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        融躍教育

        2023年CFA一級Kaplan英文視頻

        價格: 599.00

        課程簡介: Kaplan原版英文視頻網課,由Kaplan機構具有多年行業及培訓經驗的國際名師團隊主講,配合考綱和Notes系統講解考點,傳授解題思路,助您考試備考無憂,順利通過。

        視頻有效期:2023-12-31

        視頻時長:約63小時

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        一級Kaplan英文視頻

        • 1.Quantitative Methods

          • 1.1-EAY and Compounding Frequency

          • 1.2-Calculating PV and FV

          • 1.3-Uneven Cash Flows

          • 1.4-Compounding Frequencies

          • 2.1-Organizing Data

          • 2.2-Visualizing Data

          • 2.3-Measures of Central Tendency

          • 2.4-Measures of Location and Dispersion

          • 2.5-Skewness Kurtosis and Correlation

          • 3.1-Conditional and Joint Probabilities

          • 3.2-Conditional Expectations and Expected Value

          • 3.3-Portfolio Variance Bayes and Counting Problems

          • 4.1-Uniform and Binomial Distributions

          • 4.2-Normal Distributions

          • 4.3-Lognormal T Chi-Square and F Distributions

          • 5.1-Sampling Methods Central Limit Theorem and Standard Error

          • 5.2-Confidence Intervals Resampling and Sampling Biases

          • 6.1-Hypothesis Tests and Types of Errors

          • 6.2-P-Values and Tests of Means

          • 6.3-Mean Differences and Difference in Means

          • 6.4-Tests of Variance Correlation and Independence

          • 7.1-Linear Regression Introduction

          • 7.2-Goodness of Fit and Hypothesis Tests

          • 7.3-Predicting Dependent Variables

        • 2. Economics

          • 8.1-Elasticity

          • 8.2-Demand and Supply

          • 9.1-Perfect Competition

          • 9.2-Monopolistic Competition

          • 9.3-Oligopoly

          • 9.4-Monopoly and Concentration

          • 10.1-GDP Income and Expenditures

          • 10.2-Aggregate Demand and Supply

          • 10.3-Macro Equilibrium and Growth

          • 11.1-Business Cycle Phases

          • 11.2-Inflation and Indicators

          • 12.1-Money and Inflation

          • 12.2-Monetary Policy

          • 12.3-Fiscal Policy

          • 13.1-Geopolitics and Geopolitical Risk

          • 14.1-International Trade Benefits

          • 14.2-Trade Restrictions

          • 15.1-Foreign Exchange Rates

          • 15.2-Forward Exchange Rates

          • 15.3-Managing Exchange Rates

        • 3.Financial Statement Analysts

          • 16.1-Financial Statement Roles

          • 16.2-Footnotes Audit and Analysis

          • 17.1-Standards Overview

          • 17.2-Financial Reporting Framework

          • 18.1-Income Statement Overview

          • 18.2-Revenue Recognition

          • 18.3-Expense Recognition

          • 18.4-EPS and Dilutive Securities

          • 18.5-Common Size Income Statements

          • 19.1-Balance Sheet Introduction

          • 19.2-Assets and Liabilities

          • 19.3-Current Assets and Liabilities

          • 19.4-Noncurrent Assets and Liabilities

          • 19.5-Intangible Assets

          • 19.6-Marketable Securities

          • 19.7-Shareholders Equity and Ratios

          • 20.1-Cash Flow Introduction

          • 20.2-Direct and Indirect Methods

          • 20.3-Converting Direct to Indirect

          • 20.4-Free Cashflow and Ratios

          • 21.1-Introduction to Financial Ratios

          • 21.2-Financial Ratios Part 1

          • 21.2-Financial Ratios Part 1

          • 21.3-Financial Ratios Part 2

          • 21.4-DuPont Analysis

          • 21.5-More Financial Ratios

          • 22.1-Cost Flow Methods

          • 22.2-Inventory Systems

          • 22.3-Converting LIFO to FIFO

          • 22.4-Inventory Valuation

          • 22.5-Inventory Analysis

          • 23.1-Capitalization vs. Expensing

          • 23.2-Depreciation

          • 23.3-Impairment and Revaluation

          • 23.4-Fixed Asset Dsclosures

          • 24.1-Tax Terms

          • 24.2-Deferred Tax Liabilities and Assets

          • 24.3-Change in Tax Rates

          • 24.4-Permanent Differences

          • 25.1-Bond Issuance

          • 25.2-Discount and Premium Bonds

          • 25.3-Issuance Cost Derecognition and Disclosures

          • 25.4-Lease and Pension Accounting

          • 26.1-Reporting Quality

          • 26.2-Accounting Choices and Estimates

          • 26.3-Warning Signs

          • 27.1-Forecasting

          • 27.2-Credit and Equity Analysis

        • 4.Corporate Issuers

          • 28.1-Business Structures

          • 29.1-Stakeholder Management

          • 29.2-Factors Affecting Corporate Governance

          • 30.1-Business Models

          • 31.1-Capital Allocation Principles

          • 31.2-Net Present Value and Internal Rate of Return

          • 31.3-Capital Allocation Pitfalls and Real Options

          • 32.1-Sources of Capital

          • 33.1-Weighted Average Cost of Capital

          • 33.2-Beta Estimation and Flotation Costs

          • 34.1-Capital Structure Theories

          • 34.2-Capital Structure Decisions

          • 35.1-Measures of Leverage

        • 5. Equity Investments

          • 36.1-Markets Assets and Intermediaries

          • 36.2-Positions and Leverage

          • 36.3-Order Execution and Validity

          • 37.1-Index Weighting Methods

          • 37.2-Uses and Types of Indexes

          • 38.1-Market Efficiency

          • 39.1-Types of Equity Investments

          • 39.2-Foreign Equities and Equity Risk

          • 40.1-Industry Analysis

          • 40.2-Pricing Power and Company Analysis

          • 41.1-Dividends Splits and Repurchases

          • 41.2-Dividend Discount Models

          • 41.3-Relative Valuation Measures

        • 6.Fixed Income

          • 42.1-Bond Indentures Regulation and Taxation

          • 42.2-Bond Cash Flows and Contingencies

          • 43.1-Types of Bonds and Issuers

          • 43.2-Corporate Debt and Funding Alternatives

          • 44.1-Bond Valuation and Yield to Maturity

          • 44.2-Spot Rates and Accrued Interest

          • 44.3-Yield Measures

          • 44.4-Yield Curves

          • 44.5-Yield Spreads

          • 45.1-Structure of Mortgage Backed Securities

          • 45.2-Prepayment Risk and Non-Mortgage-Backed ABS

          • 46.1-Sources of Returns Duration

          • 46.2-Interest Rate Risk Money Duration

          • 46.3-Convexity and Yield Volatility

          • 47.1-Credit Risk and Bond Ratings

          • 47.2-Evaluating Credit Quality

        • 7.Derivatives

          • 48.1-Derivatives Markets

          • 49.1-Forwards and Futures

          • 49.2-Swaps and Options

          • 50.1-Derivative Benefits Risks and Issuer and Investor Uses

          • 51.1-Arbitrage Replication and Carrying Costs

          • 52.1-Forward Contract Valuation

          • 53.1-Futures Valuation

          • 54.1-Swap Valuation

          • 55.1-Option Valuation

          • 56.1-Put-Call Parity

          • 57.1-Binomial Model for Option Values

        • 8.Alternative Investments

          • 58.1-Alternative Investment Structures

          • 59.1-Performance Appraisal and Return Calculations

          • 60.1-Private Equity and Private Debt

          • 60.2-Real Estate Infrastructure and Natural Resources

          • 60.3-Hedge Funds

        • 9. Portfolio Management and Wealth Planning

          • 61.1-Portfolio Management Process

          • 61.2-Asset Management and Pooled Investments

          • 62.1-Returns Measures

          • 62.2-Risk Aversion

          • 62.3-Portfolio Standard Deviation

          • 62.4-The Efficient Frontier

          • 63.1-Systematic Risk and Beta

          • 63.2-The CAPM and the SML

          • 64.1-Portfolio Planning and Construction

          • 65.1-Cognitive Errors vs Emotional Biases

          • 65.2-Emotional Biases

          • 66.1-Introduction to Risk Management

          • 67.1-Technical Analysis

          • 68.1-Fintech in Investment Management

        • 10.Ethical and Professional Standards

          • 69.1-Ethics and Trust in the Investment Profession

          • 70.1-Code and Standards

          • 71.1-Standard IA B

          • 71.2-Standard IC D

          • 71.3-Standard II

          • 71.4-Standard IIIA B

          • 71.5-Standard IIIC D E

          • 71.6-Standard IV

          • 71.7-Standard V

          • 71.8-Standard VI

          • 71.9-Standard VII

          • 72.1-Introduction to GIPS

          • 73.1-Ethics Application

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