Classbaze

Disclosure: when you buy through links on our site, we may earn an affiliate commission.

CFA Level 2 – Portfolio Management (2021)

Master the Portfolio Management topic for the CFA Level 2 exams in 2021
3.6
3.6/5
(21 reviews)
175 students
Created by

8.3

Classbaze Grade®

8.0

Freshness

6.9

Popularity

9.3

Material

Master the Portfolio Management topic for the CFA Level 2 exams in 2020 and 2021
Platform: Udemy
Video: 8h 33m
Language: English
Next start: On Demand

Best CFA classes:

Classbaze Rating

Classbaze Grade®

8.3 / 10

CourseMarks Score® helps students to find the best classes. We aggregate 18 factors, including freshness, student feedback and content diversity.

Freshness

8.0 / 10
This course was last updated on 9/2020.

Course content can become outdated quite quickly. After analysing 71,530 courses, we found that the highest rated courses are updated every year. If a course has not been updated for more than 2 years, you should carefully evaluate the course before enrolling.

Popularity

6.9 / 10
We analyzed factors such as the rating (3.6/5) and the ratio between the number of reviews and the number of students, which is a great signal of student commitment.

New courses are hard to evaluate because there are no or just a few student ratings, but Student Feedback Score helps you find great courses even with fewer reviews.

Material

9.3 / 10
Video Score: 8.9 / 10
The course includes 8h 33m video content. Courses with more videos usually have a higher average rating. We have found that the sweet spot is 16 hours of video, which is long enough to teach a topic comprehensively, but not overwhelming. Courses over 16 hours of video gets the maximum score.
The average video length is 6 hours 18 minutes of 71 CFA courses on Udemy.
Detail Score: 9.6 / 10

The top online course contains a detailed description of the course, what you will learn and also a detailed description about the instructor.

Extra Content Score: 9.5 / 10

Tests, exercises, articles and other resources help students to better understand and deepen their understanding of the topic.

This course contains:

0 article.
11 resources.
0 exercise.
0 test.

In this page

About the course

IMPORTANT NOTICE FOR THOSE WHO PLANS TO TAKE CFA LEVEL 2 EXAM IN 2022!
We will not be updating this course to the 2022 CFA Level 2 syllabus. Please do not purchase this course if you are taking the CFA Level 2 exam in 2022.
========================================================

Prepare for the CFA Level 2 exam in 2021 with 100% confidence! The course covers the Portfolio Management syllabus in detail so you will have a complete understanding when tackling this section in the exam. After you grasp the concepts, try out a lot of questions (from the Learning Ecosystem and End of Chapter questions) to increase your mastery of the readings.

AFTER GOING THROUGH THIS COURSE, YOU DO NOT HAVE TO STUDY FROM THE TEXTBOOK ANYMORE (OR ANY OTHER SOURCE)!
Exam Weight: 10% – 15%

This course will prepare you to ace the Portfolio Management topic area in the CFA Level 2 syllabus. Don’t fall behind the bell curve while others are going all in their studies.

At the end of this course, students should be able to:
•explain the creation and redemption process of ETFs, how ETFs are traded on secondary markets, costs of owning ETFs, types of ETF risk and the portfolio uses of ETFs
•describe Arbitrage Pricing Theory (APT), macroeconomic factor models, fundamental factor models, statistical factor models, active risk/tracking risk, interpret information ratio
•explain the use of Value at Risk (VaR) in portfolio risk measurement; compare parametric, historical simulation, and Monte Carlo VaR; describe extensions of VaR, sensitivity risk measures, scenario risk measures
•explain how market values are affected by changes in default-free interest rates across maturities, timing and/or magnitude of expected future cash flows, and risk premiums
•state and interpret fundamental law of active portfolio management and its components (transfer coefficient, information coefficient, breadth, and active risk)
•explain the components of execution costs (explicit and implicit); describe the implementation shortfall approach; market fragmentation; types of electronic traders; low-latency traders; risks associated with electronic trading; abusive trading practices

What We Cover in this Course:
•Exchange-Traded Funds: Mechanics and Applications
•Using Multifactor Models
•Measuring and Managing Market Risk
•Economics and Investment Markets
•Analysis of Active Portfolio Management
•Trading Costs and Electronic Markets

What you will get by buying this course is:
•detailed coverage of the syllabus, taught by our seasoned instructors of the CFA Program.
•support in the Q&A forum (course-related questions) from our instructors.
•the confidence to nail this topic in the exam!

What can you learn from this course?

✓ Exchange-Traded Funds: Mechanics and Applications
✓ Using Multifactor Models
✓ Measuring and Managing Market Risk
✓ Economics and Investment Markets
✓ Analysis of Active Portfolio Management
✓ Trading Costs and Electronic Markets

What you need to start the course?

• You are a CFA Level 2 exam candidate (or have passed the CFA Level 1 exam)
• Basic understanding of Portfolio Management (Efficient frontier, CML, CAL, CAPM, Diversification, Strategic Asset Allocation)

Who is this course is made for?

• Those who are taking the CFA Level 2 Exam in 2020-2021
• Undergraduates and Graduate students in Finance
• Portfolio managers who want to bring their portfolio management knowledge to the next level

Are there coupons or discounts for CFA Level 2 - Portfolio Management (2021) ? What is the current price?

The course costs $14.99. And currently there is a 82% discount on the original price of the course, which was $84.99. So you save $70 if you enroll the course now.
The average price is $20.4 of 71 CFA courses. So this course is 27% cheaper than the average CFA course on Udemy.

Will I be refunded if I'm not satisfied with the CFA Level 2 - Portfolio Management (2021) course?

YES, CFA Level 2 – Portfolio Management (2021) has a 30-day money back guarantee. The 30-day refund policy is designed to allow students to study without risk.

Are there any financial aid for this course?

Currently we could not find a scholarship for the CFA Level 2 - Portfolio Management (2021) course, but there is a $70 discount from the original price ($84.99). So the current price is just $14.99.

Who will teach this course? Can I trust ProfEd Academy?

ProfEd Academy has created 8 courses that got 590 reviews which are generally positive. ProfEd Academy has taught 6,492 students and received a 4.5 average review out of 590 reviews. Depending on the information available, we think that ProfEd Academy is an instructor that you can trust.
Expert Instructors in Finance, Risk and Treasury
ProfEd Academy (Professional Education Academy) offers courses for professional qualifications such as:
1) Chartered Financial Analyst (CFA) Program – Level 1, 2, 3
2) Financial Risk Manager (FRM) Program – Part 1 and 2
3) ACCA – FM, PM, and AFM
4) ICAEW
Our instructors have more than 10 years of experience teaching Finance & Investment, Risk Management, Treasury Management and Financial Modeling at the professional level. They hold professional qualifications such as CFA, FRM, PRM.
Browse all courses by on Classbaze.

8.3

Classbaze Grade®

8.0

Freshness

6.9

Popularity

9.3

Material

Platform: Udemy
Video: 8h 33m
Language: English
Next start: On Demand

Classbaze recommendations for you