|
|
001 BONUS Continue Your Exam Prep With Us!.html
|
HTML
|
1.7 KB
|
|
|
001 Big Data and Artificial Intelligence.mp4
|
MP4
|
26.4 MB
|
|
|
001 Big Data and Artificial Intelligence_en.vtt
|
VTT
|
11.9 KB
|
|
|
001 Capital Market Theory.mp4
|
MP4
|
15.1 MB
|
|
|
001 Capital Market Theory_en.vtt
|
VTT
|
7 KB
|
|
|
001 Cognitive Errors (2022).mp4
|
MP4
|
138.9 MB
|
|
|
001 Cognitive Errors (2022)_en.vtt
|
VTT
|
18.1 KB
|
|
|
001 How To Get The Most Out Of This Course.mp4
|
MP4
|
40.4 MB
|
|
|
001 How To Get The Most Out Of This Course_en.vtt
|
VTT
|
4.8 KB
|
|
|
001 Portfolio Approach to Investing.mp4
|
MP4
|
42.6 MB
|
|
|
001 Portfolio Approach to Investing_en.vtt
|
VTT
|
6.5 KB
|
|
|
001 Portfolio Planning.mp4
|
MP4
|
89 MB
|
|
|
001 Portfolio Planning_en.vtt
|
VTT
|
12.8 KB
|
|
|
001 Principles of Technical Analysis (2022).mp4
|
MP4
|
17.2 MB
|
|
|
001 Principles of Technical Analysis (2022)_en.vtt
|
VTT
|
8 KB
|
|
|
001 Returns Measures.mp4
|
MP4
|
46.9 MB
|
|
|
001 Returns Measures_en.vtt
|
VTT
|
13 KB
|
|
|
001 The Risk Management Process.mp4
|
MP4
|
15.8 MB
|
|
|
001 The Risk Management Process_en.vtt
|
VTT
|
5.5 KB
|
|
|
002 Applications of Fintech to Investment Management.mp4
|
MP4
|
18 MB
|
|
|
002 Applications of Fintech to Investment Management_en.vtt
|
VTT
|
6.4 KB
|
|
|
002 Charts and Chart Patterns (2022).mp4
|
MP4
|
56.5 MB
|
|
|
002 Charts and Chart Patterns (2022)_en.vtt
|
VTT
|
12.7 KB
|
|
|
002 Emotional Biases (2022).mp4
|
MP4
|
25.7 MB
|
|
|
002 Emotional Biases (2022)_en.vtt
|
VTT
|
11.6 KB
|
|
|
002 Expected Returns and Standard Deviation of Returns.mp4
|
MP4
|
17.8 MB
|
|
|
002 Expected Returns and Standard Deviation of Returns_en.vtt
|
VTT
|
8.2 KB
|
|
|
002 Portfolio Construction.mp4
|
MP4
|
96.7 MB
|
|
|
002 Portfolio Construction_en.vtt
|
VTT
|
10.2 KB
|
|
|
002 Risk Governance.mp4
|
MP4
|
17.8 MB
|
|
|
002 Risk Governance_en.vtt
|
VTT
|
6.6 KB
|
|
|
002 Systematic vs Unsystematic Risk.mp4
|
MP4
|
61.1 MB
|
|
|
002 Systematic vs Unsystematic Risk_en.vtt
|
VTT
|
7.5 KB
|
|
|
002 Types of Investors.mp4
|
MP4
|
67.8 MB
|
|
|
002 Types of Investors_en.vtt
|
VTT
|
9.3 KB
|
|
|
003 Distributed Ledger Technology (Blockchain).mp4
|
MP4
|
70.5 MB
|
|
|
003 Distributed Ledger Technology (Blockchain)_en.vtt
|
VTT
|
7.1 KB
|
|
|
003 How Behavioural Finance Influences Market Behaviour (2022).mp4
|
MP4
|
15.4 MB
|
|
|
003 How Behavioural Finance Influences Market Behaviour (2022)_en.vtt
|
VTT
|
8.6 KB
|
|
|
003 Identification of Risks.mp4
|
MP4
|
37.2 MB
|
|
|
003 Identification of Risks_en.vtt
|
VTT
|
10.6 KB
|
|
|
003 Returns Generating Models and Beta.mp4
|
MP4
|
22 MB
|
|
|
003 Returns Generating Models and Beta_en.vtt
|
VTT
|
8.4 KB
|
|
|
003 Steps in the Portfolio Management Process.mp4
|
MP4
|
49.8 MB
|
|
|
003 Steps in the Portfolio Management Process_en.vtt
|
VTT
|
5 KB
|
|
|
003 Technical Indicators (2022).mp4
|
MP4
|
35.9 MB
|
|
|
003 Technical Indicators (2022)_en.vtt
|
VTT
|
14.3 KB
|
|
|
003 Test Your Understanding.html
|
HTML
|
512 B
|
|
|
003 Theory of Portfolio Diversification.mp4
|
MP4
|
64.1 MB
|
|
|
003 Theory of Portfolio Diversification_en.vtt
|
VTT
|
8.7 KB
|
|
|
004 CAPM and Security Market Line.mp4
|
MP4
|
35.7 MB
|
|
|
004 CAPM and Security Market Line_en.vtt
|
VTT
|
10.5 KB
|
|
|
004 Intermarket Analysis and Applications to Portfolio Management (2022).mp4
|
MP4
|
11.3 MB
|
|
|
004 Intermarket Analysis and Applications to Portfolio Management (2022)_en.vtt
|
VTT
|
4.6 KB
|
|
|
004 Investor’s Optimal Portfolio.mp4
|
MP4
|
18.4 MB
|
|
|
004 Investor’s Optimal Portfolio_en.vtt
|
VTT
|
8.6 KB
|
|
|
004 Measuring Risks.mp4
|
MP4
|
29 MB
|
|
|
004 Measuring Risks_en.vtt
|
VTT
|
11.3 KB
|
|
|
004 Pooled Investments.mp4
|
MP4
|
94.5 MB
|
|
|
004 Pooled Investments_en.vtt
|
VTT
|
13.5 KB
|
|
|
004 Test Your Understanding.html
|
HTML
|
512 B
|
|
|
005 Measures of Portfolio Performance.mp4
|
MP4
|
24.9 MB
|
|
|
005 Measures of Portfolio Performance_en.vtt
|
VTT
|
6.5 KB
|
|
|
005 Methods of Risk Modification.mp4
|
MP4
|
25.5 MB
|
|
|
005 Methods of Risk Modification_en.vtt
|
VTT
|
8.4 KB
|
|
|
005 Test Your Understanding.html
|
HTML
|
512 B
|
|
|
006 Test Your Understanding.html
|
HTML
|
512 B
|
|
|
18511126-Slides-PM01-010-Overview-on-Portfolio-Management-Portfolio-Approach-to-Investing.pdf
|
PDF
|
1.3 MB
|
|
|
18511180-Slides-PM01-020-Overview-on-Portfolio-Management-Types-of-Investors.pdf
|
PDF
|
12.6 MB
|
|
|
18511192-Slides-PM01-030-Overview-on-Portfolio-Management-Steps-in-the-Portfolio-Management-Process.pdf
|
PDF
|
2.3 MB
|
|
|
18511226-Slides-PM01-040-Overview-on-Portfolio-Management-Pooled-Investments.pdf
|
PDF
|
12.2 MB
|
|
|
18511308-Slides-PM02-010-Portfolio-Risk-and-Return-I-Returns-Measures.pdf
|
PDF
|
1.5 MB
|
|
|
18511312-Slides-PM02-020-Portfolio-Risk-and-Return-I-Expected-Returns-and-Standard-Deviation-of-Returns.pdf
|
PDF
|
906.3 KB
|
|
|
18511320-Slides-PM02-030-Portfolio-Risk-and-Return-I-Theory-of-Portfolio-Diversification.pdf
|
PDF
|
1.2 MB
|
|
|
18511332-Slides-PM02-040-Portfolio-Risk-and-Return-I-Investors-Optimal-Portfolio.pdf
|
PDF
|
3.2 MB
|
|
|
18511350-Slides-PM03-010-Portfolio-Risk-and-Return-II-Capital-Market-Theory.pdf
|
PDF
|
2.3 MB
|
|
|
18511360-Slides-PM03-020-Portfolio-Risk-and-Return-II-Systematic-vs-Unsystematic-Risk.pdf
|
PDF
|
2.1 MB
|
|
|
18511394-Slides-PM03-040-Portfolio-Risk-and-Return-II-CAPM-and-Security-Market-Line.pdf
|
PDF
|
7.2 MB
|
|
|
18511406-Slides-PM03-050-Portfolio-Risk-and-Return-II-Measures-of-Portfolio-Performance.pdf
|
PDF
|
2.7 MB
|
|
|
18511420-Slides-PM04-010-Basics-of-Portfolio-Planning-and-Construction-Portfolio-Planning.pdf
|
PDF
|
3.5 MB
|
|
|
18511426-Slides-PM04-020-Basics-of-Portfolio-Planning-and-Construction-Portfolio-Construction.pdf
|
PDF
|
4.3 MB
|
|
|
18511432-Slides-PM05-010-Risk-Management-The-Risk-Management-Process.pdf
|
PDF
|
2.2 MB
|
|
|
18511436-Slides-PM05-020-Risk-Management-Risk-Governance.pdf
|
PDF
|
1.8 MB
|
|
|
18511440-Slides-PM05-030-Risk-Management-Identification-of-Risks.pdf
|
PDF
|
2.8 MB
|
|
|
18511442-Slides-PM05-040-Risk-Management-Measuring-Risks.pdf
|
PDF
|
2.4 MB
|
|
|
18511466-Slides-PM05-050-Risk-Management-Methods-of-Risk-Modification.pdf
|
PDF
|
4.2 MB
|
|
|
18513466-Slides-PM06-010-Fintech-in-Investment-Management-Big-Data-and-Artificial-Intelligence.pdf
|
PDF
|
4 MB
|
|
|
18513468-Slides-PM06-020-Fintech-in-Investment-Management-Applications-of-Fintech-to-Investment-Management.pdf
|
PDF
|
7.3 MB
|
|
|
18513478-Slides-PM06-030-Fintech-in-Investment-Management-Distributed-Ledger-Technology-Blockchain.pdf
|
PDF
|
7.1 MB
|
|
|
23891450-Suggested-Sequence-of-Study-for-CFA-Level-I.pdf
|
PDF
|
208.6 KB
|
|
|
37578472-Slides-PM07-030-The-Behavioural-Biases-of-Individuals-How-Behavioural-Finance-Influences-Market-Behaviour.pdf
|
PDF
|
2.2 MB
|
|
|
37578480-Slides-PM07-020-The-Behavioural-Biases-of-Individuals-Emotional-Biases.pdf
|
PDF
|
5.3 MB
|
|
|
37578488-Slides-PM07-010-The-Behavioural-Biases-of-Individuals-Cognitive-Errors.pdf
|
PDF
|
10 MB
|
|
|
38425606-Slides-PM08-020-Technical-Analysis-Charts-and-Chart-Patterns.pdf
|
PDF
|
6.5 MB
|
|
|
38425614-Slides-PM08-010-Technical-Analysis-Principles-of-Technical-Analysis.pdf
|
PDF
|
6.7 MB
|
|
|
38425620-Slides-PM08-030-Technical-Analysis-Technical-Indicators.pdf
|
PDF
|
6.2 MB
|
|
|
38425628-Slides-PM08-040-Technical-Analysis-Intermarket-Analysis-and-Applications-to-Portfolio-Management.pdf
|
PDF
|
3.6 MB
|
|
|
Bonus Resources.txt
|
TXT
|
409.6 B
|
|
|
Get Bonus Downloads Here.url
|
URL
|
204.8 B
|