CFA®二級(jí)考試在整個(gè)CFA®考試中也算是難度比較大的了,所以同學(xué)們?cè)谶M(jìn)行備考是也要更加的努力,澤稷小編今天為同學(xué)們整理了一部分2020年CFA®二級(jí)考綱變化的相關(guān)介紹,同學(xué)們感興趣的話可以一起來(lái)看一看。


CFA®備考資料免費(fèi)領(lǐng)?。。。?nbsp;


       首先,相較于2019年,各科目的考試權(quán)重不變。

       其次,考綱內(nèi)容上,除了財(cái)務(wù)報(bào)表分析(Financial Reporting Analysis)、權(quán)益投資(Equity Investments)、其他類投資(Alternative Investments)、固定收益投資(Fixed Income Investments)四門科目考綱要求無(wú)變化,其余科目的考綱都有不同程度的內(nèi)容調(diào)整。單科科目的考綱要求變化情況具體如下:

       一、倫理與職業(yè)標(biāo)準(zhǔn)(Ethical and Professional Standards)

       刪除兩個(gè)章節(jié):

       Reading 4 Trade Allocation:Fair Dealing and Disclosure

       Reading 5 Changing Investment Objectives

       二、數(shù)量方法(Quantitative Methods)

       Reading 4 Introduction to Linear Regression,刪除關(guān)于相關(guān)分析的考綱要求:

       a.calculate and interpret a sample covariance and a sample correlation coefficient and interpret a scatter plot;

       b.describe limitations to correlation analysis;

       c.formulate a test of the hypothesis that the population correlation coefficient equals zero and determine whether the hypothesis is rejected at a given level of significance;

       Reading 5 Multiple Regression,刪除關(guān)于機(jī)器學(xué)習(xí)的三條原考綱要求:

       p.distinguish between supervised and unsupervised machine learning;

       q.describe machine learning algorithms used in prediction,classification,clustering,and dimension reduction;

       r.describe the steps in model training;

       新增Reading 7 Machine Learning;

       新增Reading 8 Big Data Project;

       三、經(jīng)濟(jì)學(xué)(Economics)

       Reading 12 Economics of Regulation中,關(guān)于評(píng)估行業(yè)監(jiān)管的影響的考綱要求描述有所修改:

       i.describe the considerations when evaluating the eects of regulation on an industry.》》點(diǎn)擊領(lǐng)取全新CFA®考試學(xué)習(xí)資料

2020年CFA二級(jí)考綱有哪些變化?

       四、公司金融(Corporate finance)

       刪除Reading 23 Corporate Performance,Governance,and Business Ethics;

       刪除Reading 24 Corporate Governance;

       新增Reading 22 Corporate Governance and Other ESG Considerations in Investment Analysis

       五、衍生工具(Derivatives)

       刪除Reading 41Derivatives Strategies

       六、投資組合管理(Portfolio Management)

       刪除兩個(gè)章節(jié):

       Reading 46 The Portfolio Management Process and The Investment Policy Statement

       Reading 51 Algorithmic Trading and High-Frequency Trading

       新增兩個(gè)章節(jié):

       Reading 43 Exchange-Traded Funds:Mechanics and Applications;

       Reading 48 Trading Costs and Electronic Markets,新考綱要求來(lái)源于:

       2019年CFA®三級(jí)科目Trading and rebalancing相關(guān)章節(jié);

       2019年CFA®二級(jí)投資組合管理(Portfolio Management)Reading 51 Algorithmic Trading and High-Frequency Trading.

       CFA®二級(jí)考試側(cè)重:資產(chǎn)評(píng)估分析、股票估值、固定收益、衍生品投資,針對(duì)案例考察如何對(duì)產(chǎn)品進(jìn)行有效定價(jià)和投資組合分析??荚囆问绞轻槍?duì)案例分析投資績(jī)效和收益變化。

       同學(xué)們?nèi)绻麑?duì)于CFA®考試有什么疑問(wèn)的話可以直接向我們澤稷網(wǎng)校的老師進(jìn)行提問(wèn)的,他們都會(huì)盡力為你進(jìn)行解答,如果你在進(jìn)行CFA®備考的話可以試一試我我們澤稷網(wǎng)校CFA®網(wǎng)課哦!

掃碼咨詢澤稷老師,解讀CFA®考試政策變動(dòng),海量CFA®學(xué)習(xí)資料免費(fèi)領(lǐng)取提供在線解答CFA®學(xué)習(xí)疑惑。