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- 223405
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- 284
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- 9
- 注册时间
- 2011-7-11
- 最后登录
- 2014-7-31
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My plan is to get through the curriculum w/ practice problems in 26 weeks, leaving myself with more than enough time for review. I’ve got it saved to a spreadsheet … if you email me, I’ll send you the full detail, but my schedule is roughly as follows:
Week 1
08/24 through 08/30
Reading 1: Code of Ethics and Standards of Professional Conduct through
Reading 9: Changing Investment Objectives
Week 2
08/31 through 09/06
Reading 10: Prudence in Perspective through
Reading 12: Multiple Regression and Issues in Regression Analysis
Week 3
09/07 through 09/13
Reading 12: Multiple Regression and Issues in Regression Analysis through
Reading 13: Time-Series Analysis
Week 4
09/14 through 09/20
Reading 13: Time-Series Analysis through
Reading 18: Currency Exchange Rates
Week 5
09/21 through 09/27
Reading 18: Currency Exchange Rates through
Reading 19: Foreign Exchange Parity Relations
Week 6
09/28 through 10/04
Reading 19: Foreign Exchange Parity Relations through
Reading 23: Multinational Operations
Week 7
10/05 through 10/11
Reading 23: Multinational Operations through
Reading 26: Integration of Financial Statement Analysis Techniques
Week 8
10/12 through 10/18
Reading 27: Capital Budgeting through
Reading 28: Capital Structure and Leverage
Week 9
10/19 through 10/25
Reading 29: Dividends and Dividend Policy through
Reading 30: Corporate Governance
Week 10
10/26 through 11/01
Reading 30: Corporate Governance through
Reading 32: A Note on Asset Valuation
Week 11
11/02 through 11/08
Reading 33: Equity Valuation: Applications and Processes through
Reading 35: Return Concepts
Week 12
11/09 through 11/15
Reading 35: Return Concepts through
Reading 38: Industry Analysis
Week 13
11/16 through 11/22
Reading 38: Industry Analysis through
Reading 40: Discounted Dividend Valuation
Week 14
11/23 through 11/29
Reading 40: Discounted Dividend Valuation through
Reading 42: Market-Based Valuation: Price and Enterprise Value Multiples
Week 15
11/30 through 12/06
Reading 42: Market-Based Valuation: Price and Enterprise Value Multiples through
Reading 42: Market-Based Valuation: Price and Enterprise Value Multiples
Week 16
12/07 through 12/13
Reading 42: Market-Based Valuation: Price and Enterprise Value Multiples through
Reading 44: Private Company Valuation
Week 17
12/14 through 12/20
Reading 44: Private Company Valuation through
Reading 47: Private Equity Valuation
Week 18
12/21 through 12/27
Reading 47: Private Equity Valuation through
Reading 49: Evaluating the Performance of Your Hedge Funds
Week 19
12/28 through 01/03
Reading 49: Evaluating the Performance of Your Hedge Funds through
Reading 53: Term Structure and Volatility of Interest Rates
Week 20
01/04 through 01/10
Reading 53: Term Structure and Volatility of Interest Rates through
Reading 55: Mortgage-Backed Sector of the Bond Market
Week 21
01/11 through 01/17
Reading 55: Mortgage-Backed Sector of the Bond Market through
Reading 57: Valuing Mortgage-Backed and Asset-Backed Securities
Week 22
01/18 through 01/24
Reading 57: Valuing Mortgage-Backed and Asset-Backed Securities through
Reading 60: Option Markets and Contracts
Week 23
01/25 through 01/31
Reading 60: Option Markets and Contracts through
Reading 61: Swap Markets and Contracts
Week 24
02/01 through 02/07
Reading 62: Interest Rate Derivative Instruments through
Reading 64: Portfolio Concepts
Week 25
02/08 through 02/14
Reading 64: Portfolio Concepts through
Reading 67: The Theory of Active Portfolio Management
Week 26
02/15 through 02/21
Reading 67: The Theory of Active Portfolio Management through
Reading 68: The Portfolio Management Process and the Investment Policy Statement |
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