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LM01 Alternative Investment Features, Methods, and Structures
LM01 Categories, Characteristics, and Compensation Structures of Alternative Investments
LM01 Corporate Structures and Ownership
LM01 Derivative Instrument and Derivative Market Features
LM01 Derivative Instrument and Derivative Market Features
LM01 Ethics and Trust in the Investment Profession
LM01 Ethics and Trust in the Investment Profession
LM01 Fixed-Income Instrument Features
LM01 Fixed-Income Securities: Defining Elements
LM01 Introduction to Financial Statement Analysis
LM01 Introduction to Financial Statement Analysis
LM01 Market Organization & Structure
LM01 Market Organization and Structure
LM01 Organizational Forms, Corporate Issuer Features, and Ownership
LM01 Portfolio Management Overview
LM01 Portfolio Management: An Overview
LM01 Rates and Returns
LM01 The Firm & Market Structures
LM01 Time Value of Money
LM01 Topics in Demand and Supply Analysis
LM02 Alternative Investment Performance and Returns
LM02 Analyzing Income Statements
LM02 Code of Ethics and Standards of Professional Conduct
LM02 Code of Ethics and Standards of Professional Conduct Profession
LM02 Financial Reporting Standards
LM02 Fixed Income Markets - Issuance Trading and Funding
LM02 Fixed-Income Cash Flows and Types
LM02 Forward Commitment and Contingent Claim Features and Instruments
LM02 Forward Commitment and Contingent Claim Features and Instruments
LM02 Introduction to Corporate Governance and Other ESG Considerations
LM02 Investors and Other Stakeholders
LM02 Organizing, Visualizing, and Describing Data
LM02 Performance Calculation and Appraisal of Alternative Investments
LM02 Portfolio Risk & Return: Part I
LM02 Portfolio Risk and Return Part I
LM02 Security Market Indexes
LM02 Security Market Indexes
LM02 The Firm and Market Structures
LM02 Time Value of Money in Finance
LM02 Understanding Business Cycles
LM03 Aggregate Output, Prices and Economic Growth
LM03 Analyzing Balance Sheets
LM03 Business Models & Risks
LM03 Corporate Governance: Conflicts, Mechanisms, Risks, and Benefits
LM03 Derivative Benefits, Risks, and Issuer and Investor Uses
LM03 Derivative Benefits, Risks, and Issuer and Investor Uses
LM03 Fiscal Policy
LM03 Fixed-Income Issuance and Trading
LM03 Guidance for Standards I-VII
LM03 Guidance for Standards I–VII
LM03 Introduction to Fixed Income Valuation
LM03 Investments in Private Capital: Equity and Debt
LM03 Market Efficiency
LM03 Market Efficiency
LM03 Portfolio Risk & Return: Part II
LM03 Portfolio Risk and Return Part II
LM03 Private Capital, Real Estate, Infrastructure, Natural Resources, and Hedge Funds
LM03 Probability Concepts
LM03 Statistical Measures of Asset Returns
LM03 Understanding Income Statements
LM04 An Introduction to Asset-Backed Securities
LM04 Analyzing Statements of Cash Flows I
LM04 Arbitrage, Replication, and the Cost of Carry in Pricing Derivatives
LM04 Arbitrage, Replication, and the Cost of Carry in Pricing Derivatives
LM04 Basics of Portfolio Planning & Construction
LM04 Basics of Portfolio Planning and Construction
LM04 Capital Investments
LM04 Common Probability Distributions
LM04 Fixed-Income Markets for Corporate Issuers
LM04 Introduction to the Global Investment Performance Standards (GIPS)
LM04 Introduction to the Global Investment Performance Standards (GIPS)
LM04 Monetary Policy
LM04 Overview of Equity Securities
LM04 Overview of Equity Securities
LM04 Probability Trees and Conditional Expectations
LM04 Real Estate and Infrastructure
LM04 Understanding Balance Sheets
LM04 Understanding Business Cycles
LM04 Working Capital and Liquidity.
LM05 Analyzing Statements of Cash Flows II
LM05 Capital Investments and Capital Allocation
LM05 Company Analysis: Past and Present
LM05 Fixed-Income Markets for Government Issuers
LM05 Introduction to Geopolitics
LM05 Introduction to Industry and Company Analysis
LM05 Monetary and Fiscal Policy
LM05 Natural Resources
LM05 Portfolio Mathematics
LM05 Pricing and Valuation of Forward Contracts and for an Underlying with Varying Maturities
LM05 Pricing and Valuation of Forward Contracts.
LM05 Sampling and Estimation
LM05 The Behavioral Biases of Individuals
LM05 The Behavioral Biases of Individuals
LM05 Understanding Cash Flow Statements
LM05 Understanding Fixed-Income Risk and Return
LM05 Working Capital & Liquidity
LM06 Analysis of Inventories
LM06 Capital Structure
LM06 Cost of Capital-Foundational Topics
LM06 Equity Valuation: Concepts and Basic Tools
LM06 Financial Analysis Techniques
LM06 Fixed-Income Bond Valuation: Prices and Yields
LM06 Fundamentals of Credit Analysis
LM06 Hedge Funds
LM06 Hypothesis Testing
LM06 Industry and Competitive Analysis
LM06 International Trade
LM06 Introduction to Geopolitics
LM06 Introduction to Risk Management
LM06 Introduction to Risk Management
LM06 Pricing and Valuation of Futures Contracts
LM06 Pricing and Valuation of Futures Contracts
LM06 Simulation Methods
LM07 Analysis of Long-Term Assets
LM07 Business Models
LM07 Capital Flows and the FX Market
LM07 Capital Structure
LM07 Company Analysis: Forecasting
LM07 Estimation and Inference
LM07 International Trade and Capital Flows
LM07 Introduction to Digital Assets
LM07 Introduction to Linear Regression
LM07 Inventories
LM07 Pricing and Valuation of Interest Rate and Other Swaps
LM07 Pricing and Valuation of Interest Rates and Other Swaps
LM07 Technical Analysis
LM07 Yield and Yield Spread Measures for Fixed-Rate Bonds.
LM08 Currency Exchange Rates
LM08 Equity Valuation: Concepts and Basic Tools
LM08 Exchange Rate Calculations
LM08 Fintech in Investment Management
LM08 Hypothesis Testing
LM08 Long Lived Assets
LM08 Measures of Leverage
LM08 Pricing and Valuation of Options
LM08 Pricing and Valuation of Options
LM08 Topics in Long-Term Liabilities and Equity
LM08 Yield and Yield Spread Measures for Floating-Rate Instruments
LM09 Analysis of Income Taxes
LM09 Income Taxes
LM09 Option Replication Using Put-Call Parity
LM09 Option Replication Using Put–Call Parity
LM09 Parametric and Non-Parametric Tests of Independence
LM09 The Term Structure of Interest Rates: Spot, Par, and Forward Curves
LM10 Financial Reporting Quality
LM10 Interest Rate Risk and Return
LM10 Non-current (Long-Term) Liabilities
LM10 Simple Linear Regression
LM10 Valuing a Derivative Using a One-Period Binomial Model
LM10 Valuing a Derivative Using a One-Period Binomial Model
LM11 Financial Analysis Techniques
LM11 Financial Reporting Quality
LM11 Introduction to Big Data Techniques
LM11 Yield-Based Bond Duration Measures and Properties
LM12 Applications of Financial Statement Analysis
LM12 Introduction to Financial Statement Modeling
LM12 Yield-Based Bond Convexity and Portfolio Properties
LM13 Curve-Based and Empirical Fixed-Income Risk Measures
LM14 Credit Risk
LM15 Credit Analysis for Government Issuers
LM16 Credit Analysis for Corporate Issuers
LM17 Fixed-Income Securitization
LM18 Asset-Backed Security (ABS) Instrument and Market Features
LM19 Mortgage-Backed Security (MBS) Instrument and Market Features
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FRM Part II Study Notes
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Part II Book 1 Study Notes
Book 1 Study Notes
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P2 Bk1 Chapter 1 Notes: Estimating Market Risk Measures: An Introduction and Overview
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P2 Bk1 Chapter 2 Notes: Non-Parametric Approaches
In Progress
P2 Bk1 Chapter 3 Notes: Parametric Approaches (II): Extreme Value
In Progress
P2 Bk1 Chapter 4 Notes: Backtesting VaR
In Progress
P2 Bk1 Chapter 5 Notes: VaR Mapping
In Progress
P2 Bk1 Chapter 6 Notes: Validating Bank Holding Companies’ Value-at-Risk Models for Market Risk
In Progress
P2 Bk1 Chapter 7 Notes: Beyond Exceedance-Based Backtesting of VaR Models: Methods for Backtesting the Entire Forecasting Distribution Using Probability Integral Transform”
In Progress
P2 Bk1 Chapter 8 Notes: Correlation Basics: Definitions, Applications, and Terminology
In Progress
P2 Bk1 Chapter 9 Notes: Empirical Properties of Correlation: How Do Correlations Behave in the Real World?
In Progress
P2 Bk1 Chapter 10 Notes: Financial Correlation Modeling — Bottom-Up Approaches
In Progress
P2 Bk1 Chapter 11 Notes: Regression Hedging and Principal Component Analysis
In Progress
P2 Bk1 Chapter 12 Notes: Arbitrage Pricing with Term Structure Models
In Progress
P2 Bk1 Chapter 13 Notes: Expectations, Risk Premium, Convexity, and the Shape of the Term Structure
In Progress
P2 Bk1 Chapter 14 Notes: The Art of Term Structure Models: Drift
In Progress
P2 Bk1 Chapter 15 Notes: The Art of Term Structure Models: Volatility and Distribution
In Progress
P2 Bk1 Chapter 16 Notes: The Vasicek and Gauss+ Models
In Progress
P2 Bk1 Chapter 17 Notes: Volatility Smiles
In Progress
P2 Bk1 Chapter 18 Notes: Fundamental Review of the Trading Book
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Part II Book 2 Study Notes
Book 2 Study Notes
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P2 Bk2 Chapter 1 Notes: Fundamentals of Credit Risk
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P2 Bk2 Chapter 2 Notes: Governance
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P2 Bk2 Chapter 3 Notes: Credit Risk Management
In Progress
P2 Bk2 Chapter 4 Notes: Capital Structure in Banks
In Progress
P2 Bk2 Chapter 5 Notes: Introduction to Credit Risk Modeling and Assessment
In Progress
P2 Bk2 Chapter 6 Notes: Credit Scoring and Rating
In Progress
P2 Bk2 Chapter 7 Notes: Credit Scoring and Retail Credit Risk Management
In Progress
P2 Bk2 Chapter 8 Notes: Country Risk: Determinants, Measures, and Implications
In Progress
P2 Bk2 Chapter 9 Notes: Estimating Default Probabilities
In Progress
P2 Bk2 Chapter 10 Notes: Credit Value at Risk
In Progress
P2 Bk2 Chapter 11 Notes: Portfolio Credit Risk
In Progress
P2 Bk2 Chapter 12 Notes: Credit Risk
In Progress
P2 Bk2 Chapter 13 Notes: Credit Derivatives
In Progress
P2 Bk2 Chapter 14 Notes: Derivatives
In Progress
P2 Bk2 Chapter 15 Notes: Counterparty Risk and Beyond
In Progress
P2 Bk2 Chapter 16 Notes: Netting, Close-out, and Related Aspects
In Progress
P2 Bk2 Chapter 17 Notes: Margin (Collateral) and Settlement
In Progress
P2 Bk2 Chapter 18 Notes: Central Clearing
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P2 Bk2 Chapter 19 Notes: Future Value and Exposure
In Progress
P2 Bk2 Chapter 20 Notes: CVA
In Progress
P2 Bk2 Chapter 21 Notes: The Evolution of Stress Testing Counterparty Exposures
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P2 Bk2 Chapter 22 Notes: Structured Credit Risk
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P2 Bk2 Chapter 23 Notes: An Introduction to Securitization
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Part II Book 3 Study Notes
Book 3 Study Notes
24 Items
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P2 Bk3 Chapter 1 Notes: Introduction to Operational Risk and Resilience
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P2 Bk3 Chapter 2 Notes: Risk Governance
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P2 Bk3 Chapter 3 Notes: Risk Identification
In Progress
P2 Bk3 Chapter 4 Notes: Risk Measurement and Assessment
In Progress
P2 Bk3 Chapter 5 Notes: Ch5 Risk Mitigation
In Progress
P2 Bk3 Chapter 6 Notes: Ch6 Risk Reporting
In Progress
P2 Bk3 Chapter 7 Notes: Integrated Risk Management
In Progress
P2 Bk3 Chapter 8 Notes: Cyber-resilience: Range of Practice
In Progress
P2 Bk3 Chapter 9 Notes: Cyberthreats and Information Security Risks
In Progress
P2 Bk3 Chapter 10 Notes: Sound Management of Risks Related to Money Laundering and Financing of Terrorism
In Progress
P2 Bk3 Chapter 11 Notes: Financial Crime and Fraud
In Progress
P2 Bk3 Chapter 12 Notes: Guidance on Managing Outsourcing Risk
In Progress
P2 Bk3 Chapter 13 Notes: Third-Party Risk Management
In Progress
P2 Bk3 Chapter 14 Notes: Investor Protection and Compliance Risks in Investment Activities
In Progress
P2 Bk3 Chapter 15 Notes: Supervisory Guidance on Model Risk Management
In Progress
P2 Bk3 Chapter 16 Notes: Case Study: Model Risk and Model Validation
In Progress
P2 Bk3 Chapter 17 Notes: Stress Testing Banks
In Progress
P2 Bk3 Chapter 18 Notes: Risk Capital Attribution and Risk-Adjusted Performance Measurement
In Progress
P2 Bk3 Chapter 19 Notes: Range of practices and issues in economic capital frameworks
In Progress
P2 Bk3 Chapter 20 Notes: Capital Planning at Large Bank Holding Companies: Supervisory Expectations and Range of Current Practice
In Progress
P2 Bk3 Chapter 21 Notes: Capital Regulation Before the Global Financial Crisis
In Progress
P2 Bk3 Chapter 22 Notes: Solvency, Liquidity and Other Regulation After the Global Financial Crisis
In Progress
P2 Bk3 Chapter 23 Notes: High-level summary of Basel III reforms
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P2 Bk3 Chapter 24 Notes: Basel III: Finalizing post-crisis reforms
In Progress
Part II Book 4 Study Notes
Book 4 Study Notes
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P2 Bk4 Chapter 1 Notes: Liquidity Risk
In Progress
P2 Bk4 Chapter 2 Notes: Liquidity and Leverage
In Progress
P2 Bk4 Chapter 3 Notes: Early Warning Indicators
In Progress
P2 Bk4 Chapter 4 Notes: The Investment Function in Financial-Services Management
In Progress
P2 Bk4 Chapter 5 Notes: Liquidity and Reserves Management: Strategies and Policies
In Progress
P2 Bk4 Chapter 6 Notes: Intraday Liquidity Risk Management
In Progress
P2 Bk4 Chapter 7 Notes: Monitoring Liquidity
In Progress
P2 Bk4 Chapter 8 Notes: The Failure Mechanics of Dealer Banks
In Progress
P2 Bk4 Chapter 9 Notes: Liquidity Stress Testing
In Progress
P2 Bk4 Chapter 10 Notes: Liquidity Risk Reporting and Stress Testing
In Progress
P2 Bk4 Chapter 11 Notes: Contingency Funding Planning
In Progress
P2 Bk4 Chapter 12 Notes: Managing and Pricing Deposit Services
In Progress
P2 Bk4 Chapter 13 Notes: Managing Non-Deposit Liabilities
In Progress
P2 Bk4 Chapter 14 Notes: Repurchase Agreements and Financing
In Progress
P2 Bk4 Chapter 15 Notes: Liquidity Transfer Pricing: A Guide to Better Practice
In Progress
P2 Bk4 Chapter 16 Notes: The US Dollar Shortage in Global Banking and the International Policy Response
In Progress
P2 Bk4 Chapter 17 Notes: Covered Interest Parity Lost: Understanding the Cross-Currency Basis
In Progress
P2 Bk4 Chapter 18 Notes: Risk Management for Changing Interest Rates: Asset-Liability Management and Duration Techniques
In Progress
P2 Bk4 Chapter 19 Notes: Illiquid Assets
In Progress
Part II Book 5 Study Notes
Book 5 Study Notes
11 Items
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P2 Bk5 Chapter 1 Notes: Factor Theory
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P2 Bk5 Chapter 2 Notes: Factors
In Progress
P2 Bk5 Chapter 3 Notes: Alpha (and the Low-Risk Anomaly)
In Progress
P2 Bk5 Chapter 4 Notes: Portfolio Construction
In Progress
P2 Bk5 Chapter 5 Notes: Portfolio Risk: Analytical Methods
In Progress
P2 Bk5 Chapter 6 Notes: VaR and Risk Budgeting in Investment Management
In Progress
P2 Bk5 Chapter 7 Notes: Risk Monitoring and Performance Measurement
In Progress
P2 Bk5 Chapter 8 Notes: Portfolio Performance Evaluation
In Progress
P2 Bk5 Chapter 9 Notes: Hedge Funds
In Progress
P2 Bk5 Chapter 10 Notes: Performing Due Diligence on Specific Managers and Funds
In Progress
P2 Bk5 Chapter 11 Notes: Predicting Fraud by Investment Managers
In Progress
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