CFA® Level 1 Certification Course

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This complete set of online tools is all you will ever need for CFA® success. We cover the entire Candidate Body of Knowledge (CBOK) which is over 3,000 pages of self-study material. You get a set of tools that is easy-to-use, updated frequently and full of helpful tips to give you an edge.
Even better is that we guarantee you’ll pass the CFA Level 1 or we’ll give you your money back. Our online courses and practice exams are so effective that you will get a full refund if you fail.

With the CFA® Certification course you get 12 month access to our online course, giving you full time to prepare.
Other benefits of our CFA® test prep program:
Make the most of your self study time with our progress tracker and schedule tool

Take practice tests to get you ready for the real-life CFA® Level 1 exam. There are hundreds of questions in our diagnostic question bank.

Totally up-to-date, frequently refreshed material
Interact with other CFA candidates and have your questions answered by experts


CFA® Level 1 Certification Course

The CFA® Level 1 Certification Course includes hundreds of practice questions, an online community of other CFA® candidates, access to mentors, and a time management scheduling function.

Delivery:
  • Online
Category:

Further Details

The online CFA® program is made up of 76 e-learning modules. All of the course material is based on the CFA Institute's Candidate Body of Knowledge (CBOK). Each modules takes 60 to 90 minutes to complete.

I. Ethical And Professional Standards

1. Code of Ethics and Standards of Professional Conduct
2. Guidance for Standards I-VII
3. Introduction to Global Investment Performance Standards
4. Global Investment Performance Standards

II. Quantitative Methods

5. The Time Value of Money
6. Discounted Cash Flow Applications
7. Statistical Concepts and Market Returns
8. Probability Concepts
9. Common Probability Distributions
10. Sampling and Estimation
11. Hypothesis Testing
12. Technical Analysis

III. Economics

13. Elasticity
14. Efficiency and Equity
15. Markets in Action
16. Organizing Production
17. Output and Costs
18. Perfect Competition
19. Monopoly
20. Monopolistic Competition and Oligopoly
21. Demand and Supply in Factor Markets
22. Monitoring Cycles, Jobs, and the Price Level
23. Aggregate Supply and Aggregate Demand
24. Money, Banks, and the Federal Reserve
25. Money, Interest, Real GDP, and the Price Level
26. Inflation
27. Fiscal Policy
28. Monetary Policy

IV. Financial Reporting And Analysis

29. Financial Statement Analysis: An Introduction
30. Financial Reporting Mechanics
31. Financial Reporting Standards
32. Understanding the Income Statement
33. Understanding the Balance Sheet
34. Understanding the Cash Flow Statement
35. Analysis of Inventories
36. Analysis of Long-Lived Assets, Part I: The Capitalization Decision
37. Analysis of Long-Lived Assets, Part II: Analysis of

Depreciation and Impairment

38. Analysis of Income Taxes
39. Analysis of Financing Liabilities
40. Leases and Off-Balance-Sheet Debt
41. Financial Analysis Techniques
42. Financial Statement Analysis: Applications
43. International Standards Convergence

V. Corporate Finance

44. Capital Budgeting
45. Cost of Capital
46. Working Capital Management
47. Financial Statement Analysis
48. The Corporate Governance of Listed Companies: A Manual for Investors

VI. Portfolio Management

49. The Asset Allocation Decision
50. An Introduction to Portfolio Management
51. An Introduction to Asset Pricing Models

VII. Equity Investments

52. Organization and Functioning of Securities Markets
53. Security-Market Indexes
54. Efficient Capital Markets
55. Market Efficiency and Anomalies
56. An Introduction to Security Valuation: Part I
57. Industry Analysis
58. Equity: Concepts and Techniques
59. Company Analysis and Stock Valuation
60. An Introduction to Security Valuation: Part II
61. Introduction to Price Multiples

VIII. Fixed Income

62. Features of Debt Securities
63. Risks Associated with Investing in Bonds
64. Overview of Bond Sectors and Instruments
65. Understanding Yield Spreads
66. Monetary Policy in an Environment of Global Financial

Markets

67. Introduction to the Valuation of Debt Securities
68. Yield Measures, Spot Rates, and Forward Rates
69. Introduction to the Measurement of Interest Rate Risk

IX. Derivatives

70. Derivative Markets and Instruments
71. Forward Markets and Contracts
72. Futures Markets and Contracts
73. Option Markets and Contracts
74. Swap Markets and Contracts
75. Risk Management Applications of Option Strategies
X. Alternative Investments
76. Alternative Investments

Guide Price: 300.00