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    SpicyMags.xyz

    Complete Cfa Level 1 Course 2025

    Posted By: ELK1nG
    Complete Cfa Level 1 Course 2025

    Complete Cfa Level 1 Course 2025
    Published 12/2024
    MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz
    Language: English | Size: 21.07 GB | Duration: 48h 19m

    Ace your CFA Exam with Confidence

    What you'll learn

    Prepare for the CFA® Level 1 exam

    Learn tips and tricks to crack the exam

    Confidently appear with a solid understanding of key concepts and formula

    Practice enough in-lecture practical problems to tackle exam questions

    Requirements

    No prior experience is required.

    Description

    Complete CFA Level 1 Prep Course 2025: Your Path to Mastery in FinanceEmbark on your CFA journey with a course designed to simplify complex topics and equip you for exam success. This comprehensive CFA Level 1 prep course breaks down all key areas—from Ethical and Professional Standards to Financial Reporting, Quantitative Methods, Economics, and beyond. Each session is carefully structured to reinforce essential concepts, with clear explanations, real-world examples, and exam-style questions.Whether you're a beginner or building on a finance foundation, this course offers:- To-the-point lectures: Lectures are straight on-point and covers all the topics with in-lecture problem solving- Detailed Modules: Dive into each CFA domain with well-organized lectures, covering everything from fundamental principles to critical nuances.- Practice-Driven Learning: With hundreds of practice questions and mock exams, develop exam-ready skills and gain confidence.- Expert Guidance: Benefit from practical insights and strategies tailored by finance experts, making complex material accessible and manageable.Achieve your CFA goals with the support, resources, and insights to pass CFA Level 1 with confidence. With rigorous prep and strategic insights, this course equips you to pass CFA Level 1 with confidence. From tackling core concepts to understanding tricky exam questions, we ensure you’re ready for every challenge. Join us to take your first step toward a rewarding finance career!

    Overview

    Section 1: Introduction

    Lecture 1 Course Overview

    Section 2: Ethical & Professional Standards

    Lecture 2 Ethics and Trust in the Investment Profession

    Lecture 3 Code of Ethics and Standards of Conduct

    Lecture 4 I(A) Knowledge of the Law

    Lecture 5 I(B) Independence _ Objectivity

    Lecture 6 I(C) Misrepresentation

    Lecture 7 I(D) Misconduct

    Lecture 8 II(A) Material Nonpublic Information

    Lecture 9 II(B) Market Manipulation

    Lecture 10 III(A) Loyalty, Prudence and Care

    Lecture 11 III(B) Fair Dealing

    Lecture 12 III(C) Suitability

    Lecture 13 III(D) Performance Presentation

    Lecture 14 III(E) Preservation of Confidentiality

    Lecture 15 IV(A) Loyalty (1)

    Lecture 16 IV(B) Additional Compensation

    Lecture 17 IV(C) Responsibility of Supervisors

    Lecture 18 V(A) Diligence and Reasonable Basis

    Lecture 19 V(B) Communication with Clients

    Lecture 20 V(C) Record Retention

    Lecture 21 VI(A) Disclosure of Conflicts

    Lecture 22 VI(B) Priority of Transactions

    Lecture 23 VI(C) Referral Fees

    Lecture 24 VII(A_B) Reference to CFA Program

    Lecture 25 GIPS Standards

    Lecture 26 Let us Recapitulate

    Section 3: Fixed Income

    Lecture 27 Meaning & Features of Fixed Income Securities

    Lecture 28 Bond Indenture & Covenants

    Lecture 29 Fixed Income Cashflow Structures

    Lecture 30 Legal, Regulatory & Tax Considerations

    Lecture 31 Legal, Regulatory & Tax Considerations

    Lecture 32 Fixed Income Index

    Lecture 33 Primary & Secondary Bond Markets

    Lecture 34 External Loan Financing

    Lecture 35 Security-based Financing

    Lecture 36 Repurchase Agreements

    Lecture 37 Long Term Corporate Debt

    Lecture 38 Sovereign Debt

    Lecture 39 Government Agencies

    Lecture 40 Bond pricing using discount rate

    Lecture 41 Yield to Maturity

    Lecture 42 Flat & Full Price

    Lecture 43 Relationship between Bond Price & Other Feature

    Lecture 44 Matrix Pricing

    Lecture 45 Annualized & Compounded Yield

    Lecture 46 Other Yield Measures

    Lecture 47 Yield Spreads

    Lecture 48 Yield Spread for FRNs

    Lecture 49 Yield on Money Market Instruments

    Lecture 50 Spot Rates

    Lecture 51 Par & Forward rates

    Lecture 52 Bond Returns

    Lecture 53 Reinvestment & Price risk

    Lecture 54 Duration

    Lecture 55 Macaulay Duration

    Lecture 56 Investment Horizon & Interest Rate Risk

    Lecture 57 Modified Duration

    Lecture 58 Money Duration & PVBP

    Lecture 59 Duration of ZCB, FRN & Perpetual Bonds

    Lecture 60 Properties of Duration

    Lecture 61 Convexity

    Lecture 62 Portfolio Duration and Convexity

    Lecture 63 Effective Duration & Convexity

    Lecture 64 Key Rate & Empirical Duration

    Lecture 65 Credit Risk Meaning, Source & Measure

    Lecture 66 Credit Rating Industry

    Lecture 67 Factors impacting Credit Spreads

    Lecture 68 Sovereign Credit Analysis

    Lecture 69 Non Sovereign Credit Risk

    Lecture 70 Assessing Corporate Creditworthiness

    Lecture 71 Seniority Ranking

    Lecture 72 Securitization

    Lecture 73 Securitization Process

    Lecture 74 Covered Bond vs ABS

    Lecture 75 Non-Mortgage ABS

    Lecture 76 Solar ABS

    Lecture 77 Collateralized Debt Obligations

    Lecture 78 Mortgage backed Securities

    Lecture 79 RMBS vs CMBS

    Section 4: Economics

    Lecture 80 Types of Markets

    Lecture 81 Profit Maximization

    Lecture 82 Breakeven Analysis

    Lecture 83 Economies of Scale

    Lecture 84 Market Structure

    Lecture 85 Monopolistic Competition

    Lecture 86 Oligopoly

    Lecture 87 Determining Market Structure

    Lecture 88 Types & Phases of Business Cycle

    Lecture 89 Credit Cycle

    Lecture 90 Economic Indicators

    Lecture 91 Introduction to Fiscal Policy

    Lecture 92 Fiscal policy tools

    Lecture 93 Role of Central Banks & Transmission Mechanism

    Lecture 94 Inflation & Exchange rate Targeting

    Lecture 95 Neutral Rate

    Lecture 96 Limitations of Monetary Policy

    Lecture 97 5. Interaction of Monetary & Fiscal Policy

    Lecture 98 Introduction to Geopolitical Risk & Co-operation

    Lecture 99 Globalization

    Lecture 100 Trade Organizations

    Lecture 101 Assessing Geopolitical Actors & Risk

    Lecture 102 Tools of Geopolitics

    Lecture 103 Geopolitical risk in Investment process

    Lecture 104 Benefits & Costs of International Trade

    Lecture 105 Tariffs

    Lecture 106 Quota & Subsidy

    Lecture 107 Trading Blocs

    Lecture 108 The Forex Market

    Lecture 109 Market Structure & Rate Quotes

    Lecture 110 Currency Regimes

    Lecture 111 Trade Balance & Capital Restrictions

    Lecture 112 Cross Rate Calculation

    Lecture 113 Forward Rate Calculation

    Section 5: Quantitative Methods

    Lecture 114 Meaning of Time Value of Money

    Lecture 115 Component of Interest Rate

    Lecture 116 Compounding cash flows

    Lecture 117 Discounting cash flows

    Lecture 118 Perpetuity

    Lecture 119 NPV and NFV

    Lecture 120 Fundamental Concepts of Statistics

    Lecture 121 Types of Data

    Lecture 122 Frequency Distribution

    Lecture 123 Data Visualisation Charts

    Lecture 124 Arithmetic Mean

    Lecture 125 Median, Mode & HPR

    Lecture 126 GM & HM

    Lecture 127 Covariance

    Lecture 128 Range & MAD

    Lecture 129 Standard Deviation & Variance

    Lecture 130 Target Variance and CV

    Lecture 131 Skewness & Kurtosis

    Lecture 132 Scatterplot & Spurious Correlation

    Lecture 133 Correlation

    Lecture 134 Quantiles

    Lecture 135 Box & Whiskers Plot

    Lecture 136 Probability-Properties & Approaches

    Lecture 137 Odds For & Against an Event

    Lecture 138 Conditional & Unconditional Probability

    Lecture 139 Joint Probability

    Lecture 140 Addition Rule

    Lecture 141 Dependent & Independent Events

    Lecture 142 Total Probability Rule

    Lecture 143 Expected Value

    Lecture 144 Probability Tree

    Lecture 145 Variance & SD

    Lecture 146 Portfolio Return & Variance

    Lecture 147 Bayes Formula

    Lecture 148 Assignment Problems

    Lecture 149 Discrete & Continuous Variable

    Lecture 150 Probability Function

    Lecture 151 Discrete Uniform Distribution

    Lecture 152 Continuous Uniform Distribution

    Lecture 153 Binomial & Bernoulli Distribution

    Lecture 154 Mean & Variance of Binomial Distribution

    Lecture 155 Binomial Tree

    Lecture 156 Normal Distribution

    Lecture 157 Univariate & Multivariate distribution and Conf

    Lecture 158 Shortfall Risk and Safety First Ratio

    Lecture 159 Log Normal Distribution

    Lecture 160 Students T-distribution

    Lecture 161 Chi-Square & F-distribution

    Lecture 162 Monte Carlo Simulation

    Lecture 163 Reasons and Types of Sampling

    Lecture 164 Sampling Error & Distribution

    Lecture 165 Central Limit Theorem

    Lecture 166 Standard Error

    Lecture 167 Point estimate vs Confidence interval

    Lecture 168 Constructing Confidence interval

    Lecture 169 Confidence Interval problems

    Lecture 170 Sample Size & Resampling

    Lecture 171 Sampling Bias

    Lecture 172 Hypothesis Testing: Meaning and Steps

    Lecture 173 Null & Alternate Hypothesis

    Lecture 174 Two vs One tailed test

    Lecture 175 Test statistic

    Lecture 176 Level of Significance

    Lecture 177 Decision Rule

    Lecture 178 Conducting One tailed test

    Lecture 179 Conducting Two tailed test

    Lecture 180 The Shortcut

    Lecture 181 Relation between CI and Hypothesis test

    Lecture 182 P-value

    Lecture 183 Test of a Single mean

    Lecture 184 Tests concerning Mean differences

    Lecture 185 Tests concerning variance

    Lecture 186 Parametric & Non-parametric tests

    Lecture 187 Meaning of Linear Regression

    Lecture 188 Equation of a lIne

    Lecture 189 Regression Equation

    Lecture 190 Assumptions of Linear Regression

    Lecture 191 Relationship between two variables

    Lecture 192 Estimating slope and intercept

    Lecture 193 ANOVA

    Lecture 194 Hypothesis test

    Section 6: Equity Investments

    Lecture 195 The Financial System

    Lecture 196 Trader vs Investor

    Lecture 197 Rate of Return

    Lecture 198 Classification of Assets

    Lecture 199 Classification of Market

    Lecture 200 Financial Intermediaries

    Lecture 201 Positions

    Lecture 202 Leverage

    Lecture 203 Orders

    Lecture 204 Primary & Secondary Market

    Lecture 205 Meaning of an Index

    Lecture 206 Types of Index

    Lecture 207 Price Weighted Index

    Lecture 208 Equal weighted index

    Lecture 209 Market cap weighted index

    Lecture 210 Float adj weighted index

    Lecture 211 Fundamental weighted index

    Lecture 212 Rebalancing & Reconstitution

    Lecture 213 Equity Indices

    Lecture 214 Fixed Income indices

    Lecture 215 Alternative asset indices

    Lecture 216 Meaning of Efficient Market

    Lecture 217 Market value vs Intrinsic value

    Lecture 218 Factors affecting market efficiency

    Lecture 219 Forms of Market Efficiency

    Lecture 220 Market Anomalies

    Lecture 221 Behavioral Finance

    Lecture 222 Equity in Global Markets

    Lecture 223 Debt vs Equity securities

    Lecture 224 Types of Equity Securities

    Lecture 225 Private Equity Securities

    Lecture 226 Non-Domestic Equity Securities

    Lecture 227 Risk and Return Characteristics

    Lecture 228 Return on Equity

    Lecture 229 Company Research Report

    Lecture 230 Determining Business Model

    Lecture 231 Revenue Analysis

    Lecture 232 Operating Cost & Working Capital

    Lecture 233 Sources & Uses of Capital

    Lecture 234 Capital Investments & Capital Structure

    Lecture 235 Why analyse an industry

    Lecture 236 Industry Classification Schemes

    Lecture 237 Industry Survey

    Lecture 238 Porters Forces and PESTLE Analysis

    Lecture 239 Competitive Positioning

    Lecture 240 Forecast Approaches

    Lecture 241 Forecasting Revenue

    Lecture 242 Forecasting Expenses & Working capital

    Lecture 243 Forecasting Capital Investments and Capital structure

    Lecture 244 Value vs Price and Diff Models

    Lecture 245 Equity dividends

    Lecture 246 Dividend Discount Model

    Lecture 247 Free Cash Flow, Enterprise & Equity Value

    Lecture 248 Capital Asset Pricing Model

    Lecture 249 Preferred stock

    Lecture 250 Gordon Growth & Multistage Discount model

    Lecture 251 Multiplier Model

    Lecture 252 Asset Based Valuation

    Section 7: Derivatives

    Lecture 253 Meaning of Derivatives

    Lecture 254 Types and Structure of derivatives

    Lecture 255 Forward Contracts

    Lecture 256 Futures and Margin Money

    Lecture 257 Open Interest and ForwardvsFutures

    Lecture 258 Swaps

    Lecture 259 Options

    Lecture 260 Credit Derivatives

    Lecture 261 Risk Aversion & Pricing the underlying

    Lecture 262 Arbitrage & Valuation of Forwards

    Lecture 263 Forward Rate Agreement

    Lecture 264 Futures Pricing

    Lecture 265 Swaps pricing

    Lecture 266 Options pricing

    Section 8: Alternative Investments

    Lecture 267 Meaning of Alternative Investments

    Lecture 268 Categories of AI

    Lecture 269 Methods of Investing

    Lecture 270 Investment structure

    Lecture 271 Compensation Structure

    Lecture 272 Hedge Funds

    Lecture 273 Private Capital

    Lecture 274 Natural Resources

    Lecture 275 Real Estate

    Lecture 276 Infrastructure

    Section 9: Portfolio Management

    Lecture 277 Historical and expected return

    Lecture 278 Other Investment Characteristics

    Lecture 279 Risk aversion, utility function & optimal point

    Lecture 280 Portfolio of Risky Assets

    Lecture 281 Optimal Investor Portfolio

    Lecture 282 Capital Market Theory

    Lecture 283 Systematic & Nonsystematic risk

    Lecture 284 Return Generating Models

    Lecture 285 Calculation & interpretation of beta

    Lecture 286 Capital Asset Pricing Model

    Lecture 287 Portfolio Appraisal Measures

    Lecture 288 Security Selection & Portfolio Construction

    Lecture 289 Portfolio Perspective

    Lecture 290 Portfolio Management Process

    Lecture 291 Investment Clients

    Lecture 292 Asset Management Industry

    Lecture 293 Pooled Investments

    Lecture 294 Portfolio Planning

    Lecture 295 Portfolio Construction

    Lecture 296 Introduction to Behavioral Biases

    Lecture 297 Cognitive errors

    Lecture 298 Emotional Biases

    Lecture 299 Market Anomalies

    Lecture 300 Risk Management Process

    Lecture 301 Risk Governance

    Lecture 302 Identification & Interaction of Risks

    Lecture 303 Risk Drivers & Metrics

    Lecture 304 Risk Modification

    Section 10: Corporate Issuers

    Lecture 305 Corporate Governance & Stakeholder Interests

    Lecture 306 Conflict of Stakeholder Interests

    Lecture 307 Mechanisms of Stakeholder Management

    Lecture 308 Board of Directors

    Lecture 309 Capital Allocation Process

    Lecture 310 Types of capital projects

    Lecture 311 Capital Allocation Assumptions

    Lecture 312 Sunk Cost

    Lecture 313 Opportunity Cost

    Lecture 314 Externality

    Lecture 315 Conventional Cashflows

    Lecture 316 Independent vs Mutually exclusive projects

    Lecture 317 Project Sequencing

    Lecture 318 Capital Rationing

    Lecture 319 Net Present Value

    Lecture 320 Internal Rate of Return

    Lecture 321 NPV vs IRR

    Lecture 322 Return on Capital

    Lecture 323 Real Options

    Lecture 324 Sources of Finance

    Lecture 325 Financing Considerations

    Lecture 326 Liquidity Management & Sources

    Lecture 327 Pulls on Liquidity

    Lecture 328 Drags on Liquidity

    Lecture 329 Measuring Liquidity

    Lecture 330 Weighted Average Cost of Capital

    Lecture 331 Cost of debt and Preferred stock

    Lecture 332 Cost of equity & Project Beta

    Lecture 333 Meaning of Capital Structure

    Lecture 334 MM Proposition

    Lecture 335 Cost of Financial Distress

    Lecture 336 Meaning of Leverage

    Lecture 337 Business and Financial Risk

    Lecture 338 Degree of Operating Leverage

    Lecture 339 Financial & Total Leverage and Break-even point

    CFA® Level 1 candidates,People interested in taking the CFA® exams,Individuals who are interested in a career in finance,Anyone who wants to learn Ethics, Quantitative Methods, Corporate Finance, Economics, Alternative Investments