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      1. 融躍教育

        CFA快速通關APS智播課(三級)

        價格: 7980.00

        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:12個月

        視頻時長:約259小時

        詳情介紹

        課程大綱

        {in name="user_id" value="21644"} {/ in}

        課程問答

        課程評價

        課程試聽 推薦

        • CFA智能題庫(三級)
        • CFA“甄”題庫(三級)
        • CFA快速通關APS智播課(三級)
        • CFA沖刺私播課(三級)

        基礎班

        • 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

        強化班

        • 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

        串講班

        • 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

        沖刺班

        • 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

        百題沖刺班

        • 1.Capital Market Expectations

          • 資本市場預期沖刺

        • 2.Asset Allocation and Related Decisions in Portfolio Management

          • 資產配置沖刺

        • 3.Derivatives and Currency Management

          • 衍生品沖刺

        • 4.Fixed-Income Portfolio Management

          • 固定收益沖刺

        • 5.Equity Portfolio Management

          • 權益投資沖刺

        • 6.Alternative Investments for Portfolio Management

          • 另類投資沖刺

        • 7.Private Wealth Management

          • 個人IPS沖刺

        • 8.Portfolio Management for Institutional Investors

          • 機構IPS沖刺

        • 9.Trading, Performance Evaluation, and Manager Selection

          • 資產組合管理沖刺

        • 10.Ethical and Professional Standards

          • 道德沖刺

        串講復習班

        • 1.Ethical and Professional Standards

          • 道德串講

        • 2.Trading, Performance Evaluation, and Manager Selection

          • Module 1 Trade Strategy and Execution

          • Module 2 Portfolio Performance Evaluation

          • Module 3 Investment Manager Selection

        • 3.Portfolio Management for Institutional Investors

          • Module 1 Portfolio Management for Institutional Investors

        • 4.Private Wealth Management

          • Module 1 Overview of Private Wealth Management

          • Module 2 Topics in Private Wealth Management

          • Module 3 Risk Management for Individuals

        • 5.Alternative Investments for Portfolio Management

          • Module 1 Hedge funds

          • Module 2 Asset allocation to alternative investments

        • 6.Equity Portfolio Management

          • Module 1 Introduction to Equity Portfolio Management

          • Module 2 Passive Equity Investing

          • Module 3 Active Equity Investing: Strategies

          • Module 4 Active Equity Investing: Portfolio Construction

        • 7.Fixed-Income Portfolio Management

          • Module 1 Overview of Fixed- Income Portfolio Management

          • Module 2 Liability- Driven and Index- Based Strategies

          • Module 3 Yield Curve Strategies

          • Module 4 Fixed- Income Active Management: Credit Strategies

        • 8.Derivatives and Currency Management

          • Module 1 Options Strategies

          • Module 2 Swaps, Forwards, and Futures Strategies

          • Module 3 Currency Management: An Introduction

        • 9.Capital Market Expectations

          • Module 1 Part 1: Framework and Macro Considerations

          • Module 2 Part 2: Forecasting Asset Class Returns

        • 10.Asset Allocation and Related Decisions in Portfolio Management

          • Module 3 Asset Allocation with Real-World Constraints

          • Module 2 Principles of Asset Allocation

          • Module 1 Overview of Asset Allocation

        Essay真題班

        • 1.Capital Market Expectations

          • 2016年經濟學真題

          • 2017年經濟學真題

          • 2018年經濟學真題

        • 2.Asset Allocation and Related Decisions in Portfolio Management

          • 2016年資產配置真題

          • 2017年資產配置真題

          • 2018年資產配置真題

        • 3.Fixed-Income Portfolio Management

          • 2016年固定收益真題

          • 2017年固定收益真題

          • 2018年固定收益真題

        • 4.Equity Portfolio Management

          • 2016年權益投資真題

          • 2018年權益投資真題

        • 5.Alternative Investments for Portfolio Management

          • 2017年另類投資真題

        • 6.Private Wealth Management

          • 2016年個人IPS真題

          • 2017年個人IPS真題

          • 2018年個人IPS真題

        • 7.Portfolio Management for Institutional Investors

          • 2016年機構IPS真題

          • 2017年機構IPS真題

          • 2018年機構IPS真題

        • 8.Trading, Performance Evaluation, and Manager Selection

          • 2016年資產管理真題

          • 2017年資產管理真題

          • 2018年資產管理真題

        • 9.Cases in Portfolio Management and Risk Management

          • 2016年Case真題

          • 2017年Case真題

          • 2018年Case真題

        IPS私播課

        • 1.IPS私播課

          • 串講復習

          • 習題解析

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