2022年CFA一級考試考查的是10個科目的章節(jié),那在2022年備考CFA一級考試各個科目的各Reading目錄是怎樣的?今天跟著小編一起看看吧!

1、Quantitative Methods

Reading 1 The Time Value of Money

Reading 2 Organizing, Visualizing, and Describing Data

Reading 3 Probability Concepts

Reading 4 Common Probability Distributions

Reading 5 Sampling and Estimation

Reading 6 Hypothesis Testing

Reading 7 Introduction to Linear Regression

2、Economics

Reading 8  Topics in Demand and Supply Analysis

Reading 9  The Firm and Market Structures

Reading 10  Aggregate Output, Prices, and Economic Growth

Reading 11  Understanding Business Cycles

Reading 12  Monetary and Fiscal Policy

Reading 13  International Trade and Capital Flows

Reading 14  Currency Exchange Rates

3、Financial Statement Analysis

Reading 15 Introduction to Financial Statement Analysis

Reading 16 Financial Reporting Standards

Reading 17 Understanding Income Statements

Reading 18 Understanding Balance Sheets

Reading 19 Understanding Cash Flow Statements

Reading 20 Financial Analysis Techniques

Reading 21 Inventories

Reading 22 Long-Lived Assets

Reading 23 Income Taxes

Reading 24 Long-Term Liabilities and Leases

Reading 25 Financial Reporting Quality

Reading 26 Financial Statement Analysis: Applications

4、Corporate Issuers

Reading 27 Introduction to Corporate Governance and Other ESG Considerations

Reading 28 Use of Capital

Reading 29 Source of Capital

Reading 30 Cost of Capital-Foundational Topics

Reading 31 Capital Structure

Reading 32 Measure of Leverage

5、Equity Investments

Reading 33 Market Organization and Structure

Reading 34 Security Market Indices

Reading 35 Market Efficiency

Reading 36 Overview of Equity Securities

Reading 37 Introduction to Industry and company Analysis

Reading 38 Equity Valuation: Concept and Basic Tool

6、Fixed Income

Reading 39 Fixed-Income Securities: Defining Elements

Reading 40 Fixed-Income Markets: Issuance, Trading,  and Funding

Reading 41 Introduction to Fixed-Income Valuation

Reading 42 Introduction to Asset-Backed Securities

Reading 43 Understanding Fixed-Income Risk and Return

Reading 44 Fundamentals of Credit Analysis


7、Derivatives

Reading 45 Derivative Markets and Instruments

Reading 46 Basics of Derivative Pricing and Valuation

8、Alternative Investments

Reading 47 Introduction to Alternative Investments

9、Portfolio Management

Reading 48 Portfolio management overview

Reading 49 Portfolio Risk and Return: Part Ⅰ

Reading 50 Portfolio Risk and Return: Part Ⅱ

Reading 51 Basic of Portfolio Planning and Construction

Reading 52 The Behavioral Biases of Individuals

Reading 53 Introduction to Risk Management

Reading 54 Technical Analysis

Reading 55 Fintech in Investment Management

10、Ethical and Professional Standards

Reading 56    Ethics and Trust in the Investment

Reading 57    Code of Ethics and Standards of

Reading 58    Guidance for Standards I–VII

Reading 59    Introduction to the Global Investment

Reading 60   Ethics Application