CFA Level 1 Portfolio Management

Portfolio Management for the CFA L1 curriculum | Prof. James Forjan, PhD, CFA

Ratings: 4.58 / 5.00




Description

Wouldn’t it be great if studying for the CFA® exam was as easy as watching TV?
With AnalystPrep video lessons, it is!

Our video lessons follow the same pattern as the 57 readings from the curriculum, with the exception that we emphasize on the LOS – the learning objectives on which exam questions are based! Plus we add convenient mathematical examples throughout so that you are better prepared on the big day.

Professor James Forjan, who has taught college-level finance classes for over 23 years, summarizes Level I of the CFA exam curriculum in 57 clear and simple videos. With a clear passion for teaching, Prof. Forjan has worked in the CFA exam preparation industry for decades after earning his charter in 2004. His resume includes:

  • BS in accounting

  • MSc in Finance

  • PhD in Finance (minor in Economics and two PhD level classes in Econometrics)

  • Has taught at different 6 universities (undergraduate and graduate-level Finance classes)

  • Co-author of investment books

  • Has crafted, edited, updated, and upgraded a multitude of CFA exam type questions at all levels

  • And much more…

This course includes:

  • Videos covering each Portfolio Management reading (downloadable)

  • Downloadable Powerpoint slides (in PDF format)

In this video series, Professor James Forjan summarizes the CFA Level 1 Portfolio Management chapter. Prof. Forjan has taught undergraduate and graduate business classes for over 25 years and is a co-author on investment books. All of the important concepts from the CFA Level I Portfolio Management chapter are explained in details and include many questions examples.

The answers file includes detailed explanations and the referring LOS. Learn from the #1 rated CFA & FRM preparation institution − AnalystPrep.

The readings covered in this course are:

  • Reading 48 – Portfolio Management: An Overview

  • Reading 49 – Portfolio Risk and Return: Part I

  • Reading 50 – Portfolio Risk and Return: Part II

  • Reading 51 – Basics of Portfolio Planning and Construction

  • Reading 52 –The Behavioral Biases Of Individuals

  • Reading 53 – Introduction to Risk Management

  • Reading 54 – Technical Analysis

  • Reading 55 – Fintech in Investment Management

What You Will Learn!

  • CFA Level 1 Portfolio Management

Who Should Attend!

  • CFA Level 1 candidates