Chapter | Topics |
---|---|
1 | Code of Ethics and Standards of Professional Conduct |
2 | Guidance for Standards I–VII |
3 | Application of the Code and Standards: Level II |
Chapter | Topics |
---|---|
1 | Basics of Multiple Regression and Underlying Assumptions |
2 | Evaluating Regression Model Fit and Interpreting Model Results |
3 | Model Misspecification |
4 | Extensions of Multiple Regression |
5 | Time-Series Analysis |
6 | Machine Learning |
7 | Big Data Projects |
Chapter | Topics |
---|---|
1 | Currency Exchange Rates: Understanding Equilibrium Value |
2 | Economic Growth |
Chapter | Topics |
---|---|
1 | Intercorporate Investments |
2 | Employee Compensation: Post-Employment and Share-Based |
3 | Multinational Operations |
4 | Analysis of Financial Institutions |
5 | Evaluating Quality of Financial Reports |
6 | Integration of Financial Statement Analysis Techniques |
Chapter | Topics |
---|---|
1 | Analysis of Dividends and Share Repurchases |
2 | Environmental, Social, and Governance (ESG) Considerations in Investment Analysis |
3 | Cost of Capital: Advanced Topics |
4 | Corporate Restructuring |
Chapter | Topics |
---|---|
1 | Equity Valuation: Applications and Processes |
2 | Discounted Dividend Valuation |
3 | Free Cash Flow Valuation |
4 | Market-Based Valuation: Price and Enterprise Value Multiples |
5 | Residual Income Valuation |
6 | Private Company Valuation |
Chapter | Topics |
---|---|
1 | The Term Structure and Interest Rate Dynamics |
2 | The Arbitrage-Free Valuation Framework |
3 | Valuation and Analysis of Bonds with Embedded Options |
4 | Credit Analysis Models |
5 | Credit Default Swaps |
Chapter | Topics |
---|---|
1 | Pricing and Valuation of Forward Commitments |
2 | Valuation of Contingent Claims |
Chapter | Topics |
---|---|
1 | Introduction to Commodities and Commodity Derivatives |
2 | Overview of Types of Real Estate Investment |
3 | Investments in Real Estate through Publicly Traded Securities |
4 | Hedge Fund Strategies |
Chapter | Topics |
---|---|
1 | Economics and Investment Markets |
2 | Analysis of Active Portfolio Management |
3 | Exchange-Traded Funds: Mechanics and Applications |
4 | Using Multifactor Models |
5 | Measuring and Managing Market Risk |
6 | Backtesting and Simulation |