Chartered Financial Analyst (CFA) - Level I 2024

Home > Chartered Financial Analyst (CFA) - Level I 2024
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Courses
Chartered Financial Analyst (CFA) - (Alternative 2024)-

Rahul Agarwal

Chartered Financial Analyst (CFA) - (Economics 2024)-

Rahul Agarwal

Orientation And Lecture 01 : Orientation And Lecture 01

Lecture 02 : Firm And Market Structure

Lecture 03 : Fiscal And Monetary Policy

Lecture 04 : Fiscal Policy and Business cycles

Lecture 05 : International Trade & Intro To Geopolitics

Lecture 06 : Capital Flows And Exchange

Lecture 07 : Alternative Investments Part 1

Lecture 08 : Alternative Investments Part 2

Lecture 09 : Derivatives

Lecture 10 : Derivatives

Lecture 11 : Derivatives

Lecture 12 : Intro To Digital Assets

Lecture 13 : Ethics Part 1

Lecture 14 : Income Statement

Lecture 15 : Balance Sheet

Lecture 16 : Ethics and Balance Sheet

Lecture 17 : Cash Flow Statement

Lecture 18 : Inventory

Lecture 19 : Financial Analysis Techniques

Lecture 20 : Financial Statement Analysis

Lecture 21 : Strategic Performance Issues In Complex Business Structure

Lecture 22 : Non Current Liabilities

Lecture 23 : Long Lived Asset

Lecture 24 : Ethics

Lecture 25 : Deferred Taxes

Lecture 26 : Income Taxes

Lecture 27 : Intro To FSA And Financial Modeling Financial Reporting Quality

Lecture 28 : Security Market Index And Market Efficiency

Lecture 29 : Security Market Index And Market Efficiency

Lecture 30 : Market Organization and Structure

Lecture 31 : Equity Valuation Part - 1

Lecture 32 : Equity Valuation Part - 2 And Equity Overview Part - 1

Lecture 33 : Company Analysis Past and Present, Forecasting

Lecture 34 : Introduction To Fixed Income Valuation

Lecture 35 : Fixed Income Valuation Class 2

Lecture 36 : Fixed Income Risk & Return

Lecture 37 : Fixed Income Risk & Return

Lecture 38 : Fixed Income Credit Analysis

Lecture 39 : Fixed Income Asset Backed Securities

Lecture 40 : Defining Elements & Issuance, Trading And Funding

Lecture 41 : Rates & Return Reading No 1: Quants

Lecture 42 : Measures Of Central Tendency Probability

Lecture 43 : Sampling

Lecture 44 : Simulation Methods, Estimation & Inference

Lecture 45 : Hypothesis And Parametric Tests

Lecture 46 : Corporate issuers Organisation structure

Lecture 47 : Working Capital And Capital Investment

Lecture 48 : Linear Regression

Lecture 49 : Business Model, Investors & Stakeholders

Lecture 50 : Corporate Governance, Intro To Big Data

Lecture 51 : Portfolio Risk and Return Part 1

Lecture 52 : Portfolio Risk and Return Part 2

Lecture 53 : Value Of Money In Finance