在这里高顿君给大家总结了一些
CFA备考相关资料来进行辅助学习,总结各级别CFA备考资料供CFA考生使用,一些各个级别的知识点可以帮助你迅速了解CFA知识框架,查漏补缺。
》》领取新版免费CFA学习资料
其实每年都有部分变化的内容,导致备考资料也要用新的。但是协会真的很贴心了,担心考纲发生变化影响到了2021年CFA考生备考,所以不改变2020年考纲,不必再去学习考纲变化内容!接下来我们只要看一下2020年CFA考纲有什么变化就好啦!
2021年CFA考试十门科目
1.定量分析(Quantitative)
2.经济学(Economics)
3.财务报表分析(Financial Statement Analysis)
4.公司理财(Corporate Finance)
5.投资组合管理(Portfolio Management)
6.权益投资(Equity Investments)
7.固定收益投资(Fixed Income)
8.衍生工具(Derivatives)
9.其他类投资(Alternative Investments)
10.道德与职业行为标准(Ethics and Professional Standards)
2021年CFA二级科目及权重占比
职业伦理道德10-15%、定量分析5-10%、经济学5-10%、财务报表分析10-15%、公司理财5-10%、权益投资10-15%、固定权益投资10-15%、衍生品投资5-10%、其他投资5-10%、投资组合管理10-15%。
2020年CFA二级考纲变化
2020年CFA二级考纲半数以上科目实质变化较大。首先,相较于2019年,各科目的考试权重不变。
其次,考纲内容上,除了财务报表分析(Financial Reporting Analysis)、权益投资
(Equity Investments)、其他类投资(Alternative Investments)、固定收益投资(Fixed Income Investments)四门科目考纲要求无变化,其余科目的考纲都有不同程度的内容调整。单科科目的考纲要求变化情况具体如下:
一、伦理与职业标准(Ethical and Professional Standards)
删除两个章节:
Reading 4 Trade Allocation:Fair Dealing and Disclosure
Reading 5 Changing Investment Objectives
二、数量方法(Quantitative Methods)
Reading 4 Introduction to Linear Regression,删除关于相关分析的考纲要求:
a.calculate and interpret a sample covariance and a sample correlation coefficient and interpret a scatter plot;
b.describe limitations to correlation analysis;
c.formulate a test of the hypothesis that the population correlation coefficient equals zero and determine whether the hypothesis is rejected at a given level of significance;
Reading 5 Multiple Regression,删除关于机器学习的三条原考纲要求:
p.distinguish between supervised and unsupervised machine learning;
q.describemachinelearningalgorithmsusedinprediction,classification,clustering,and dimension reduction;
r.describe the steps in model training;
新增Reading 7 Machine Learning;
新增Reading 8 Big Data Project;
三、经济学(Economics)
Reading 12 Economics of Regulation中,关于评估行业监管的影响的考纲要求描述有所修改:
i.describe the considerations when *uating the e?ects of regulation on an industry.
四、公司金融(Corporate finance)
删除Reading 23 Corporate Performance,Governance,and Business Ethics;
删除Reading 24 Corporate Governance;
新增Reading 22 Corporate Governance and Other ESG Considerations in Investment Analysis
五、衍生工具(Derivatives)
删除Reading 41Derivatives Strategies六、投资组合管理(Portfolio Management)
删除两个章节:
Reading 46 The Portfolio Management Process and The Investment Policy Statement
Reading 51 Algorithmic Trading and High-Frequency Trading
新增两个章节:
Reading 43 Exchange-Traded Funds:Mechanics and Applications;
Reading 48 Trading Costs and Electronic Markets,新考纲要求来源于:
w2019年CFA三级科目Trading and rebalancing相关章节;
w2019年CFA二级投资组合管理(Portfolio Management)Reading 51 Algorithmic Trading and High-Frequency Trading
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