Level II 2022 Crash Course
53:48
Жыл бұрын
Study Advice Level III: Final Word
4:26
Study Advice Level II: Final Word
3:59
CFA Program Level III Exam Overview
10:47
Пікірлер
@ScienceOffinancee
@ScienceOffinancee 13 сағат бұрын
Pv>fv ~ finance lease
@tower07
@tower07 5 күн бұрын
8:38 why is the ending net book value for units of production 1000? 2000-900 should be 1100, or if the question is designed incorrectly?
@ScienceOffinancee
@ScienceOffinancee 5 күн бұрын
If the risk and the return is transferred then the lease will be classified as finance list…If the risk and the lessor is not being transferred then the lease will be classified as operating risk
@FreeSoftwareDownloads
@FreeSoftwareDownloads 9 күн бұрын
kzbin.info/door/r7Utctlzl8K3Jwq5KLHe1A
@ScienceOffinancee
@ScienceOffinancee 9 күн бұрын
Carrying value ~1000 Assets future undiscounted cf- 1050 No imparement Assets f u cf - 950 Impaired value -50
@ScienceOffinancee
@ScienceOffinancee 9 күн бұрын
Remember gains do not flow through the income statement they go straight to equity and are recorded under revaluation surpluses….Whereas loses that take us below the original cost are shown in income statement as loss
@tusharkurhade590
@tusharkurhade590 11 күн бұрын
Will i able to pass level 1 2024 by watching these videos. Someone please help.
@yuukidaddy638
@yuukidaddy638 15 күн бұрын
THANKYOUUUUUUUUU
@usmanzahid3711
@usmanzahid3711 16 күн бұрын
too much maths in this reading
@Swe106
@Swe106 19 күн бұрын
Thank you sir.for your free and easily understandable lectures. 🙏
@maceywhitewood1158
@maceywhitewood1158 22 күн бұрын
Most experienced portfolio managers actively buy and sell securities in an attempt to outperform a benchmark.
@leonardarmstrong8305
@leonardarmstrong8305 22 күн бұрын
Active portfolio management requires strategically buying and selling stocks and other assets to beat the broader market's performance.
@jarmiecarmeron4405
@jarmiecarmeron4405 22 күн бұрын
Some individuals do their own investment portfolio management. But having an experienced manager is better.
@roseantintop4701
@roseantintop4701 22 күн бұрын
Timothy Eric Meek has an in-depth understanding of the key elements of portfolio building and maintenance that make for success, including asset allocation, diversification, and rebalancing.
@irinanicoletta3122
@irinanicoletta3122 22 күн бұрын
He is a genius.
@martinkonsa3841
@martinkonsa3841 22 күн бұрын
Portfolio management requires the ability to weigh the strengths and weaknesses, opportunities and threats of a spectrum of investments. TIMOTHY ERIC MEEK is presumably the right manager for it.
@rajaneeshkataru3821
@rajaneeshkataru3821 27 күн бұрын
hello Irfan, I'm not sure why your 146 video cfa level 2 series suddenly disappeared from youtube, can you please get it added back.
@krishnapadasarkar8611
@krishnapadasarkar8611 21 күн бұрын
😢
@aasthagoel6446
@aasthagoel6446 28 күн бұрын
More debt means less risk( as debt is less risky then equity)and ideally it should have less beta?
@charlesudorajr1655
@charlesudorajr1655 Ай бұрын
Legend 👏
@ronakthakur7731
@ronakthakur7731 Ай бұрын
Sir, i am getting SD of A as 6.68 and for B it is 16.33. Can u pls explain how u are getting it as 5.48 and 12.49 respectively? At 13:00. Calculated in Excel too. It is same as I am getting it in calculator.
@autismo1969
@autismo1969 Ай бұрын
Thanks so much for these videos Sir! The explanation is concise and clear. Helps a lot!
@ShubhamVarshney-mt1gk
@ShubhamVarshney-mt1gk Ай бұрын
@kushkapadia78
@kushkapadia78 Ай бұрын
In 4.2 unequal cash flow Why you multiply 1000×1.1 , 2000 × 1.1 What is 1.1? What is it value?
@forheuristiclifeksh7836
@forheuristiclifeksh7836 Ай бұрын
2:00
@victormercereau7679
@victormercereau7679 Ай бұрын
Guys don't look at those video, espcially for gips, they are not uptaded, like every material from IFT, search for other providers
@noorrenbeyader7
@noorrenbeyader7 2 ай бұрын
Is it relevant for 2025?
@olivermoraitis2783
@olivermoraitis2783 2 ай бұрын
Is the WACC real or nominal
@deepthikaroshal1383
@deepthikaroshal1383 2 ай бұрын
Is this useful and help to crack cfa level 1 2024
@KaranGoda-qp1nm
@KaranGoda-qp1nm 2 ай бұрын
At 3:21, you mentioned lower interest rate, high demand for money. But in the real world, in 2022, increasing interest rate decreased equity value and increased demand for money, hence positive correlation.
@Cf-ik9dz
@Cf-ik9dz 2 ай бұрын
Holy fck what a heavy accent.
@mxdmaulikgoyal2226
@mxdmaulikgoyal2226 2 ай бұрын
40,000 rs online coaching couldn't help me with bayes. But this free vid did. Thanks. Dil se!
@vishalsingh-wb9us
@vishalsingh-wb9us 2 ай бұрын
Sir i did not study maths in class 12th can i do cfa
@darrencroft6514
@darrencroft6514 3 ай бұрын
Can u clarify why on 21 mins measure interest rate risk with duration the decimal change in yield is 0.005 please?
@GK-uu4tc
@GK-uu4tc 3 ай бұрын
Arif's style of teaching the CFA programme turns an extremely dry curriculum into easy, enjoyable, and bite-sized lessons. I have probably viewed close to a 100 hours of Arif's lessons, all available on youtube for free. Passed the CFA Level 1 exam at my first attempt. Thank you.
@sriram181
@sriram181 3 ай бұрын
How do you exactly find out data on these factors such as aggregate labour productivity; Aggregate capex in an industry/company/economy ; aggregate spending in consumer durables and real estate . How to compare the data of increased spending on equipment and how much of it being fuelled by credit and NPAs ?
@darrencroft6514
@darrencroft6514 3 ай бұрын
@darrencroft6514
@darrencroft6514 3 ай бұрын
IFT videos are the best. Guy is in a different league to kaplan
@kkarrmen
@kkarrmen 3 ай бұрын
thank u
@aseemgoyal101
@aseemgoyal101 3 ай бұрын
Thanks for simplifying the lecture
@Therevolution7
@Therevolution7 3 ай бұрын
Definitely gonna buy the high yield material. 7 weeks to go
@smritijaiswal1731
@smritijaiswal1731 3 ай бұрын
Isn’t it getting compounded daily ..
@usmanzahid3711
@usmanzahid3711 3 ай бұрын
Nash equilibrium isn't well explained for wesco box4 was best and for rifco box 3 was best but you said both will end in box 4
@howminneo9742
@howminneo9742 4 ай бұрын
Hi ive signed up for the free video package but i dont see the fixed income video
@nimeshisathsarani153
@nimeshisathsarani153 4 ай бұрын
Fantastic 🎉
@usmanzahid3711
@usmanzahid3711 4 ай бұрын
Financial asset part is simply wow
@marthandapewa9186
@marthandapewa9186 4 ай бұрын
Wow well explained, thank you sir
@devchaplot5
@devchaplot5 4 ай бұрын
Can this lecture are also helpful for cfa level 1 2024 nov
@shubhamrn1885
@shubhamrn1885 4 ай бұрын
Where can i find the examples?
@shubhamrn1885
@shubhamrn1885 4 ай бұрын
Sir where is example 5?
@mehulrajgor6441
@mehulrajgor6441 4 ай бұрын
Thanks from India
@bhoopendragupta4782
@bhoopendragupta4782 5 ай бұрын
Thanks for providing quality material for free, it was very helpful understanding difficult concepts 👏
@user-ho3gx8tu4d
@user-ho3gx8tu4d 5 ай бұрын
who is watching in 2024?
@cakevinshajeesinfoworld
@cakevinshajeesinfoworld 5 ай бұрын
Sir, very good explanation. One doubt. For explaining full price, you have explained a situation where bond will be sold in half year. In such situations pv will not be equal hundred since coupon is discounted at 6 month period and final principal +coupon at 1.5 year period. But you have told in that time pv= 100in time of half year
@Top_Trenders
@Top_Trenders 5 ай бұрын
its no longer a part of cfa curriculum i cant find it under pm or quants or anywhere
@suindude8149
@suindude8149 5 ай бұрын
So now I understand the 1st with the risk create the 2nd risk adjusted proposition,resultant are summed up with the principal amount and thus adjusted to debt to equity.