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Chartered Financial Analyst (CFA)

Course Description

Chartered Financial Analyst ® (CFA®) charter has become known as the gold standard of professional credentials within the global investment community. Investors recognize the CFA designation as the definitive standard for measuring competence and integrity in the fields of portfolio management and investment analysis.

Topics Covered

Ethical and Professional Standards

Code of Ethics and Standards of Professional Conduct

Guidance for Standards I – VII

Introduction to Global Investment Performance Standards

Global Investment Performance Standards

Quantitative Methods

The Time Value of Money

Discounted Cash Flow Applications

Statistical Concepts and Market Returns

Probability Concepts

Common Probability Distributions

Sampling and Estimation

Hypothesis Testing

Technical Analysis

Economics

Elasticity

Efficiency and Equity

Markets in Action

Organizing Production

Output and Costs

Perfect Competition

Monopoly

Monopolistic Competition and Oligopoly

Demand and Supply in Factor Markets

Monitoring Cycles, Jobs, and the Price Level

Aggregate Supply and Aggregate Demand

Money, Banks, and the Federal Reserve

Money, Interest, Real GDP, and the Price Level

Inflation

Fiscal Policy

Monetary Policy

Financial Reporting And Analysis

Financial Statement Analysis: An Introduction

Financial Reporting Mechanics

Financial Reporting Standards

Understanding the Income Statement

Understanding the Balance Sheet

Understanding the Cash Flow Statement

Analysis of Inventories

Analysis of Long-Lived Assets: Part I—The Capitalization Decision

Analysis of Long-Lived Assets: Part II—Analysis of Depreciation and Impairment

Analysis of Income Taxes

Analysis of Financing Liabilities

Leases and Off-Balance-Sheet Debt

Financial Analysis Techniques

Financial Statement Analysis: Applications

International Standards Convergence

Corporate Finance

Capital Budgeting

Cost of Capital

Working Capital Management

Financial Statement Analysis

The Corporate Governance of Listed Companies: A Manual for Investors

Portfolio Management

The Asset Allocation Decision

An Introduction to Portfolio Management

An Introduction to Asset Pricing Models

Equity Investments

Organization and Functioning of Securities Markets

Security-Market Indexes

Efficient Capital Markets

Market Efficiency and Anomalies

An Introduction to Security Valuation: Part I

Industry Analysis

Equity: Concepts and Techniques

Company Analysis and Stock Valuation

An Introduction to Security Valuation: Part II

Introduction to Price Multiples

Fixed Income

Features of Debt Securities

Risks Associated with Investing in Bonds

Overview of Bond Sectors and Instruments

Understanding Yield Spreads

Monetary Policy in an Environment of Global Financial Markets

Introduction to the Valuation of Debt Securities

Yield Measures, Spot Rates, and Forward Rates

Introduction to the Measurement of Interest Rate Risk

Derivatives

Derivative Markets and Instruments

Forward Markets and Contracts

Futures Markets and Contracts

Option Markets and Contracts

Swap Markets and Contracts

Risk Management Applications of Option Strategies

Alternative Investments

Alternative Investments

Key Features
Investors recognize the CFA designation as the definitive standard for measuring competence and integrity in the fields of portfolio management and investment analysis.  

Duration:  6 Months with 12 Months Access

Course Outcome
Dual Certification from Everonn and Towson University

Course Fee:  Rs.19500

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  Name of the Courses
Sarbanes - Oxley Act Training (SOX)
Chartered Financial Analyst (CFA)
Financial Risk Manager (FRM)
Professional Risk Manager (PRM)
Finance for Non Finance Executives (NFE)
The International Financial Reporting Standards (IFRS)
  Contact Number
Chennai
9445001522
Bengaluru
+918123331112
Delhi
9445034049
Kolkata
9445034049
Hyderabad
9445034049
Mumbai
9445034049
 
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