Bank Credit Analyst Academy classes notes
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0
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1732
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June 18, 2020
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Carry Trade vs Forward Rate Bias Trade
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1
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2531
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June 17, 2020
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Active equity investing strategies
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2
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2088
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June 17, 2020
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Portfolio Performance Evaluation - Allocation effect
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1
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2194
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June 17, 2020
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Liquidity Seeking vs. Percentage of Volume Algos
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0
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2605
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June 15, 2020
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Hedging a short position in a foreign Asset with Forwards
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3
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1667
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June 14, 2020
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How do taxes lower the volatility and risk of an asset?
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1
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1735
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June 13, 2020
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My Experience With Nathan Ronen at Chalk & Board for CFA Prep
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0
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1994
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June 12, 2020
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LevelUp BootCamp's June Re-start Study Guide
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1
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1556
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June 13, 2020
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What books and mocks do you recommend?
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5
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1451
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June 11, 2020
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Butterfly and Condor
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2
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1942
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June 10, 2020
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Free Wiley Level 3 Mock - any takers?
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9
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3128
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June 9, 2020
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Yiled Curve Strategies
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2
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1776
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June 8, 2020
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Integrity of Capital Markets
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3
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1812
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June 8, 2020
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High yield bond - change in value formula
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6
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1727
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June 8, 2020
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Calendar Spreads - Implied volatility
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3
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3451
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June 8, 2020
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2019 Level 3 Morning Exam
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1
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1538
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June 6, 2020
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Liquidity constraints Vs. Funding status
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10
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2324
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June 5, 2020
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Key rate duration vs mod duration
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9
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3119
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June 3, 2020
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CDS ISDA (Quoted) spread vs Par (Running) spread
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0
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2480
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June 3, 2020
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Progressive tax regimes imply that the effective tax rate on the private sector is pro-cyclical?
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4
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2243
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June 3, 2020
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Collar versus Protective Put
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7
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1598
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June 2, 2020
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Reading 35: fund of funds attribution analysis (macro attribution)
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9
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1908
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June 2, 2020
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Tracking error and reconstitution
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1
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1684
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June 2, 2020
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Diversification oriented strategies
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3
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2280
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June 1, 2020
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Manager skill and luck
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2
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1933
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June 1, 2020
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Cost-efficient rebalancing strategy
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2
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1998
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June 1, 2020
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Active risk between high correlation pair trade and low correlation pair trade
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4
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4599
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May 31, 2020
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Active Risk, Active Share
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2
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1601
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May 31, 2020
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Reading20, EOC 14
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2
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1568
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May 31, 2020
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