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374 видео
Basic Argumentation (GMAT Focus Edition – Verbal Reasoning Content and Tactics)
Company Analysis: Past and Present (2024/2025 CFA® Level I Exam – Equity – Learning Module 5)
Enterprise Risk Management and Future Trends (FRM Part 1 2023 – Book 1 – Chapter 8)
Bond Yields and Return Calculations (FRM Part 1 2023 – Book 4 – Chapter 11)
Implementing Robust Risk Appetite Frameworks to Strengthen Financial Institutions (FRM P2–B3–Ch4)
What is ERM? (FRM Part 1 – Book 1 – Chapter 4)
Minimums and Maximums (SOA Exam P – Probability – Multivariate Random Variables)
Intercorporate Investments (2024 Level II CFA® Exam –FRA–Module 1)
The Private Wealth Management Industry (2025 Level III CFA® – Private Markets – Learning Module 1)
Inference Tasks (GMAT Focus Edition – Verbal Reasoning Content and Tactics)
Financial Analysis Techniques (2024/2025 Level I CFA® Exam – FRA– Module 11)
The Time Value of Money in Finance – Part I (2024/2025 CFA® Level I Exam – QM – Module 2)
Analyzing Statements of Cash Flows 1 (2024/2025 CFA® Level I Exam – FSA – Learning Module 4)
Market-Based Valuation, Price and Enterprise Value Multiples (2024 Level II CFA® Exam –Module 4)
Introduction to Financial Statement Analysis (2024/2025 CFA® Level I Exam – FSA – Learning Module 1)
Analysis of Dividends and Share Repurchases (2024 Level II CFA® Exam –Corporate Issuers–Module 1)
Simple Linear Regression – Part II (2024/2025 CFA® Level I Exam – Quantitative Methods – LM 10)
Topics in Long-Term Liabilities and Equity (2024/2025 CFA® Level I Exam – FSA – Learning Module 8)
Valuing a Derivative Using a One-Period Binomial Model (2024/25 LI CFA® Exam – Derivatives – M 10)
Identify the Flaw (GMAT Focus Edition – Verbal Reasoning Content and Tactics)
Law of Total Variance (SOA Exam P – Probability – Multivariate Random Variables)
Covariance and Correlation (SOA Exam P – Probability – Multivariate Random Variables)
Credit Value at Risk (FRM Part 2 – Book 2 – Credit Risk Measurement and Management – Ch 10)
Alternative Investment Features, Methods, and Structures (2024 CFA® Level I Exam – AI – LM 1)
Private Equity Investments (2025 Level II CFA® Exam –Alternative Investment–Module 4)
Discrete Random Variable Example (SOA Exam P – Probability – Univariate Random Variables Module)
Normal and Lognormal Distributions (SOA Exam P – Probability – Univariate Random Variables)
Modeling and Forecasting Trend (FRM Part 1 2025 – Book 2 – Chapter 10)
The Building Blocks of Risk Management (FRM Part 1 2025 – Book 1 – Chapter 1)
Exponential (Gamma) Distributions (SOA Exam P – Probability – Univariate Random Variables)
Random Variable Basics (SOA Exam P – Probability – Univariate Random Variables Module)
Introduction to Financial Statement Modeling (2025 CFA® Level I Exam – FSA – Learning Module 12)
Beta and CAPM (Calculations for CFA® and FRM® Exams)
Probability Trees and Conditional Expectations (2025 CFA® Level I Exam – QM – Module 4)
Overview of the Global Investment Performance Standards – Part II (2025 Level III CFA® Program)
Modifiers (Executive Assessment – Sentence Corrections – Addressing Common Issues)
Table Analysis (GMAT Focus Edition – Data Insights Content and Tactics)
Hedge Funds (2025 CFA® Level I Exam – Alternative Investments – Learning Module 6)
Introduction to Commodities and Commodity Derivatives (2025 Level II CFA® Exam – Alternative –LM 1)
Commonly Tested Discrete Distributions (SOA Exam P – Probability – Univariate Random Variables)
Machine Learning (2025 Level II CFA® Exam – Quantitative Methods–Module 6)
Fixed Income Issuance and Trading (2025 CFA® Level I Exam – Fixed Income – Learning Module 3)
Word Problems (GMAT Course – Overview and Question Types)
Weaken the Argument (GMAT Focus Edition – Verbal Reasoning Content and Tactics)
Mutual Funds and Hedge Funds (FRM Part 1 2025 – Book 3 – Chapter 3)
Percentages (GMAT Course – Problem Solving & Data Sufficiency Math Concepts)
Fixed Income Securitization (2025 CFA® Level I Exam – Fixed Income – Learning Module 17)
Intraday Liquidity Risk Management (FRM Part 2 2025 – Book 4 – Chapter 6)
The Time Value of Money in Finance – Part II (2025 CFA® Level I Exam – QM – Module 2)
Measures of Financial Risk (FRM Part 1 2025 – Book 4 – Chapter 1)