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标题: Anybody Want To Do Me a Favor - Pages in CFAI? [打印本页]

作者: nitoha    时间: 2013-4-12 23:09     标题: Anybody Want To Do Me a Favor - Pages in CFAI?

Anybody know how many pages of material exist in the 2011 books from the CFAI?
I am ordering mine next week and want to put together a schedule for the fall.
If possible, what is the page count when ignoring the table of contents (start of all books) and the indexes, glossaries and appendixes (end of book).
Thanks very much
作者: justin88    时间: 2013-4-12 23:10

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
作者: smuggycfa    时间: 2013-4-12 23:10

Also, courtesy of SUMIF:
Vol Pages
1 286
2 479
3 386
4 405
5 532
6 376
SS Pages
1 190
2 96
3 90
4 256
5 133
6 126
7 86
8 174
9 98
10 90
11 90
12 127
13 204
14 120
15 208
16 114
17 140
18 122
作者: morebeans    时间: 2013-4-12 23:10

Thanks for your help.
I plan on reading the CFAI material from Oct 1 - Jan 1, doing 4 nights/week for 13 weeks equates to roughly 2500 pages / 52 days = 48 pages/day
…that is no easy task, but I plan on grinding away during the week and enjoying life on the weekends.
作者: RepoToronto    时间: 2013-4-12 23:10

30 pages a day was my absolute max during L1 and L2…but that included reading and elaborate MS Word note taking in outline form




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