融跃教育

CFA+FRM双证快速通关APS智播课(B计划)

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课程简介: 是由融跃教育金融研究院拥有多年工作经验与教学经验的精英讲师亲自授课,紧贴考试最新大纲,通过高清录播精讲、直播实时互动及直播回放巩固复习等多元化的教学方式,辅以高品质的在线智能学习平台,突破传统教学的限制。享受专属班主任督学、私教定制学习计划、小群+平台答疑、小班社群学习等模式,让学员在学到知识的同时,快速通过考试。

视频有效期:36个月

视频时长:约860小时

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  • FRM快速通关APS智播课(二级)

基础精讲班

  • 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

前导入门班

  • 1.计算机使用教程

    • 计算机使用教程

  • 2.计算器使用教程

    • 1 - 计算器基本操作

    • 2 - CFA考试用操作和功能

    • 3 - CFA考试用功能的经典例题

    • 4 - CFA考试推荐设置

  • 3.金融数学

    • 金融数学

  • 4.CFA考前注意事项

    • CFA考前注意事项

  • 5.金融英语

    • 金融英语

  • 6.财务报表分析前导

    • 财务报表分析前导

  • 7.2023年一级考纲变化

    • 2023年一级考纲变化

  • 8.官方机考系统体验

    • 官方机考系统介绍

习题强化班

  • 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

    • 习题知识点汇总

  • 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)

前导入门班

  • 1.金融英语

    • 1 - FRM与英语

    • 2 - Grammar

    • 3 - Financial Risk

    • 4 - Financial Institute

    • 5 - Financial Products

  • 2.金融计算器

    • 前言

    • 计算器版本介绍

    • 计算器初览

    • 小数点位设置

    • 运算优先级模式设置

    • 期初期末模式设置

    • 存储调用操作

    • 常用清除键操作

    • 指数运算

    • 对数、阶乘、排列组合运算

    • 泊松分布、二项分布运算

    • 债券价格计算与日期函数运算

    • 货币的时间价值运算

    • 货币时间价值运算实务操作

    • 货币时间价值运算不适用的情况

    • 统计功能操作

  • 3.金融市场产品

    • 常见的金融机构

    • 利率和债券

    • 衍生品

  • 4.债权类产品基础

    • 债券

  • 5.银行经营模式

    • 银行组织架构

    • 银行经营模式

    • 银行财报

  • 6.金融数学

    • 金融数学

  • 7.2023年考纲解读

    • 考纲解读

基础精讲班

  • 1.风险管理基础

    • 前言

    • 1 - The Building Blocks of Risk Management

    • 2 - How Do Firms Manage Financial Risk?

    • 3 - The Governance of Risk Management

    • 4 - Credit Risk Transfer Mechanisms

    • 5 - Modern Portfolio Theory and Capital Asset Pricing Model

    • 6 - The APT and Multifactor Models of Risk and Return

    • 7 - Principles for Effective Data Aggregation and Risk Reporting

    • 8 - Enterprise Risk Management and Future Trends

    • 9 - Learning from Financial Disasters

    • 10 - Anatomy of the Great Financial Crisis of 2007-2009

    • 11 - GARP Code of Conduct

  • 2.数量分析

    • Briefing

    • 1 - Fundamentals of probability

    • 2 - Random variables

    • 3 - Common Univariate Random Variables

    • 4 - Multivariate Random Variables

    • 5 - Sample moments

    • 6 - Hypothesis Testing

    • 7 - Linear Regression

    • 8 - Regression with Multiple Explanatory Variables

    • 9 - Regression Diagnosis

    • 10 - Stationary Time Series

    • 11 - Non-Stationary Time Series

    • 12 - Measuring Returns, Volatility, and Correlation

    • 13 - Simulation and Bootstrapping

    • 14 - Machine-Learning Methods

    • 15 - Machine Learning and Prediction

  • 3.金融市场产品

    • 1 - Banks

    • 2 - Insurance Companies and Pension Plans

    • 3 - Funds Management

    • 4 - Exchanges and OTC Markets

    • 5 - Central clearing

    • 6 - Interest Rates and Bonds

    • 7 - Corporate Bonds

    • 8 - Introduction to Derivatives

    • 9 - Futures Markets

    • 10 - Pricing Financial Forward and Futures

    • 11 - Foreign Exchange Markets

    • 12 - FRA and Interest Rate Futures

    • 13 - Using Futures for Hedging

    • 14 - Swaps

    • 15 - Options Markets

    • 16 - Properties of Options

    • 17 - Trading Strategies

    • 18 - Exotic Options

    • 19 - Mortgages and Mortgage-Backed Securities

  • 4.估值与风险模型

    • 科目介绍

    • 1 - Measures of Financial Risk

    • 2 - Calculating and Applying VaR

    • 3 - Measuring and Monitoring Volatility

    • 4 - External and Internal Ratings

    • 5 - Country Risk: Determinants, Measures, and Implications

    • 6 - Measuring Credit Risk

    • 7 - Operational Risk

    • 8 - Stress Testing

    • 9 - Pricing Conventions, Discounting, and Arbitrage

    • 10 - Interest Rates

    • 11 - Bond Yields and Return Calculations

    • 12 - Applying Duration, Convexity, and DV01

    • 13 - Modeling Non-Parallel Term Structure Shifts and Hedging

    • 14 - Binomial Trees

    • 15 - The Black-Scholes-Merton Model

    • 16 - Option Sensitivity Measures: The “Greeks”

串讲强化班

  • 1.风险管理基础

    • 1 - Risk Management and Corporate Government

    • 2 - Modern Portfolio Theory

    • 3 - Learning From Financial Disasters

    • 4 - The Anatomy of Subprime Crisis

  • 2.数量分析

    • Quantitative Analysis

  • 3.金融市场产品

    • 1 - Financial Institutions and CCP

    • 2 - Interest Rates and Bonds basics

    • 3 - Forwards and Futures

    • 4 - Swaps

    • 5 - Options Markets

    • 6 - Mortgage-Backed Securities

  • 4.估值与风险模型

    • 1 - Market Risk

    • 2 - Credit Risk

    • 3 - Operational Risk

    • 4 - Bonds

    • 5 - Options

冲刺私播班

  • 1.FRM一级 冲刺直播

    • 风险管理基础

    • 数量分析

    • 估值与风险模型

    • 金融市场产品

    • 全景模拟机考

前导入门班

  • 1.2023年考纲解读

    • 考纲解读

  • 2.市场风险

    • 市场风险

  • 3.信用风险

    • 信用风险

  • 4.操作风险

    • 操作风险

基础精讲班

  • 1.市场风险

    • 0 - Introduction

    • 1 - Estimate market risk measurement

    • 2 - Non-parametric approaches

    • 3 - ParametricApproaches (II):Extreme Value

    • 4 - backtesting VaR

    • 5 - VaR Mapping

    • 6 - Messages from the Academic Literature on Risk Management for the Trading Book

    • 7 - Correlation Basics:Definitions, Applications, and Terminology

    • 8 - Empirical Properties of Correlation: How Do Correlations Behave in the Real World?

    • 9 - Financial Correlation Modeling-Bottom-Up Approaches

    • 10 - Empirical Approaches to Risk Metrics and Hedging

    • 11 - The Science ofTerm Structure Models

    • 12 - The Evolution of Short Rates and the Shape of the Term Structure

    • 13 - The Art of Term Structure Model: Drift

    • 14 - The Art of Term Structure Model Volatility and Distribution

    • 15 - Volatility Smiles

    • 16 - FundamentalReview of theTrading Book

  • 2.信用风险

    • 1 - The credit decision

    • 2 - The credit analyst

    • 3 - Capital Structure in Banks

    • 4 - Rating assignment methodologies

    • 5 - Credit risk and credit derivatives

    • 6 - Spread risk and default intensity models

    • 7 - Portfolio credit risk

    • 8 - Counterparty risk and beyond

    • 9 - Netting, close-out and related aspects

    • 10 - Margin(Collateral) and Settlement

    • 11 - Future Value and Exposure

    • 12 - CVA

    • 13 - The evolution of stress-testing counterparty exposures

    • 14 - Credit scoring and retail credit risk management

    • 15 - Credit transfer markets and their implications

    • 16 - An introduction of securitization

    • 17 - Structured credit risk

    • 18 - Understanding the securitization of subprime mortgage credit

    • Introduction

  • 3.操作风险

    • Introduction

    • 1 - Introduction to Operational Risk and Resilience

    • 2 - Risk Governance

    • 3 - Risk Identification

    • 4 - Risk Identification

    • 5 - Risk Mitigation

    • 6 - Risk Reporting

    • 7 - Integrated Risk Management

    • 8 - Cyber-Resilience: Range of Practices

    • 9 - Case Study: Cyberthreats and Information Security Risks

    • 10 - Sound Management of Risks Related to Money Laundering and Financing of Terrorism

    • 11 - Case Study: Financial Crime and Fraud

    • 12 - Guidance on Managing Outsourcing Risk

    • 13 - Case Study: Third-Party Risk Management

    • 14 - Case Study: Investor Protection and Compliance Risks in Investment Activities

    • 15 - Supervisory Guidance on Model Risk Management

    • 16 - Case Study: Model Risk and Model Validation

    • 17 - Stress Testing Banks

    • 18 - Risk Capital Attribution and Risk-Adjusted Performance Measurement

    • 19 - Range of Practices and Issues in Economic Capital Frameworks

    • 20 - Capital Planning at Large Bank Holding Companies

    • 21 - Capital Regulation Before the Global Financial Crisis

    • 22 - Solvency, Liquidity and Other Regulation After the Global Financial Crisis

    • 23 - High-Level Summary of Basel Ⅲ Reforms

    • 24 - Basel Ⅲ:Finalising Post-Crisis Reforms

  • 4.流动性风险

    • introduction

    • 1 - Liquidity Risk

    • 2 - Liquidity and Leverage

    • 3 - Early Warning Indicators

    • 4 - The Investment Function in Financial-services Management

    • 5 - Liquidity and Reserves Management Strategies and Policies

    • 6 - Intraday Liquidity Risk Management

    • 7 - Monitoring Liquidity

    • 8 - The Failure Mechanics of Dealer Banks

    • 9 - liquidity Stress Testing

    • 10 - Liquidity Risk Reporting and Stress Testing

    • 11 - Contingency Funding Planning

    • 12 - Managing and Pricing Deposit Services

    • 13 - Managing Non-deposit Liabilities

    • 14 - Repurchase Agreements and Financing

    • 15 - Liquidity Transfer Pricing: A Guide to Better Practice

    • 16 - The US dollar Shortage in Global Banking and International Policy Response

    • 17 - Covered Interest Parity Lost: Understanding the Cross-Currency Basis

    • 18 - Risk Management for Changing Interest Rates: Asset-Liability Management and Duration Techniques

    • 19 - Illiquid Assets

  • 5.投资风险

    • 1 - Factor theory

    • 2 - Factors

    • 3 - Alpha (and the Low-Risk Anomaly)

    • 4 - Portfolio Construction

    • 5 - Portfolio Risk:Analytical Methods

    • 6 - VaR and Risk Budgeting in Investment Management

    • 7 - Risk Monitoring and Performance Measurement

    • 8 - Portfolio Performance Evaluation

    • 9 - Hedge Funds

    • 10 - Performing Due Diligence on Specific Managers and Funds

    • 11 - Predicting Fraud by Investment Managers

  • 6.金融时事分析

    • 0 - current issues

    • 1 - paper1

    • 2 - paper2

    • 3 - paper3

    • 4 - paper4

    • 5 - paper5

    • 6 - paper6

    • 7 - paper7

    • 8 - paper8

串讲强化班

  • 1.市场风险

    • 1 - Estimating Market Risk Measures

    • 2 - orrelation Basics

    • 3 - The Science of Term Structure Models

    • 4 - Volatility Smiles

  • 2.信用风险

    • 1 - Basics of Credit Risk

    • 2 - Credit Risk Measurements

    • 3 - Counterparty Risk and Mitigations

    • 4 - Credit Derivatives and Securitization

  • 3.流动性风险

    • 0 - introduction

    • 1 - part 1

    • 2 - part 2

    • 3 - part 3

    • 4 - part 4

  • 4.投资风险

    • 1 - Factor Theory

    • 2 - Factors

    • 3 - Alpha (and the Low-Risk Anomaly)

    • 4 - Portfolio Construction

    • 5 - Portfolio Risk:Analytical Methods

    • 6 - VaR and Risk Budgeting in Investment Management

    • 7 - Risk Monitoring and Performance Measurement

    • 8 - Portfolio Performance Evaluation

    • 9 - Hedge Funds

    • 10 - Performing Due Diligence on Specific Managers and Funds

    • 11 - Detecting Fraud by Investment Managers

  • 5.操作风险

    • 0 - topic0

    • 1 - topic1

    • 2 - topic2

    • 3 - topic3

    • 4 - topic4

    • 5 - topic5

    • 6 - topic6

    • 7 - Topic7

    • 8 - Topic8

    • 9 - Topic9

    • 10 - Topic10

    • 11- Topic11

    • 12 - Topic12

冲刺私播班

  • 1.FRM二级 冲刺直播

    • 操作风险

    • 金融时事分析

    • 市场风险

    • 流动性风险

    • 投资风险

    • 信用风险

    • 全景模拟机考

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4条评价
  • 锦欣酱大魔王

    2020-07-22 16:18

    老师讲的非常好,思路清晰,简单易懂,让我学习很有动力,CFA和FRM一起学是个不错的选择。

  • 惠泽桑

    2020-07-13 16:23

    好评好评好评,老师讲的很透彻,看书怎么也看不明白头都大了,这边讲的逻辑很清晰明了

  • 一只尔柳呀

    2020-05-21 16:54

    讲解细致易懂,很好消化理解掌握,给老师点赞

  • 上章氏

    2020-03-05 16:20

    讲的很好 之前不懂的知识都搞懂了 很好的老师

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