任务
1
Introduction to Strategic Asset Allocation(1)
任务
2
Introduction to Strategic Asset Allocation(2)
任务
3
Return and Risk Objectives
任务
4
Additional Assets
任务
5
Asset Allocation Steps & Approaches(1)
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6
Asset Allocation Steps & Approaches(2)
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7
Asset Allocation Steps & Approaches(3)
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8
Considerations for Individual and Institutional Investors
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9
Tactical Asset Allocation
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10
Introduction to Currency Management
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11
Currency Management Strategies(1)
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12
Currency Management Strategies(2)
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13
Emerging Market Currency Issues
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14
Benchmarks
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15
Market Indexes
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16
General Tips (1)
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17
General Tips (2)
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18
The CFA Professional Conduct Program
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19
Asset Manager Code of Professional Conduct(1)
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20
Asset Manager Code of Professional Conduct(2)
任务
21
Contrast Traditional Finance and Behavioral Finance Perspective
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22
Utility Theory, Bounded Rationality and Prospect Theory
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23
Efficient Markets, Market Anomalies and Behavioral Finance Models
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24
The Behavioral Biases of Individuals: Congnitive and Emotional Bias
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25
Congnitive Bias Impact (1)
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26
Congnitive Bias Impact (2)
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27
Congnitive Bias Impact (3)
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28
Emotioanal Bias Impact
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29
Behaviorally Modified Asset Allocation Impact
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30
Behavioral Model(1)
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31
Behavioral Model(2)
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32
Behavioral Application(1)
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33
Behavioral Application(2)
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34
Some Examples
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35
Managing Individual Investor Portfolios(1)
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36
Managing Individual Investor Portfolios(2)
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37
Managing Individual Investor Portfolios(3)
任务
38
Managing Individual Investor Portfolios(4)
任务
39
Taxes and Private Wealth Management in a Global Context (1)
任务
40
Taxes and Private Wealth Management in a Global Context (2)
任务
41
Taxes and Private Wealth Management in a Global Context (3)
任务
42
Estate Planning in a Global Context (1)
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43
Estate Planning in a Global Context (2)
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44
Estate Planning in a Global Context (3)
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45
Concentrated Single-Asset Positions
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46
Lifetime Financial Advice: Human Capital, Asset Allocation, and Life Insurance
任务
47
Pension(1)
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48
Pension(2)
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49
Foundation & Endowment(1)
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50
Foundation & Endowment(2)
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51
Insurance Companies(1)
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52
Insurance Companies(2)
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53
Insurance Companies(3)
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54
Bank
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55
Linking Pension Liabilities to Assets
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56
Problems in Forecasting in Capital Market(1)
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57
Problems in Forecasting in Capital Market(2)
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58
Problems in Forecasting in Capital Market(3)
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59
Forecasting Tools in Capital Market Expectations(1)
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60
Forecasting Tools in Capital Market Expectations(2)
任务
61
Economic Analysis(1)
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62
Economic Analysis(2)
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63
Economic Analysis(3)
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64
Equity Market Valuation (1)
任务
65
Equity Market Valuation (2)
任务
66
Fixed-Income Portfolio Management—Part I Bond Index(1)
任务
67
Fixed-Income Portfolio Management—Part I Bond Index(2)
任务
68
Fixed-Income Portfolio Management—Part I Immunization Strategy(1)
任务
69
Fixed-Income Portfolio Management—Part I Immunization Strategy(2)
任务
70
Relative-Value Methodologies
任务
71
Fixed-Income Portfolio Management—Part II Credit Risk
任务
72
Fixed-Income Portfolio Management—Part II Risk Measures
任务
73
Equities in a Portfolio
任务
74
Passive Management
任务
75
Active Management
任务
76
Enhanced Indexing
任务
77
Pick the invest managers
任务
78
Real Estate
任务
79
Private Equity
任务
80
Commodities
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81
Hedge Fund
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82
Managed Futures
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83
Distressed Securities
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84
Benchmarks and Historical Performance
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85
Introduction to Risk Management
任务
86
Value at Risk (VAR)—i
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87
Value at Risk (VAR)—ii
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88
Credit Risk Management
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89
Performance Evaluation
任务
90
Risk Management Applications of Forward and Futures Strategies(1)
任务
91
Risk Management Applications of Forward and Futures Strategies(2)
任务
92
Risk Management Applications of Option Strategies(1)
任务
93
Risk Management Applications of Option Strategies(2)
任务
94
Risk Management Applications of Swap Strategies
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95
Execution of Portfolio Decision(1)
任务
96
Execution of Portfolio Decision(2)
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97
Execution of Portfolio Decision(3)
任务
98
Execution of Portfolio Decision(4)
任务
99
Execution of Portfolio Decision(5)
任务
100
Monitoring and Rebalancing (1)
任务
101
Monitoring and Rebalancing (2)
任务
102
TWR vs. MWR(1)
任务
103
TWR vs. MWR(2)
任务
104
Benchmark Selection(1)
任务
105
Benchmark Selection(2)
任务
106
Macro Performance Attribution
任务
107
Micro Performance Attribution(1)
任务
108
Micro Performance Attribution(2)
任务
109
Measures of Risk-Adjusted Performance
任务
110
Objectives and Features of GIPS
任务
111
Fundamentals of Compliance
任务
112
Input Data & Calculation Methodology
任务
113
Composite Construction
任务
114
Disclosure
任务
115
Presentation and Reporting
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116
Real Estate
任务
117
Private Equity
任务
118
Wrap fee/Separately Managed Account
任务
119
Verification
任务
120
GIPS Advertising Guidlines