2020CFA®三级全景网课 扫二维码继续学习

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  • 第 1 章 : 行为金融学
  • 课时1:行为金融学_20191123_AM01 45:25
  • 课时2:行为金融学_20191123_AM02 40:48
  • 课时3:行为金融学_20191123_AM03 37:12
  • 课时4:行为金融学_20191123_AM04 36:53
  • 课时5:行为金融学_20191123_PM01 50:46
  • 课时6:行为金融学_20191123_PM02 43:06
  • 课时7:行为金融学_20191123_PM03 45:01
  • 课时8:行为金融学_20191123_PM04 50:38
  • 第 2 章 : 私人财富管理
  • 课时9:私人财富管理_20191130_AM01 44:35
  • 课时10:私人财富管理_20191130_AM02 50:59
  • 课时11:私人财富管理_20191130_AM03 43:17
  • 课时12:私人财富管理_20191130_AM04 38:09
  • 课时13:私人财富管理_20191130_PM01 53:38
  • 课时14:私人财富管理_20191130_PM02 48:31
  • 课时15:私人财富管理_20191130_PM03 62:24
  • 课时16:私人财富管理_20191130_PM04 63:00
  • 课时17:私人财富管理_20191207_AM01 48:35
  • 课时18:私人财富管理_20191207_AM02 40:53
  • 课时19:私人财富管理_20191207_AM03 52:57
  • 课时20:私人财富管理_20191207_PM01 43:02
  • 课时21:私人财富管理_20191207_PM02 43:50
  • 课时22:私人财富管理_20191207_PM03 55:12
  • 课时23:私人财富管理_20191207_PM04 45:57
  • 第 3 章 : 机构投资者的投资组合管理
  • 免费 课时24:机构投资者的投资组合管理_20191221_AM01 42:12
  • 课时25:机构投资者的投资组合管理_20191221_AM02 44:50
  • 课时26:机构投资者的投资组合管理_20191221_AM03 35:08
  • 课时27:机构投资者的投资组合管理_20191221_AM04 38:27
  • 课时28:机构投资者的投资组合管理_20191221_PM01 39:36
  • 课时29:机构投资者的投资组合管理_20191221_PM02 37:07
  • 课时30:机构投资者的投资组合管理_20191221_PM03 38:51
  • 课时31:机构投资者的投资组合管理_20191221_PM04 38:13
  • 课时32:机构投资者的投资组合管理_20191221_PM05 34:21
  • 第 4 章 : 资本市场预期
  • 课时33:资本市场预期_20200105_AM01 40:35
  • 课时34:资本市场预期_20200105_AM02 39:20
  • 课时35:资本市场预期_20200105_AM03 40:21
  • 课时36:资本市场预期_20200105_AM04 42:24
  • 课时37:资本市场预期_20200105_PM01 34:09
  • 课时38:资本市场预期_20200105_PM02 41:59
  • 课时39:资本市场预期_20200105_PM03 48:52
  • 课时40:资本市场预期_20200105_PM04 32:14
  • 第 5 章 : 股票组合管理(19年,考纲不变)
  • 课时41:股票组合管理_20190224_AM01 46:06
  • 课时42:股票组合管理_20190224_AM02 42:09
  • 课时43:股票组合管理_20190224_AM03 34:10
  • 课时44:股票组合管理_20190224_AM04 37:02
  • 课时45:股票组合管理_20190224_PM01 40:00
  • 课时46:股票组合管理_20190224_PM02 43:52
  • 课时47:股票组合管理_20190224_PM03 39:13
  • 课时48:股票组合管理_20190224_PM04 35:50
  • 课时49:股票组合管理_20190303_AM01 47:08
  • 课时50:股票组合管理_20190303_AM02 44:28
  • 课时51:股票组合管理_20190303_AM03 32:10
  • 课时52:股票组合管理_20190303_AM04 36:51
  • 课时53:股票组合管理_20190303_PM01 46:27
  • 课时54:股票组合管理_20190303_PM02 43:36
  • 课时55:股票组合管理_20190303_PM03 39:06
  • 课时56:股票组合管理_20190303_PM04 39:59
  • 第 6 章 : 固定收益(18年,考纲不变)
  • 课时57:固定收益_20180121_AM01 35:46
  • 课时58:固定收益_20180121_AM02 40:18
  • 课时59:固定收益_20180121_AM03 38:35
  • 课时60:固定收益_20180121_AM04 38:51
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  • 课时62:固定收益_20180121_PM02 44:24
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  • 课时67:固定收益_20180121_PM07 29:11
  • 课时68:固定收益_20180121_PM08 33:21
  • 课时69:固定收益_20180121_PM09 26:52
  • 课时70:固定收益_20180128_AM01 45:22
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  • 课时74:固定收益_20180128_PM01 59:36
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  • 课时82:固定收益_20180204_AM01 49:39
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  • 课时84:固定收益_20180204_AM03 36:07
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  • 课时86:固定收益_20180204_PM01 55:23
  • 课时87:固定收益_20180204_PM02 23:22
  • 课时88:固定收益_20180204_PM03 56:37
  • 课时89:固定收益_20180204_PM04 41:41
  • 课时90:固定收益_20180204_PM05 59:40
  • 课时91:固定收益_20180204_PM06 54:48
  • 第 7 章 : 职业伦理(19年,内容整合)
  • 课时92:职业伦理01 35:14
  • 课时93:职业伦理02 45:08
  • 课时94:职业伦理03 56:18
  • 课时95:职业伦理04 39:07
  • 课时96:职业伦理05 37:28
  • 课时97:职业伦理06 40:05
  • 课时98:职业伦理07 36:48
  • 课时99:职业伦理08 40:23
  • 课时100:职业伦理09 40:28
  • 课时101:职业伦理10 40:46
  • 课时102:职业伦理11 34:37
  • 第 8 章 : 衍生品与外汇管理(高清)
  • 第 1 节 : Reading 15
  • 课时103:Position Equivalencies(1) 16:28
  • 课时104:Position Equivalencies(2) 18:37
  • 课时105:Covered Calls and Protective Puts(1) 26:39
  • 课时106:Covered Calls and Protective Puts(2) 32:32
  • 课时107:Spreads and Combinations(1) 23:38
  • 课时108:Spreads and Combinations(2) 24:58
  • 课时109:Implied Volatility and Volatility Skew 11:11
  • 课时110:Investment Objectives and Strategy Selection 06:46
  • 课时111:Uses of Options in Portfolio Management 14:35
  • 第 2 节 : Reading 16
  • 课时112:Changing Risk Exposures with Swaps, Futures, and Forwards(1) 31:24
  • 课时113:Changing Risk Exposures with Swaps, Futures, and Forwards(2) 31:58
  • 课时114:Changing Risk Exposures with Swaps, Futures, and Forwards(3) 33:03
  • 课时115:Changing Risk Exposures with Swaps, Futures, and Forwards(4) 15:17
  • 课时116:Derivatives on Volatility 23:49
  • 课时117:Uses of Derivatives in Portfolio Management 20:55
  • 第 3 节 : Reading 17
  • 课时118:Basic concepts of currency management 42:27
  • 课时119:Effects of currency on portfolio risk and return 15:06
  • 课时120:Strategic decisions 25:21
  • 课时121:Tactical currency management(1) 24:43
  • 课时122:Tactical currency management(2) 18:19
  • 课时123:Hedging and roll yield 21:43
  • 课时124:Strategies to modify risk and lower hedging costs 16:17
  • 课时125:Hedging multiple currencies 14:31
  • 课时126:Managing emerging market currency 06:20
  • 第 9 章 : 另类投资(高清)
  • 第 1 节 : Reading 26
  • 课时127:Classification of Hedge Funds and Strategies 22:05
  • 课时128:Equity Strategies 46:04
  • 课时129:Event-Driven Strategies 26:43
  • 课时130:Relative Value Strategies 24:21
  • 课时131:Opportunistic Strategies 10:38
  • 课时132:Specialist Strategies 19:31
  • 课时133:Multi-Manager Strategies 24:08
  • 课时134:Analysis of Hedge Fund Strategies 09:33
  • 课时135:Portfolio Contribution of Hedge Fund Strategies 08:02
  • 第 2 节 : Reading 27
  • 课时136:The Role of Alternative Investments in a Multi-Asset Portfolio 12:40
  • 课时137:Diversifying Equity Risk 09:35
  • 课时138:Perspectives on the Investment Opportunity Set 15:14
  • 课时139:Investment Considerations Relevant to the Decision to Invest in Alternatives 19:49
  • 课时140:Suitability Considerations 09:04
  • 课时141:Asset Allocation Approaches 17:51
  • 课时142:Liquidity Planning 17:21
  • 课时143:Monitoring the Investment Program 12:32
  • 第 10 章 : 交易、业绩评价、经理选择(高清)
  • 第 1 节 : Reading 34
  • 课时144:Motivations to Trade 34:14
  • 课时145:Trading Strategies and Strategy Selection 45:43
  • 课时146:Trade Execution (Strategy Implementation) 28:42
  • 课时147:Trade Evaluation 24:38
  • 课时148:Trade Governance 06:52
  • 第 2 节 : Reading 35
  • 课时149:The Components of Performance Evaluation 05:43
  • 课时150:Benchmarking Investments and Managers 44:52
  • 课时151:Performance Attribution 55:20
  • 课时152:Performance Appraisal 20:31
  • 第 3 节 : Reading 36
  • 课时153:A Framework for Investment Manager Search and Selection 18:38
  • 课时154:Quantitative Elements of Manager Search and Selection 08:36
  • 课时155:Qualitative Elements of Manager Due Diligence 21:45
  • 第 11 章 : 案例(高清)
  • 第 1 节 : Reading 37
  • 课时156:Liquidity Management 15:46
  • 课时157:QUINCO Case 32:44
  • 第 2 节 : Reading 38
  • 课时158:Case Study in Risk Management:Private Wealth 22:13
  • 第 12 章 : 资产配置(高清)
  • 第 1 节 : Reading12
  • 课时159:Framework 47:43
  • 课时160:The Investment Governance Background to Asset Allocation 59:58
  • 课时161:The Economic Balance Sheet and Asset Allocation 19:37
  • 课时162:Strategic Asset Allocation(1) 71:30
  • 课时163:Strategic Asset Allocation(2) 83:15
  • 课时164:Implementation Choices 27:02
  • 课时165:Rebalancing:Strategic Consideration 18:43
  • 第 2 节 : Reading 13
  • 课时166:Mean-variance Optimization (1) 45:17
  • 课时167:Mean-variance Optimization (2) 35:14
  • 课时168:Monte Carlo Simulation 34:25
  • 课时169:Reverse optimization & Black-Litterman model 41:39
  • 课时170:Adding constraints beyond the budget constraints 06:56
  • 课时171:Resampled mean-variance Optimization 23:45
  • 课时172:Other non-normal optimization approaches 06:38
  • 课时173:Allocating to less liquid asset classes 07:48
  • 课时174:Risk budgeting 37:24
  • 课时175:Factor-Based Asset AlIocation 11:04
  • 课时176:Liability-relative asset allocation(1) 82:35
  • 课时177:Liability-relative asset allocation(2) 47:29
  • 课时178:Goal-based asset allocation 37:26
  • 课时179:Other approaches to asset allocation 11:34
  • 课时180:Rebalancing 08:41
  • 第 3 节 : Reading14
  • 课时181:Constraints in Asset Allocation 39:00
  • 课时182:Asset Allocation for The Taxable investor 16:11
  • 课时183:Revising The Strategic Asset Allocation 07:49
  • 课时184:Short-term Shifts in Asset Allocation 12:46
  • 课时185:Dealing with Behavioral Biases in Asset Allocation 24:56
  • 第 13 章 : 习题讲解
  • 课时186:习题讲解_20200516_AM01 37:49
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  • 课时225:习题讲解_20200613_PM04 34:36
  • 第 14 章 : 模考讲解
  • 课时226:模考讲解_20201115_AM01 44:51
  • 课时227:模考讲解_20201115_AM02 41:13
  • 课时228:模考讲解_20201115_AM03 43:12
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  • 课时230:模考讲解_20201115_PM01 40:12
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  • 课时233:模考讲解_20201115_PM04 53:43
  • 课时234:模考讲解_20201115_PM05 61:47