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发表于 2013-4-12 23:10
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I went through the EBook a while back to do this same thing so I could roughly divide up the reading:
Total 2464
I can’t remember my counting methodology; I may have included question pages for each reading.
1: Code of Ethics and Standards of Professional Conduct 14
2: Guidance for Standards I–VII 176
3: Ethics in Practice 48
4: The Consultant 6
5: Pearl Investment Management (A), (B), and (C) 16
6: Asset Manager Code of Professional Conduct 26
7: Heuristic-Driven Bias: The First Theme 8
8: Frame Dependence: The Second Theme 10
9: Inefficient Markets: The Third Theme 10
10: Portfolios, Pyraminds, Emotions, and Biases 16
11: Investment Decision Making in Defined Contribution 14
12: Global Equity Strategy: The Folly of Forecasting: Ignore 18
13: Alpha Hunters and Beta Grazers 14
14: Managing Individual Investor Portfolios 72
15: Taxes and Private Wealth Management in a Global 48
16: Estate Planning in a Global Context 52
17: Low-Basis Stock 18
18: Goals-Based Investing: Integrating Traditional and 22
19: Lifetime Financial Advice: Human Capital, Asset 44
20: Managing Institutional Investor Portfolios 90
21: Linking Pension Liabilities to Assets 22
22: Allocating Shareholder Capital to Pension Plans 21
23: Capital Market Expectations 126
24: Equity Market Valuation 52
25: Dreaming with BRICs: The Path to 2050 34
26: Asset Allocation 126
27: The Case for International Diversification 48
28: Fixed-Income Portfolio Management—Part I 56
29: Relative-Value Methodologies for Global Credit Bond 42
30: Fixed-Income Portfolio Management—Part II 58
31: Hedging Mortgage Securities to Capture Relative Value 32
32: Equity Portfolio Management 90
33: Corporate Governance 72
34: International Equity Benchmarks 12
35: Emerging Markets Finance 43
36: Alternative Investments Portfolio Management 136
37: Swaps 30
38: Commodity Forwards and Futures 38
39: Risk Management 80
40: Currency Risk Management 40
41: Risk Management Applications of Forward and Futures 62
42: Risk Management Applications of Option Strategies 84
43: Risk Management Applications of Swap Strategies 62
44: Execution of Portfolio Decisions 60
45: Monitoring and Rebalancing 54
46: Evaluating Portfolio Performance 84
47: Global Performance Evaluation 56
48: Global Investment Performance Standards 122 |
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