
3.操作风险
Introduction
											                
											            
1 - Introduction to Operational Risk and Resilience
											                
											            
2 - Risk Governance
											                
											            
3 - Risk Identification
											                
											            
4 - Risk Identification
											                
											            
5 - Risk Mitigation
											                
											            
6 - Risk Reporting
											                
											            
7 - Integrated Risk Management
											                
											            
8 - Cyber-Resilience: Range of Practices
											                
											            
9 - Case Study: Cyberthreats and Information Security Risks
											                
											            
10 - Sound Management of Risks Related to Money Laundering and Financing of Terrorism
											                
											            
11 - Case Study: Financial Crime and Fraud
											                
											            
12 - Guidance on Managing Outsourcing Risk
											                
											            
13 - Case Study: Third-Party Risk Management
											                
											            
14 - Case Study: Investor Protection and Compliance Risks in Investment Activities
											                
											            
15 - Supervisory Guidance on Model Risk Management
											                
											            
16 - Case Study: Model Risk and Model Validation
											                
											            
17 - Stress Testing Banks
											                
											            
18 - Risk Capital Attribution and Risk-Adjusted Performance Measurement
											                
											            
19 - Range of Practices and Issues in Economic Capital Frameworks
											                
											            
20 - Capital Planning at Large Bank Holding Companies
											                
											            
21 - Capital Regulation Before the Global Financial Crisis
											                
											            
22 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis
											                
											            
23 - High-Level Summary of Basel Ⅲ Reforms
											                
											            
24 - Basel Ⅲ:Finalising Post-Crisis Reforms
											                
											            
4.流动性风险
introduction
											                
											            
1 - Liquidity Risk
											                
											            
2 - Liquidity and Leverage
											                
											            
3 - Early Warning Indicators
											                
											            
4 - The Investment Function in Financial-services Management
											                
											            
5 - Liquidity and Reserves Management Strategies and Policies
											                
											            
6 - Intraday Liquidity Risk Management
											                
											            
7 - Monitoring Liquidity
											                
											            
8 - The Failure Mechanics of Dealer Banks
											                
											            
9 - liquidity Stress Testing
											                
											            
10 - Liquidity Risk Reporting and Stress Testing
											                
											            
11 - Contingency Funding Planning
											                
											            
12 - Managing and Pricing Deposit Services
											                
											            
13 - Managing Non-deposit Liabilities
											                
											            
14 - Repurchase Agreements and Financing
											                
											            
15 - Liquidity Transfer Pricing: A Guide to Better Practice
											                
											            
16 - The US dollar Shortage in Global Banking and International Policy Response
											                
											            
17 - Covered Interest Parity Lost: Understanding the Cross-Currency Basis
											                
											            
18 - Risk Management for Changing Interest Rates: Asset-Liability Management and Duration Techniques
											                
											            
19 - Illiquid Assets
											                
											            
5.投资风险
1 - Factor theory
											                
											            
2 - Factors
											                
											            
3 - Alpha (and the Low-Risk Anomaly)
											                
											            
4 - Portfolio Construction
											                
											            
5 - Portfolio Risk:Analytical Methods
											                
											            
6 - VaR and Risk Budgeting in Investment Management
											                
											            
7 - Risk Monitoring and Performance Measurement
											                
											            
8 - Portfolio Performance Evaluation
											                
											            
9 - Hedge Funds
											                
											            
10 - Performing Due Diligence on Specific Managers and Funds
											                
											            
11 - Predicting Fraud by Investment Managers
											                
											            
6.金融时事分析
0 - current issues
											                
											            
1 - paper1
											                
											            
2 - paper2
											                
											            
3 - paper3
											                
											            
4 - paper4
											                
											            
5 - paper5
											                
											            
6 - paper6
											                
											            
7 - paper7
											                
											            
8 - paper8
											                
											            
1.市场风险
1 - Estimating Market Risk Measures
											                
											            
2 - orrelation Basics
											                
											            
3 - The Science of Term Structure Models
											                
											            
4 - Volatility Smiles
											                
											            
2.信用风险
1 - Basics of Credit Risk
											                
											            
2 - Credit Risk Measurements
											                
											            
3 - Counterparty Risk and Mitigations
											                
											            
4 - Credit Derivatives and Securitization
											                
											            
3.流动性风险
0 - introduction
											                
											            
1 - part 1
											                
											            
2 - part 2
											                
											            
3 - part 3
											                
											            
4 - part 4
											                
											            
4.投资风险
1 - Factor Theory
											                
											            
2 - Factors
											                
											            
3 - Alpha (and the Low-Risk Anomaly)
											                
											            
4 - Portfolio Construction
											                
											            
5 - Portfolio Risk:Analytical Methods
											                
											            
6 - VaR and Risk Budgeting in Investment Management
											                
											            
7 - Risk Monitoring and Performance Measurement
											                
											            
8 - Portfolio Performance Evaluation
											                
											            
9 - Hedge Funds
											                
											            
10 - Performing Due Diligence on Specific Managers and Funds
											                
											            
11 - Detecting Fraud by Investment Managers
											                
											            
5.操作风险
0 - topic0
											                
											            
1 - topic1
											                
											            
2 - topic2
											                
											            
3 - topic3
											                
											            
4 - topic4
											                
											            
5 - topic5
											                
											            
6 - topic6
											                
											            
7 - Topic7
											                
											            
8 - Topic8
											                
											            
9 - Topic9
											                
											            
10 - Topic10
											                
											            
11- Topic11
											                
											            
12 - Topic12
											                
											            
1.FRM二级 冲刺直播
操作风险
											                
											            
金融时事分析
											                
											            
市场风险
											                
											            
流动性风险
											                
											            
投资风险
											                
											            
信用风险
											                
											            
全景模拟机考
											                
											            
                                2020-09-22 16:54
讲课紧贴考点,深入浅出,例题讲解细致,老非常有经验。
                                2020-07-23 16:17
老师讲的非常好,思路清晰,简单易懂,让我学习很有动力,CFA和FRM一起学是个不错的选择。
                                2020-07-07 16:19
非常好 ,老师讲课简单明了,非常易懂,本来觉得CFA+FRM会很难,没想到慢慢都弄清楚了
                                2020-06-20 16:22
老师讲解的都很细致,即使不是这个专业的也能听的很明白,好评。