Fixed Income Portfolio Management For CFA Level – III Preparation Course
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Videos | 9.6 |
Study Materials | 9.1 |
Practice Tests | 9.5 |
This course guide is based on the Fixed Income Portfolio Management curriculum for the CFA Level 3 test.
The CFA Level 3 preparation course, which spans 18 videos and around 5 hours, will provide students with a thorough grasp of the topic and aid in the clarification of challenging ideas. These videos cover all of the readings and the loss from CFA Level 3 Study Session 9.

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Description
Intoduction –
This study guide is based on the Fixed Income Portfolio Management curriculum for the CFA Level 3 test.
The CFA Level 3 preparation course, which spans 18 videos and around 5 hours, will provide students with a thorough grasp of the topic and aid in the clarification of challenging ideas. These videos cover all of the readings and the loss from CFA Level 3 Study Session 9.
Course Highlights
- 20 Videos
- 2+ Hours of Content
Objectives Of This Courses
Viewers who complete this course will be able to:
- In around 5 hours, you may finish your CFA L3 fixed income preparation.
- Listen to information tailored exclusively for exam preparation to gain confidence in a difficult subject like Fixed Income.
The Fixed Income Portfolio Management course is also ideal for working professionals who are studying for the CFA Level 3 but have limited study time.
Benefits In This Course
This course is designed for those studying for the CFA level 3I test. The simplicity of this course, as well as the extensive explanations provided with many images and references, are its main features.
Topics Covered In This Course
The aspects of the investment management process, such as risk, return, and investment limitations, are the same for a fixed-income portfolio as they are for any other form of portfolio in this preparation course. As part of the process, an acceptable benchmark is chosen to serve as a guide for portfolio creation and performance review. The benchmark for investors that use an asset-only strategy is usually a bond market index. Performance is judged in terms of the portfolio’s capacity to satisfy a set of investor-specific obligations for investors that use a liability-based approach.
The first reading covers these fundamental aspects of fixed-income portfolio management as well as particular portfolio management methods.
The second reading explores new relative-value approaches, which will allow students to finish the perpetration for Fixed Income portfolio management in less than 5 hours, compared to 20-25 hours of self-study!
Who Can Enroll In This Course?
- Students pursuing CFA exam
- Individuals willing to gain advanced knowledge on Fixed Income and Portfolio Management.
Additional information
Specification: Fixed Income Portfolio Management For CFA Level – III Preparation Course
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