Sách học cfa 2017 level 3 danh cho cac bạn muốn học cfa giao trinh viet bang tieng anh Sách học cfa 2017 level 3 danh cho cac bạn muốn học cfa giao trinh viet bang tieng anh Sách học cfa 2017 level 3 danh cho cac bạn muốn học cfa giao trinh viet bang tieng anh
Level III: 2016 - 2017 Program Changes The 2017 Level III curriculum has 32 readings One new reading is added for Level III curriculum For any questions or comments please email us at support@ift.world Notes & Key Red Green Yellow Removed New/Added Updated 2017 Level III packages are on sale now Study Session SS 2016 # Reading Name Code of Ethics and Professional Standards Guidance for Standards I–VII To view IFT Level III prep packages click here Reading Name 2017 # Code of Ethics and Professional Standards Guidance for Standards I–VII Comments SS Applications of the Codes and Standards Asset Manager Code of Professional Conduct Applications of the Codes and Standards Asset Manager Code of Professional Conduct SS The Behavioral Finance Perspective The Behavioral Biases of Individuals Behavioral Finance and Investment Processes The Behavioral Finance Perspective The Behavioral Biases of Individuals Behavioral Finance and Investment Processes SS 10 Managing Individual Investor Portfolios Taxes and Private Wealth Management in a Global Context Estate Planning in a Global Context 10 Managing Individual Investor Portfolios Taxes and Private Wealth Management in a Global Context Estate Planning in a Global Context SS 11 12 Concentrated Single Asset Positions Lifetime Financial Advice: Human Capital, Asset Allocation, and Insurance 11 12 Concentrated Single Asset Positions Risk Management for Individuals SS 13 14 Managing Institutional Investor Portfolios Linking Pension Liabilities to Assets 13 14 Managing Institutional Investor Portfolios Linking Pension Liabilities to Assets SS 15 16 Capital Market Expectations Equity Market Valuation 15 16 Capital Market Expectations Equity Market Valuation SS 17 Asset Allocation 17 Asset Allocation SS 18 19 Currency Management: An Introduction Market Indexes and Benchmarks 18 19 Currency Management: An Introduction Market Indexes and Benchmarks SS 10 20 21 Fixed-Income Portfolio Management—Part I Relative-Value Methodologies for Global Credit Bond Portfolio Management 20 21 Fixed-Income Portfolio Management—Part I Relative-Value Methodologies for Global Credit Bond Portfolio Management SS 11 22 Fixed-Income Portfolio Management—Part II 22 Fixed-Income Portfolio Management—Part II SS 12 23 Equity Portfolio Management 23 Equity Portfolio Management SS 13 24 Alternative Investments Portfolio Management 24 Alternative Investments Portfolio Management SS 14 25 Risk Management 25 Risk Management SS 15 26 27 28 Risk Management Applications of Forward and Futures Strategies Risk Management Applications of Option Strategies Risk Management Applications of Swap Strategies 26 27 28 Risk Management Applications of Forward and Futures Strategies Risk Management Applications of Option Strategies Risk Management Applications of Swap Strategies SS 16 29 30 Execution of Portfolio Decisions Monitoring and Rebalancing 29 30 Execution of Portfolio Decisions Monitoring and Rebalancing SS 17 31 Evaluating Portfolio Performance 31 Evaluating Portfolio Performance SS 18 32 Overview of the Global Investment Performance Standards 32 Overview of the Global Investment Performance Standards www.ift.world