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      融躍教育

      CFA快速通關APS智播課(一二級)

      價格: 13980.00

      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:36個月

      視頻時長:約555小時

      詳情介紹

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      課程試聽 推薦

      • CFA“甄”題庫(一級)
      • CFA快速通關APS智播課(一級)
      • CFA快速通關APS智播課(二級)
      • CFA Kaplan英文視頻(2024一級)

      基礎精講班

      • 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

      前導入門班

      • 1.計算機使用教程

        • 計算機使用教程

      • 2.計算器使用教程

        • 1 - 計算器基本操作

        • 2 - CFA考試用操作和功能

        • 3 - CFA考試用功能的經典例題

        • 4 - CFA考試推薦設置

      • 3.金融數學

        • 金融數學

      • 4.CFA考前注意事項

        • CFA考前注意事項

      • 5.金融英語

        • 金融英語

      • 6.財務報表分析前導

        • 財務報表分析前導

      • 7.2023年一級考綱變化

        • 2023年一級考綱變化

      • 8.官方機考系統體驗

        • 官方機考系統介紹

      習題強化班

      • 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

        • 習題知識點匯總

      • 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)

      基礎精講班

      • 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

      習題強化班

      • 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

      前導入門班

      • 1.2023年考綱解讀

        • 考綱解讀

      一級Kaplan英文視頻

      • 1.Quantitative Methods

        • 1.1 Interest Rates and Return Measurement

        • 1.2 Time Weighted and Money Weighted Returns

        • 1.3 Common Measures of Return

        • 2.1 Discounted Cash Flow Valuation

        • 2.2 Implied Returns and Cash Flow Additivity

        • 3.1 Central Tendency and Dispersion

        • 3.2 Skewness Kurtosis and Correlation

        • 4.1 Probability Models Expected Values and Bayes Formula

        • 5.1 Probability Models for Portfolio Return and Risk

        • 6.1 Lognormal Distributions and Simulation Techniques

        • 7.1 Sampling Techniques and the Central Limit Theorem

        • 8.1 Hypothesis Testing Basics

        • 8.2 Types of Hypothesis Tests

        • 9.1 Tests for Independence

        • 10.1 Linear Regression Basics

        • 10.2 Analysis of Variance ANOVA and Goodness of Fit

        • 10.3 Predicted Values and Functional Forms of Regression

        • 11.1 Introduction to Fintech

      • 2. Economics

        • 12.1 Breakeven Shutdown and Scale

        • 12.2 Characteristics of Market structures

        • 12.3 Identifying Market Structures

        • 13.1 Business Cycles

        • 14.1 Fiscal Policy Objectives

        • 14.2 Ficsal Policy Tools and Implementation

        • 15.1 Central Bank Objectives and Tools

        • 15.2 Monetary Policy Effects and Limitations

        • 16.1 Geopolitics

        • 17.1 International Trade

        • 18.1 The Foreign Exchange Market

        • 18.2 Managing Exchange Rates

        • 19.1 Foreign Exchange Rates

      • 3.Portfolio Management and Wealth Planning(1)

        • 20.1 Historical Risk and Return

        • 20.2 Risk Aversion

        • 20.3 Portfolio Standard Deviation

        • 20.4 The Efficient Frontier

        • 21.1 Systematic Risk and Beta

        • 21.2 The CAPM and the SML

      • 4.Corporate Issuers

        • 22.1 Features of Corporate Issuers

        • 23.1 Stakeholders and ESG Factors

        • 24.1 Corporate Governance

        • 25.1 Liquidity Measures and Management

        • 26.1 Capital Investments and Project Measures

        • 26.2 Capital Allocation Principles and Real Options

        • 27.1 Weighted Average Cost of Capital

        • 27.2 Capital Structure Theories

        • 28.1 Business Model Features and Types

      • 5.Financial Statement Analysts

        • 29.1 Financial Statement Roles

        • 30.1 Revenue Recognition

        • 30.2 Expense Recognition

        • 30.3 Nonrecurring Items

        • 30.4 Earnings Per Share

        • 30.5 Ratios and Common Size Income Statements

        • 31.1 Intangible Assets and Marketable Securities

        • 31.2 Common Size Balance Sheets

        • 32.1 Cash Flow Introduction and Direct Method CFO

        • 32.2 Indirect Method CFO

        • 32.3 Investing and Financing Cash Flows and IFRSU.S. GAAP Differences

        • 33.1 Analyzing Statements of Cash Flows II

        • 34.1 Inventory Measurement

        • 34.2 Inflation Impact on FIFO and LIFO

        • 34.3 Presentation and Disclosure

        • 35.1 Intangible Long Lived Assets

        • 35.2 Impairment and Derecognition

        • 35.3 Long Term Asset Disclosures

        • 36.1 Leases

        • 36.2 Deferred Compensation and Disclosures

        • 37.1 Differences Between Accounting Profit and Taxable Income

        • 37.2 Deferred Tax Assets and Liabilities

        • 37.3 Tax Rates and Disclosures

        • 38.1 Reporting Quality

        • 38.2 Accounting Choices and Estimates

        • 38.3 Warning Signs

        • 39.1 Introduction to Financial Ratios

        • 39.2 Financial Ratios Part 1

        • 39.2 Financial Ratios Part 1

        • 39.3 Financial Ratios Part 2

        • 39.4 DuPont Analysis

        • 39.5 Industry Specific Financial Ratios

        • 40.1 Financial Statement Modeling

      • 6.Equity Investments

        • 41.1 Markets Assets and Intermediaries

        • 41.2 Positions and Leverage

        • 41.3 Order Execution and Validity

        • 42.1 Index Weighting Methods

        • 42.2 Uses and Types of Indexes

        • 43.1 Market Efficiency

        • 44.1 Types of Equity Investments

        • 44.2 Foreign Equities and Equity Risk

        • 45.1 Company Research Reports

        • 45.2 Revenue, Profitability, and Capital

        • 46.1 Industry Analysis

        • 46.2 Industry Structure and Competitive Positioning

        • 47.1 Forecasting in Company Analysis

        • 48.1 Dividends, Splits, and Repurchases

        • 48.2 Dividend Discount Models

        • 48.3 Relative Valuation Measures

      • 7.Fixed Income

        • 49.1 Fixed Income Instrument Features

        • 50.1 Fixed Income Cash Flows and Types

        • 51.1 Fixed Income Issuance and Trading

        • 52.1 Fixed Income Markets for Corporate Issuers

        • 53.1 Fixed Income Markets for Government Issuers

        • 54.1 Fixed Income Bond Valuation:Prices and Yields

        • 55.1 Yield and Yield Spread Measures for Fixed Rate Bonds

        • 56.1 Yield and Yield Spread Measures for Floating Rate Instruments

        • 57.1 Term Structure of Interest Rates-Spot Par and Forward Curves

        • 58.1 Interest Rate Risk and Return

        • 59.1 Yield Based Bond Duration Measures and Properties

        • 60.1 Yield Based Bond Convexity and Portfolio Properties

        • 61.1 Curve Based and Empirical Fixed Income Risk Measures

        • 62.1 Credit Risk

        • 63.1 Credit Analysis for Govt Issuers

        • 64.1 Credit Analysis for Corporate Issuers

        • 65.1 Fixed Income Securitization

        • 66.1 Asset Backed Security Instrument and Market Features

        • 67.1 Mortgage Backed Securities Instruments and Market Features

      • 8.Derivatives

        • 68.1 Derivatives Markets

        • 69.1 Forwards and Futures

        • 69.2 Swaps and Options

        • 70.1 Uses, Benefits, and Risks of Derivatives

        • 71.1 Arbitrage Replication and Carrying Costs

        • 72.1 Forward Contract Valuation

        • 73.1 Futures Valuation

        • 74.1 Swap Valuation

        • 75.1 Option Valuation

        • 76.1 Put Call Parity

        • 77.1 Binomial Model for Option Values

      • 9.Alternative Investments

        • 78.1 Alternative Investment Structures

        • 79.1 Performance Appraisal and Return Calculations

        • 80.1 Private Capital

        • 81.1 Real Estate

        • 81.2 Infrastructure

        • 82.1 Farmland, Timberland, and Commodities

        • 83.1 Hedge Funds

        • 84.1 Distributed Ledger Technology

        • 84.2 Digital Asset Characteristics

      • 10.Portfolio Management and Wealth Planning(2)

        • 85.1 Portfolio Management Process

        • 85.2 Asset Management and Pooled Investments

        • 86.1 Portfolio Planning and Construction

        • 87.1 Cognitive Errors vs Emotional Biases

        • 87.2 Emotional Biases

        • 88.1 Introduction to Risk Management

      • 11. Ethical and Professional Standards

        • 89.1 Ethics and Trust

        • 90.1 Code and Standards

        • 91.1 Guidance for Standards I(A) and I(B)

        • 91.2 Guidance for Standards I(C) and I(D)

        • 91.3 Guidance for Standard II

        • 91.4 Guidance for Standards III(A) and III(B)

        • 91.5 Guidance for Standards III(C), III(D), and III(E)

        • 91.6 Guidance for Standard IV

        • 91.7 Guidance for Standard V

        • 91.8 Guidance for Standard VI

        • 91.9 Guidance for Standard VII

        • 92.1 Introduction to GIPS

        • 93.1 Ethics Application

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