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heres my take and what i will focus on the last 4 weeks

Ethics - The actual standards
Quant - Mutliple regression (time series if time remains)
Econ - two big readings, Currency Exchange Rates (reading 18) and Parity Relations (reading 19)
FRA - Intercorp investemnts, pension, and multinational
Corp Fin - capital bud. and mergers and acquisitions
Equity - the valuation models (DDM, FCF, Multiples, RI, Private company val. if time)
Alternatives - Private equity
Fixed Income - Valuing Bonds with embedded Options, mortgage backed securities
Derivatives - Options, Swaps, forwards (if you know forwards you can prob figure out futures)
Port Management - ICAPM

This is still a TON of work, but at least eliminates some of smaller topics.
In reality, i would recommend going through it all

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