[2025년 CFA 레벨1 - CFA LEVEL1 시험 대비 문제은행 + 해설 – 한국어 전문 튜터링]
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지금 바로 연락하세요! 북미에서 한국어로 진행되는 유일한 CFA LEVEL 1 시험 대비 튜터링으로 목표 합격을 향한 첫걸음을 시작하십시오.
** 최신 CFA 레벨 1 전과목 업데이트 **
2025 CHARTERED FINANCIAL ANALYST LEVEL 1 EXAM
- QUANTITATIVE METHODS
Reading 1. Rates and Returns
Reading 2. The Time Value of Money in Finance
Reading 3. Statistical Measures of Asset Returns
Reading 4. Probability Trees and Conditional Expectations
Reading 5. Portfolio Mathematics
Reading 6. Simulation Methods
Reading 7. Estimation and Inference
Reading 8. Hypothesis Testing
Reading 9. Parametric and Non-Parametric Tests of Independence
Reading 10. Simple Linear Regression
Reading 11. Introduction to Big Data Techniques
- ECONOMICS
Reading 12. Firms and Market Structures
Reading 13. Understanding Business Cycles
Reading 14. Fiscal Policy
Reading 15. Monetary Policy
Reading 16. Introduction to Geopolitics
Reading 17. International Trade
Reading 18. Capital Flows and the FX Market
Reading 19. Exchange Rate Calculations
- CORPORATE ISSUERS
Reading 20. Portfolio Risk and Return Part I
Reading 21. Portfolio Risk and Return Part II
Reading 22. Organizational Forms, Corporate Issuer Features, and Ownership
Reading 23. Investors and Other Stakeholders
Reading 24. Corporate Governance- Conflicts, Mechanisms, Risks, and Benefits
Reading 25. Working Capital and Liquidity
Reading 26. Capital Investments and Capital Allocation
- FINANCIAL STATEMENT ANALYSIS
Reading 27. Capital Structure
Reading 28. Business Models
Reading 29. Introduction to Financial Statement Analysis
Reading 30. Analyzing Income Statements
Reading 31. Analyzing Balance Sheets
Reading 32. Analyzing Statements of Cash Flows I
Reading 33. Analyzing Statements of Cash Flows II
Reading 34. Analysis of Inventories
Reading 35. Analysis of Long-Term Assets
Reading 36. Topics in Long-Term Liabilities and Equity
Reading 37. Analysis of Income Taxes
Reading 38. Financial Reporting Quality
- EQUITY INVESTMENTS
Reading 39. Financial Analysis Techniques
Reading 40. Introduction to Financial Statement Modeling
Reading 41. Market Organization and Structure
Reading 42. Security Market Indexes
Reading 43. Market Efficiency
Reading 44. Overview of Equity Securities
Reading 45. Company Analysis- Past and Present
Reading 46. Industry and Competitive Analysis
- FIXED INCOME
Reading 47. Company Analysis- Forecasting
Reading 48. Equity Valuation- Concepts and Basic Tools
Reading 49. Fixed-Income Instrument Features
Reading 50. Fixed-Income Cash Flows and Types
Reading 51. Fixed-Income Issuance and Trading
Reading 52. Fixed-Income Markets for Corporate Issuers
Reading 53. Fixed-Income Markets for Government Issuers
Reading 54. Fixed-Income Bond Valuation- Prices and Yields
Reading 55. Yield and Yield Spread Measures for Fixed-Rate Bonds
Reading 56. Yield and Yield Spread Measures for Floating-Rate Instruments
Reading 57. The Term Structure of Interest Rates- Spot, Par, and Forward Curves
Reading 58. Interest Rate Risk and Return
Reading 59. Yield-Based Bond Duration Measures and Properties
Reading 60. Yield-Based Bond Convexity and Portfolio Properties
Reading 61. Curve-Based and Empirical Fixed-Income Risk Measures
Reading 62. Credit Risk
Reading 63. Credit Analysis for Government Issuers
Reading 64. Credit Analysis for Corporate Issuers
Reading 65. Fixed-Income Securitization
- DERIVATIVES
Reading 66. Asset-Backed Security (ABS) Instrument and Market Features
Reading 67. Mortgage-Backed Security (MBS) Instrument and Market Features
Reading 68. Derivative Instrument and Derivative Market Features
Reading 69. Forward Commitment and Contingent Claim Features and Instruments
Reading 70. Derivative Benefits, Risks, and Issuer and Investor Uses
Reading 71. Arbitrage, Replication, and the Cost of Carry in Pricing Derivatives
Reading 72. Pricing and Valuation of Forward Contracts and for an Underlying with Varying Maturities
Reading 73. Pricing and Valuation of Futures Contracts
Reading 74. Pricing and Valuation of Interest Rates and Other Swaps
Reading 75. Pricing and Valuation of Options
- ALTERNATIVE INVESTMENTS
Reading 76. Option Replication Using Put–Call Parity
Reading 77. Valuing a Derivative Using a One-Period Binomial Model
Reading 78. Alternative Investment Features, Methods, and Structures
Reading 79. Alternative Investment Performance and Returns
Reading 80. Investments in Private Capital- Equity and Debt
Reading 81. Real Estate and Infrastructure
Reading 82. Natural Resources
- PORTFOLIO MANAGEMENT
Reading 83. Hedge Funds
Reading 84. Introduction to Digital Assets
Reading 85. Portfolio Management- An Overview
Reading 86. Basics of Portfolio Planning and Construction
Reading 87. The Behavioral Biases of Individuals
Reading 88. Introduction to Risk Management
- ETHICAL AND PROFESSIONAL STANDARDS
Reading 89. Ethics and Trust in the Investment Profession
Reading 90. Code of Ethics and Standards of Professional Conduct
Reading 91.1. Guidance for Standards I(A) and I(B)
Reading 91.2. Guidance for Standards I(C) and I(D)
Reading 91.3. Guidance for Standard II
Reading 91.4. Guidance for Standards III(A) and III(B)
Reading 91.5. Guidance for Standards III(C), III(D), and III(E)
Reading 91.6. Guidance for Standard IV
Reading 91.7. Guidance for Standard V
Reading 91.8. Guidance for Standard VI
Reading 91.9. Guidance for Standard VII
Reading 92. Introduction to the Global Investment Performance Standards (GIPS)
Reading 93. Ethics Application