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How to book CFA CFA-Level-I: CFA Institute CFA Level I Chartered Financial Analyst Exam
You must follow these steps to apply for CFA Level 1:
- Go to the Official Site CFA Level 1
- Carefully read the directions
- Follow the steps mentioned
- Apply for the CFA level 1
Reference: https://www.cfainstitute.org/programs/cfa-program/candidate-resources/level-i-exam
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Introduction to CFA CFA-Level-I: CFA Institute CFA Level I Chartered Financial Analyst Exam
The complete CFA module is a chartered financial analyst. CFA is one of the most sought-after designations for investment practitioners. This credential is a world-renowned financial accounting and finance certificate from the CFA Institute. The CFA course is known to be the world's most accepted and identified classification for investment management. Applicants who pursue the course develop a thorough understanding of the stock industry that raises their odds of well-paid careers. In India, industrialization and globalisation fuel the CFA market. Candidates seeking to earn the credentials of the CFA Institute must have three assessment phases conducted by the CFA Institute:
- Level 1, 2 and Level 3 These reviews are conducted in areas such as finance, accounting, security monitoring and money management. Level I exams take place in June and December, and levels II and III only take place in June. For anyone wishing to build a long-term career in the areas of retail, industrial and financial services. In addition, CFA level 1 exam test and CFA level 1 exam dumps are also available after completion. Since CFA is a curriculum at its own pace, there are no regular courses for applicants.
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CFA CFA-Level-I Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Equity Investments | 11–14% | - Industry and company analysis - Market organization and structure - Equity valuation models |
| Topic 2: Alternative Investments | 7–10% | - Commodities and infrastructure - Investment characteristics and returns - Private equity, real estate, hedge funds |
| Topic 3: Ethical and Professional Standards | 15–20% | - Code of Ethics and Standards of Professional Conduct - Global Investment Performance Standards (GIPS) |
| Topic 4: Financial Statement Analysis | 11–14% | - Inventories, long-lived assets, taxes, debt - Income statement, balance sheet, cash flow statement - Ratio analysis and profitability - Financial reporting standards |
| Topic 5: Fixed Income | 11–14% | - Yield measures, spot rates, forward rates - Fixed income securities characteristics - Bond valuation and risk measures |
| Topic 6: Corporate Issuers | 6–9% | - Capital structure - Capital budgeting - Corporate governance - Business and financial risk |
| Topic 7: Quantitative Methods | 6–9% | - Probability and hypothesis testing - Statistical concepts and returns - Time value of money - Regression and time-series analysis |
| Topic 8: Derivatives | 5–8% | - Derivative markets and instruments - Derivative pricing and valuation basics - Forwards, futures, options, swaps |
| Topic 9: Portfolio Management | 8–12% | - Asset allocation and performance measurement - Risk and return concepts - Portfolio planning and construction |
| Topic 10: Economics | 6–9% | - Monetary and fiscal policy - Macroeconomics - Microeconomics - International trade and currency markets |
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