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DA4456 CMT curriculum updates level III

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2018 2019• Chapter 1: System Design and Testing • Chapter 2: Money and Portfolio Risk Management • Chapter 3: System Evaluation and Testing • Chapter 4: Practical Considerations • Chapte

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CURRICULUM UPDATES

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2018 2019

• Chapter 1: System Design and Testing

• Chapter 2: Money and Portfolio Risk Management

• Chapter 3: System Evaluation and Testing

• Chapter 4: Practical Considerations

• Chapter 5: Risk Control

• Chapter 6: Statistical Analysis

• Chapter 7: Hypothesis Tests and Confidence Intervals

• Chapter 1: System Design and Testing

• Chapter 2: Money and Portfolio Risk Management

• Chapter 3: System Evaluation and Testing

• Chapter 4: Practical Considerations

• Chapter 5: Risk Control

• Chapter 6: Statistical Analysis

• Chapter 7: Hypothesis Tests and Confidence Intervals

Section I: Risk Management CMTA

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2018 2019

• Chapter 8: Regression

• Chapter 9: International Indices and Commodities

• Chapter 10: The S&P 500

• Chapter 11: European Indices

• Chapter 12: Gold

• Chapter 13: Intraday Correlations

• Chapter 14: Intermarket Indicators

• Chapter 15: A Unique Way to Visualize Relative Strength

• Chapter 8: Regression

• Chapter 9: International Indices and Commodities

• Chapter 10: The S&P 500

• Chapter 11: European Indices

• Chapter 12: Gold

• Chapter 13: Intraday Correlations

• Chapter 14: Intermarket Indicators

• Chapter 15: A Unique Way to Visualize Relative Strength

Section II: Asset Relationships CMTA

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2018 2019

• Chapter 16: Fact, Fiction and Momentum Investing

• Chapter 17: Analyzing the Macro-Finance Environment

• Chapter 18: Portfolio Risk and Performance Attribution

• Chapter 16: Fact, Fiction and Momentum Investing

• Chapter 17: Analyzing the Macro-Finance Environment

• Chapter 18: Portfolio Risk and Performance Attribution

Section III: Portfolio Management CMTA

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2018 2019

• Chapter 19: Behavioral Biases

• Chapter 20: Investor Psychology

• Chapter 21: Are Two Heads Better than One?

• Chapter 22: The Anatomy of a Bubble

• Chapter 23: De-Bubbling: Alpha Generation

• Chapter 24: Behavioral Techniques

• Chapter 19: Behavioral Biases

• Chapter 20: Investor Psychology

• Chapter 21: Are Two Heads Better than One?

• Chapter 22: The Anatomy of a Bubble

• Chapter 23: De-Bubbling: Alpha Generation

• Chapter 24: Behavioral Techniques

Section IV: Behavioral Finance CMTA

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2018 2019

• Chapter 25: The VIX as a Stock Market Indicator

• Chapter 26: Hedging with VIX Derivatives

• Chapter 27: Advanced Techniques

• Chapter 25: The VIX as a Stock Market Indicator

• Chapter 26: Hedging with VIX Derivatives

• Chapter 27: Advanced Techniques

Section V: Volatility Analysis CMTA

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2018 2019

• Chapter 28: Pattern Recognition

• Chapter 29: Multiple Time Frames

• Chapter 30: Candlestick Analysis

• Chapter 31: Progressive Charting

• Chapter 32: Bringing it all together: Real world charts

• Chapter 33: Conclusions

• Chapter 28: Pattern Recognition

• Chapter 29: Multiple Time Frames

• Chapter 30: Candlestick Analysis

• Chapter 31: Progressive Charting

• Chapter 32: Bringing it all together: Real world charts

• Chapter 33: Conclusions

Section VI: Classical Methods CMTA

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