Deep Dive: CFA® Level I Prep 2026 – Détails, épisodes et analyse

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Deep Dive: CFA® Level I Prep 2026

Deep Dive: CFA® Level I Prep 2026

Deep Dive Prep

Éducation

Fréquence : 1 épisode/3j. Total Éps: 105

Spotify for Podcasters
Master the complete CFA® Level I curriculum—one learning module at a time. Each episode is a concise, high‑impact dialogue that explains core concepts in plain English, with zero fluff and no long intro/outro. Perfect for commuters, last‑minute crammers, and anyone who learns best by listening. Independently produced; not affiliated with, sponsored by, or endorsed by CFA Institute.
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  • 🇨🇦 Canada - courses

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  • 🇺🇸 États-Unis - courses

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ETHICS - Ethics Application

Saison 10 · Épisode 11

vendredi 1 août 2025Durée 14:45

This module brings ethics to life through realistic scenarios and case studies that apply the Code and Standards. You'll practice identifying violations, applying ethical reasoning, and making judgment calls in complex situations. It’s all about turning ethical principles into confident, day-to-day decision-making.

ETHICS - Introduction to the Global Investment Performance Standards (GIPS)

Saison 10 · Épisode 10

jeudi 31 juillet 2025Durée 13:20

This module introduces the Global Investment Performance Standards (GIPS), a set of voluntary, ethics-based principles that promote fair and transparent reporting of investment results. You'll learn why GIPS exist, who uses them, and how they help clients compare performance across firms by standardizing calculations, disclosures, and presentation practices.

ETHICS - Ethics and Trust in the Investment Profession

Saison 10 · Épisode 1

jeudi 17 juillet 2025Durée 14:30

This opening module explains why ethics and trust are foundational to functioning capital markets. It explores how ethical conduct enhances investor confidence, defines professionalism, and reduces systemic risk. You'll also learn to distinguish ethical standards from legal ones, and understand the consequences when fiduciary duty is breached. This sets the tone for the rest of the Ethics curriculum.

PORT - Introduction to Risk Management

mardi 15 juillet 2025Durée 17:17

The final chapter frames risk management as an enterprise-wide process. It describes risk governance, risk tolerance and budgeting, distinguishes financial from non-financial risks, and evaluates tools for measuring, preventing, accepting, transferring, or shifting risk—providing a comprehensive toolkit for modern risk managers. :contentReference[oaicite:5]{index=5}

PORT - The Behavioral Biases of Individuals

Saison 9 · Épisode 5

mardi 15 juillet 2025Durée 17:42

Here the curriculum turns to behavioral finance, categorizing cognitive errors and emotional biases that can distort investor decisions. It illustrates common biases (e.g., overconfidence, loss aversion), links them to market anomalies such as momentum and bubbles, and discusses how awareness of these tendencies can improve wealth-management advice. :contentReference[oaicite:4]{index=4}

PORT - Basics of Portfolio Planning and Construction

Saison 9 · Épisode 4

lundi 14 juillet 2025Durée 18:41

Focusing on practical implementation, this chapter explains the Investment Policy Statement—its key components, objectives, and constraints—and shows how client information feeds into capital-market expectations, strategic asset allocation, and ESG considerations when assembling portfolios. :contentReference[oaicite:3]{index=3}

PORT - Portfolio Management: An Overview

Saison 9 · Épisode 3

dimanche 13 juillet 2025Durée 23:28

The chapter adopts a portfolio perspective, highlighting diversification benefits and the risk–return trade-off. It walks through the three-step portfolio-management process (planning, execution, feedback), profiles individual and institutional investors, and surveys the structure and current trends of the global asset-management industry. :contentReference[oaicite:2]{index=2}

PORT - Portfolio Risk and Return: Part II

Saison 9 · Épisode 2

dimanche 13 juillet 2025Durée 19:28

Building on Part I, this chapter introduces capital-market theory. It derives the Capital Market Line and the Security Market Line, decomposes total risk into systematic and nonsystematic components, develops the CAPM and beta, and presents key risk-adjusted performance measures such as the Sharpe, Treynor, M² and Jensen’s alpha. :contentReference[oaicite:1]{index=1}

PORT - Portfolio Risk and Return: Part I

Saison 9 · Épisode 1

samedi 12 juillet 2025Durée 26:49

This chapter lays the foundations of modern portfolio theory. It reviews the historical risk-return profile of major asset classes, explains risk aversion and utility, shows how diversification shapes the minimum-variance and efficient frontiers, and demonstrates how investors combine a risk-free asset with risky portfolios to reach an optimal allocation. :contentReference[oaicite:0]{index=0}

ALT - Hedge Funds

Saison 8 · Épisode 6

vendredi 11 juillet 2025Durée 18:19

Long/short, event, relative-value, macro … Unpack the strategy zoo.

  • Key features: leverage, shorting, derivatives and flexible mandates.
  • Direct vs. fund-of-funds vs. liquid-alt wrappers.
  • Risk/return drivers, common draw-downs and true diversification worth.

You’ll finish able to decode any hedge-fund pitch-book in under five minutes.


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