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  • 融躍教育

    CFA全科獎學金班

    價格: 15980.00

    課程簡介: 該課程由融躍教育CFA研究院擁有多年工作經驗與教學經驗的精英講師親自授課,緊貼CFA考試新大綱,通過直播師生互動、錄播回放鞏固復習等多元化的教學方式,輔以高品質的在線學習平臺,突破傳統教學的限制。享受專屬班主任督學、定制學習計劃、不限次數答疑、社群學習等模式,讓學員在學到知識的同時,快速通過考試。

    視頻有效期:30個月

    視頻時長:801學時

    視頻數量:1222個

    詳情介紹

    課程大綱

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    課程試聽 推薦

    • 2022年CFA一級通關智播課
    • 2022年CFA一級Kaplan英文視頻
    • 2022年CFA一級沖刺私播課
    • CFA全科獎學金班

    前導入門班

    • 考試大綱介紹

      • 2022年CFA一級考綱解讀

    • 官方機考系統體驗

      • 官方機考系統介紹

    • 考試介紹及備考指南

    • 金融英語

      • 倫理道德部分

      • 衍生品

      • 固定收益

      • 股權投資

      • 資產組合管理

      • 公司金融

      • 財務報表分析

      • 經濟學

      • 數量分析

      • 其他類投資

    • 金融數學

      • 前導課

    • 計算機使用教程

      • CFA 一級 前導 財務計算器使用概述

      • CFA 一級 前導 貨幣的時間價值功能和攤銷功能

      • CFA 一級 前導 現金流計算功能

      • CFA 一級 前導 債券計算功能

      • CFA 一級 前導 折舊計算功能

      • CFA 一級 前導 計算器其他功能和考試推薦設置

      • CFA 一級 前導 統計計算功能

    • 財務報表分析前導

      • 前導課

    基礎精講班

    • 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

    • 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

    • Alternative Investments

      • Reading 47 Introduction to Alternative Investments

    • Derivatives

      • Reading 45 Derivative Markets and Instruments

      • Reading 46 Basics of Derivative Pricing and Valuation

    • 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

    • 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

    • 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

    • 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

    • 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

    • Ethical and Professional Standards

      • 一級道德基礎班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

    習題強化班

    • 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

    • 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

    • Alternative Investments

      • Reading 47 Introduction to Alternative Investments

    • Derivatives

      • Reading 45 Derivative Markets and Instruments

      • Reading 46 Basics of Derivative Pricing and Valuation

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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)

    一級Kaplan英文視頻

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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

    • 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

    串講復習班

    • 串講復習班

      • 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

    百題沖刺班

    • 百題沖刺班

      • Equity Investments

      • Fixed Income

      • Ethical and Professional Standards

      • Corporate Issuers

      • Financial Statement Analysis

      • Derivatives

      • Alternative Investments

      • Portfolio Management

      • Quantitative Methods

      • Economics

    機考模擬

    • ??冀馕霭?/span>

      • 模擬機考一 -1

      • 模擬機考一 -2

      • 模擬機考二-1

      • 模擬機考二-2

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