Description
The CFA and FRM Playlist by Aswini Bajaj is a comprehensive and easy-to-follow guide primarily designed for students thoroughly preparing for both CFA and FRM exams. By covering important quantitative topics like probability, regression analysis and time-series analysis, this detailed course builds an important foundation for finance certifications. The playlist has numerous videos, each video explaining in a step-by-step manner the essential skills to master quantitative concepts critical in real-life finance scenarios.
Topics Covered:
- Concepts Of Probability: This video covers the theories related to foundational probability and formulas applied to real-world finance problems.
- Distribution Of Probability: This video talks about a few advanced probability techniques and some key concepts related to normal distribution methods.
- NPV And IRR: This part lets you engage in a multi-session exploration and teaches how to calculate and interpret both NPV and IRR step-by-step with some financial examples.
- Measures Of Dispersion And Central Tendency: This lesson talks about a few Statistical Measures, Skewness and Kurtosis and highlights their roles in analyzing investment return distributions.
- Yields And Rates: This portion covers everything from BEY, HPY and other yield metrics and explains how to compute and compare these metrics in real-world scenarios.
- Applications For Discounted Cash Flow: By dividing the portion into five sessions, these videos demonstrate practical uses like project valuation, investment analysis, and finance exam scenarios to ensure conceptual understanding.
- And Many More Topics..
Who Can Take This Course?
- Candidates Preparing For CFA: Individuals who are preparing for CFA and FRM Competitive exams and those wanting to strengthen their knowledge of quantitative methods.
- Finance Students: Individuals who are both graduates and post-graduates pursuing a career in finance, economics and business and need a strong foundation in statistics and financial management.
- Financial Consultants And Analysts: Professionals who want to gain insights into several statistical measures which are relevant to investment analysis and concepts like NPV and IRR.
- Corporate Finance Professionals: Those who want to strengthen their concept related to time value, DCF and rate calculations and want to work in valuation, project finance, or budgeting roles.
Why To Take This Course?
This comprehensive playlist is designed to simplify the toughest concepts, formulas, models, theories and strategies related to the CFA course. It also shows how exactly these ideas are applied in real financial decision-making, investment analysis, and risk management procedures. This course offers a thorough understanding of every key concept ranging from calculating NPV and IRR to understanding probability distributions and market returns. By the end of this course, you will master quantitative methods essential while appearing for finance exams like CFA and FRM besides financial world demands.