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CFA 2019 l3 schedule

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CFA® Exam Review 2019 Level III
Lecture Video Availability Schedule
Subject

Lecture Video

Instructor

Lecture
Handout

Reading 1: Code of Ethics and Standards of Professional Conduct

Available Oct.

Darren Degraaf

Available Now

Reading 2: Guidance for Standards I-VII

Available Oct.

Darren Degraaf

Available Now

Reading 3: Application of the Code and Standards

Available Oct.


Peter Olinto

Available Now

Reading 4: Asset Manager Code of Professional Conduct

Available Oct.

Daren Miller

Available Now

Reading 5: Overview of the Asset Management Industry and Portfolio
Management

Available Oct.

Chris Ansell

Available Now

Reading 6: Professionalism in Investment Management

Available Oct.

Chris Ansell

Available Now

Reading 7: The Behavioral Finance Perspective


Available Now

Daren Miller

Available Now

Reading 8: The Behavioral Biases of Individuals

Available Now

Daren Miller

Available Now

Reading 9: Behavioral Finance and Investment Processes

Available Now

Daren Miller

Available Now

Reading 10: Managing Individual Investor Portfolios

Available Oct.

Daren Miller

Available Now


Reading 11: Taxes and Private Wealth Management in a Global Context

Available Oct.

Daren Miller

Available Now

Reading 12: Estate Planning in a Global Context

Available Oct.

Daren Miller

Available Now

Reading 13: Concentrated Single-Asset Positions

Available Now

Daren Miller

Available Now

Reading 14: Risk Management for Individuals

Available Now

Daren Miller


Available Now

Available Now

Daren Miller

Available Now

Reading 16: Capital Market Expectations

Available Now

Daren Miller

Available Now

Reading 17: Equity Market Valuation

Available Now

Daren Miller

Available Now

Reading 18: Introduction to Asset Allocation

Available Oct.

Darren Degraaf


Available Now

Reading 19: Principles of Asset Allocation

Available Oct.

Darren Degraaf

Available Now

Reading 20: Asset Allocation with Real-World Constraints

Available Oct.

Darren Degraaf

Available Now

Reading 21: Currency Management: An Introduction

Available Oct.

Daren Miller

Available Now

Reading 22: Introduction to Fixed-Income Portfolio Management

Available Now


Ian Rakita

Available Now

Reading 23: Liability-Driven and Index-Based Strategies

Available Now

Ian Rakita

Available Now

Reading 24: Yield Curve Strategies

Available Oct.

Peter Olinto

Available Now

Reading 25: Fixed-Income Active Management: Credit Strategies

Available Oct.

Ian Rakita

Available Now

Reading 26: Introduction to Equity Portfolio Management


Available Oct.

Peter Olinto

Available Now

Reading 27: Passive Equity Investing

Available Oct.

Peter Olinto

Available Now

Reading

Study Session 1: Ethical and Professional Standards (1)

Study Session 2: Ethical and Professional Standards (2)

Study Session 3: The Asset Management Industry and Professionalism

Study Session 4: Behavioral Finance

Study Session 5: Private Wealth Management (1)

Study Session 6: Private Wealth Management (2)

Study Session 7: Portfilio Management for Institutional Investors

Reading 15: Managing Institutional Investor Portfolios
Study Session 8: Applications of Economic Analysis to Portfolio Management

Study Session 9: Asset Allocation and Related Decisions in Portfolio Management (1)

Study Session 10: Asset Allocation and Related Decisions in Portfolio Management (2)

Study Session 11: Fixed-Income Portfolio Management (1)

Study Session 12: Fixed-Income Portfolio Management (2)

Study Session 13: Equity Portfolio Management (1)

1


CFA® Exam Review 2019 Level III
Lecture Video Availability Schedule
Subject

Lecture Video

Instructor

Lecture
Handout

Reading 28: Active Equity Investing: Strategies

Available Oct.


Peter Olinto

Available Now

Reading 29: Active Equity Investing: Portfolio Construction

Available Oct.

Peter Olinto

Available Now

Available Now

Jim Marrone

Available Now

Available Now

Jim Marrone

Available Now

Reading 32: Risk Management Applications of Forward and Futures
Strategies

Available Oct.


Jim Marrone

Available Now

Reading 33: Risk Management Applications of Option Strategies

Available Oct.

Jim Marrone

Available Now

Reading 34: Risk Management Applications of Swap Strategies

Available Oct.

Jim Marrone

Available Now

Available Now

Jim Marrone

Available Now

Reading 36: Evaluating Portfolio Performance

Available Now


Jim Marrone

Available Now

Reading 37: Overview of the Global Investment Performance Standards

Available Now

Jim Marrone

Available Now

Reading

Study Session 14: Equity Portfolio Management (2)

Study Session 15: Alternative Investments for Portfolio Management
Reading 30: Alternative Investments Portfolio Management
Study Session 16: Risk Management
Reading 31: Risk Management
Study Session 17: Risk Management Applications of Derivatives

Study Session 18: Trading
Reading 35: Execution of Portfolio Decisions
Study Session 19: Performance Evaluation

2




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