Basic information:
- Starting date: 2 January 2013
- Ending date (by which all readings, as well as all exercises included in the CFA® Curriculum and/or in prep providers’ materials should be completed): 5 May 2013
- The whole month of May should be devoted to reviewing material and doing sample and mock exams.
Topic
Soleadea Summary expected date**
1
Ethical and Professional StandardsTue, 15 Jan
237
14
17
Mon, 21 Jan
2
Quantitative MethodsThu, 31 Jan
438
16
27
Sat, 02 Feb
3
Portfolio ManagementThu, 07 Feb
192
7
27
Fri, 08 Feb
4
EconomicsSat, 23 Feb
532
16
33
Sat, 23 Feb
5
Financial Reporting and AnalysisSat, 23 Mar
611
28
22
Sat, 23 Mar
6
Corporate FinanceSat, 30 Mar
219
7
31
Sat, 30 Mar
7
DerivativesSat, 06 Apr
164
7
23
Sat, 06 Apr
8
EquityTue, 16 Apr
288
10
29
Tue, 16 Apr
9
Fixed IncomeThu, 02 May
385
16
24
Thu, 02 May
10
Alternative InvestmentsSun, 05 May
80
3
27
Sun, 05 May
*The number of pages in the CFA® Curriculum related to a given topic.**Free summaries (presentations) on each topic will be prepared by Soleadea Team and will become available on our website around the expected date given in the table.As far as the sequence of topics is concerned, we suggest two major changes comparing to the CFA® Curriculum:
- Firstly, we propose that Portfolio Management be covered directly after Quantitative Methods (due to the concepts of mean and variance present in both topics).
- Secondly, we suggest that you cover Derivatives prior to Equity and Fixed Income in order to gain some knowledge of derivative instruments (understanding options covered in the book on Derivatives is important for Fixed Income readings).
Topic
1
Ethical and Professional Standards15
10
4
13
2
Quantitative Methods12
1
8
87
3
Portfolio Management5
5
4
27
4
Economics10
4
9
100
5
Financial Reporting and Analysis20
8
14
109
6
Corporate Finance8
2
6
44
7
Derivatives5
9
6
38
8
Equity10
3
6
60
9
Fixed Income12
7
8
76
10
Alternative Investments3
6
2
10


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