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CFA 2025 L1 科目五: 權益投資、科目六:...
CFA 2025 L1 科目五: 權益投資、科目六: 固定收益投資
Udemy
MOOC / Non-credit
USD 24.99
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About this course
Equity Investments(股權投資)考試重要性該科目權重為 11–14%,約 20–25 題,與 Fixed Income、FSA 同為第二大重點領域。屬於財經實務與模型應用重要核心,並與 Alternative Investments 、Portfolio Management 等科目高度關聯性 。準備方式建議掌握量化分析與財報分析後再深入股權估值內容。練習選擇題與定量計算(如估值模型),搭配模擬試題熟悉公式與思考流程。重點內容市場組織與機構結構:資本市場功能、交易形式、槓桿操作市場指數與效率理論:指數編製、再平衡機制,強/弱形式與行為偏誤股票證券類型與股東權益企業分析(過去與現在):了解公司績效與風險特徵產業與競爭分析:運用 Porter 五力等架構分析市場競爭預測與估值:銷售、成本、自由現金流預測;應用 DDM、DCF、相對估值模型。Fixed Income(固定收益投資)考試重要性11–14% 的權重,同樣約 20–25 題,是 Level I 的主要測試區域。被視為「難度較高」、但貫穿各級別固定收益應用的重要科目。準備方式建議在掌握量化方法後深入本科,尤其是利率、折現與久期計算技巧。多做練題並熟練財務計算器基本功能,特別是久期與配置題。重點內容債券特性與契約條款(契約條款、安全約定)現金流結構與債券類型(含浮動息票)發行與交易機制:主/二級市場與債券指數企業與政府債券市場差異估值與殖利率計算(價格、YTM、利差)利率期限結構:spot、par、forward 曲線風險與報酬:Macaulay 與 Modified 久期、凸性、風險管理信用風險分析:企業/主權評級指標證券化工具應用:ABS、MBS 與次級債結構
What you'll learn
understand the importance of equity and fixed income investments
analyze company performance and risk characteristics
apply valuation models like DDM and DCF
calculate duration and yield for bonds
be familiar with market structures and trading mechanisms
Course objectives
prepare for the CFA Level I exam with a focus on key investment principles
develop quantitative analysis skills applicable to equity and fixed income
cultivate a strong understanding of market dynamics and investment risks
Skills you'll gain
risk management
quantitative analysis
financial modeling
fixed income
valuation models
cash flow analysis
cfa
equity investments
market efficiency
bond characteristics
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