Duration: 3 days
- Ethical and Professional Standards
- Economics
- Quantitative Analysis
- Financial Statement Analysis
- Asset Valuation
- Portfolio Management
The objective of this course is to give the participants a very intensive preparation for the CFA®
Level 1 examination.
At this course, most weight will be given to Financial Statement Analysis (28% weighting according
to the Study Guide) and Asset Valuation (30%), but Ethics, Quantitative Methods, Economics and
Corporate Finance will also be covered. Asset Valuation includes a general section on securities
markets, debt and equity investments, derivatives investments, and alternative investments. The
final program will closely reflect the current curriculum. The course is designed as a number of
fast-paced classroom presentations of approx. 1-2 hours followed by "Quizzes", "Mock Examinations"
and intensive Q+A sessions on each topic covered by the curriculum. The Level 1 examination is 100%
multiple choice comprising approx. 240 questions with an average of 1.5 minutes to answer each
question. Therefore, a major objective of this crash course is to train the participants in
reading, analyzing and answering the questions quickly enough! At the end of the course, the
participants will receive a "Quizzer" with interactive exam-style questions with commented answers
for "last minute" PC-based review before the examination. Historical evidence confirms that this
CFA® Level 1 Crash Course significantly improves the chances of success at the subsequent
examination. However, participation in this course will not by itself be sufficient preparation for
the exam. Participants are expected to have studied the CFA curriculum materials carefully prior to
this course!
Day One
08.30 - 08.45 Welcome and Introduction
08.45 - 12.00 Ethical and Professional Standards
-
Study Session 1
- Code of Ethics
- Standards of Professional Conduct
- Small test
12.00 - 13.00 Lunch
13.00 - 17.00 Quantitative Methods
-
Study session 2
- TVM, Statistical Concepts, Market Returns, Probability Concepts, Probability
Distributions
-
Study Session 3
- Sampling and Estimation, Hypothesis Testing, Correlation and Regression
Economics
-
Study Session 4
-
Study session 5
-
Study session 6
- Small test
Day Two
08.30 - 08.45 Recap
08.45 - 12.00 Financial Statement Analysis (I)
-
Study Session 7
-
Study Session 8
- Financial Ratios and Earnings per Share
- Small test
12.00 - 13.00 Lunch
13.00 - 17.00 Financial Statement Analysis (II)
-
Study Session 9
-
Study session 10
- Small test
Corporate Finance
-
Study Session 11
- Corporate Investing and Financing Decisions
Portfolio Management
-
Study Session 12
- Capital Market Theory: Basic Concepts
- Small test
Day Three
08.30 - 08.45 Recap
08.45 - 12.00 Asset Valuation (I)
-
Study session 13
-
Study session 14
-
Study session 15
- Debt Investments: Basic Concepts
- Small test
12.00 - 13.00 Lunch
13.00 - 16.00 Asset Valuation (III)
-
Study Session 16
- Debt Investments: Analysis and Valuation
-
Study Session 17
-
Study Session 18
Mock Examination
Evaluation and Termination of the Course