重大改变!CFA考试2024年将删除这门科目!
文章来源 : 新途英才 608 阅读 2023-10-27 17:50:52
根据CFA协会发布的官方消息,2024年CFA三级考试直接将行为金融学这一科目删除!
除此之外,还有很多新变化……
01 2024年CFA一级考纲变化一览
Quantitative Methods
2024新考纲
Learning Module 1 Rates and Returns
Learning Module 2 Time Value of Money in Finance
Learning Module 3 Statistical Measures of Asset Returns
Learning Module 4 Probability Trees and Conditional Expectations
Learning Module 5 Portfolio Mathematics
Learning Module 6 Simulation Methods
Learning Module 7 Estimation and Inference
Learning Module 8 Hypothesis Testing
Learning Module 9 Parametric and Non Parametric Tests of Independence
Learning Module 10 Simple Linear Regression
Learning Module 11 Introduction to Big Data Techniques
解读:2024年的数量内容有重大调整!
● 将原来的7章内容拆分成11章
● 新增第1章Rates and Returns
● 2024年的第2章 Time Value of Money in Finance与2023年的第1章The Time Value of Money有一定类似之处,但删减了大量内容
●2023年的第2章Organizing, Visualizing, and Describing Data予以删除
●2024年新增第11章 Introduction to Big Data Techniques
● 其它章节名称更新,大部分知识点2023考纲中均有涉猎,但2024年考纲要求发生一定变化和调整。
Economics
Learning Module 1 The Firm and Market Structures
Learning Module 2 Understanding Business Cycles
Learning Module 3 Fiscal Policy
Learning Module 4 Monetary Policy
Learning Module 5 Introduction to Geopolitics
Learning Module 6 International Trade
Learning Module 7 Capital Flows and the FX Market
Learning Module 8 Exchange Rate Calculations
解读:2024年的经济学内容有重大调整!
● 2023年的第1章 Topics in Demand and Supply Analysis 被删除
● 2023年的第3章 Aggregate Output, Prices, and Economic Growth 被删除
● 2024年相比2023年保留的章节考纲要求也发生了调整,多数为考纲的删减
● 2024年的第8章Exchange Rate Calculations只保留了汇率计算相关内容,定性相关知识点均被删除。
Portfolio Management
Portfolio Risk and Return: Part Ⅰ
Portfolio Risk and Return: Part Ⅱ
Portfolio management overview
Basic of Portfolio Planning and Construction
The Behavioral Biases of Individuals
Introduction to Risk Management
解读:2024年的组合内容有重大调整!
● 2023年的第7章Technical Analysis 被删除
●2023年的第8章 Fintech in Investment Management 被删除
● Portfolio management overview由原来的Module 1调整为Module 3。
Corporate Issuers
Organizational Forms, Corporate Issuer Features, and Ownership
Investors and Other Stakeholders
Corporate Governance: Conflicts, Mechanisms, Risks, and Benefits
Working Capital & Liquidity
Capital Investments and Capital Allocation
Capital Structure
Business Models
解读:2024年的企业发行人内容变动较大!
● 2023年的原有的第8章 Measures of Leverage被删除
● 其余章节名称、顺序变化,考纲要求也发生了重大调整。
Financial Statement Analysis
Learning Module 1 Introduction to Financial Statement Analysis
Learning Module 2 Analyzing Income Statements
Learning Module 3 Analyzing Balance Sheets
Learning Module 4 Analyzing Statements of Cash Flows I
Learning Module 5 Analyzing Statements of Cash Flows II
Learning Module 6 Analysis of Inventories
Learning Module 7 Analysis of Long-Term Assets
Learning Module 8 Topics in Long-Term Liabilities and Equity
Learning Module 9 Analysis of Income Taxes
Learning Module 10 Financial Reporting Quality
Learning Module 11 Financial Analysis Techniques
Learning Module 12 Introduction to Financial Statement Modeling
解读:2024年的财报内容变动较大,除新增第12章外,删除两个章节,拆分一个章节,保留章节考纲要求也发生一定调整。
● 删除原有的Module 2和Module 12,新增第12章 Introduction to Financial Statement Modeling;
● Learning Module 5 Understanding Cash Flow Statements拆分为两个章节Analyzing Statements of Cash Flows I和Analyzing Statements of Cash Flows II;
● Learning Module 6 Financial Analysis Techniques调整为Module 11
● 保留的章节名称发生变化,考纲要求也发生了较大变化。
Equity Investments
Market Organization and Structure
Security Market Indexes
Market Efficiency
Overview of Equity Securities
Company Analysis: Past and Present
Industry and Competitive Analysis
Company Analysis: Forecasting
Equity Valuation: Concept and Basic Tool
解读:2024年的权益内容变动主要为新增,新增第5和7章外,其余章节的顺序做了调整,内容无重大变更。
Fixed Income
Fixed-Income Instrument Features
Fixed-Income Cash Flows and Types
Fixed-Income Issuance and Trading
Fixed-Income Markets for Corporate Issuers
Fixed-Income Markets for Government Issuers
Fixed-Income Bond Valuation: Prices and Yields
Yield and Yield Spread Measures for Fixed-Rate Bonds
Yield and Yield Spread Measures for Floating-Rate Instruments
The Term Structure of Interest Rates: Spot, Par, and Forward Curves
Interest Rate Risk and Return
Yield-Based Bond Duration Measures and Properties
Yield-Based Bond Convexity and Portfolio Properties
Curve-Based and Empirical Fixed-Income Risk Measures
Credit Risk
Credit Analysis for Government Issuers
Credit Analysis for Corporate Issuers
Fixed-Income Securitization
Asset-Backed Security (ABS) Instrument and Market Features
Mortgage-Backed Security (MBS) Instrument and Market Features
解读:2024年的固收将原来的6章内容拆分成19章,变化幅度较大,知识点做了细化拆分和调整。
Alternative Investments
Alternative Investment Features, Methods, and Structures
Alternative Investment Performance and Returns
Investments in Private Capital: Equity and Debt
Real Estate and Infrastructure
Natural Resources
Hedge Funds
Introduction to Digital Assets
解读:2024年的另类将原来的3章内容变化为7章,知识点做了细化处理,除新增第7章外,其余内容主要为原有章节拆分。
CFA二级考纲变化20%左右。其中:数量、经济学、企发、固收、衍生,道德,未发生变化。财报、另类和组合有重大变化。
CFA三级考纲变化10%左右。经济学、衍生、固收、权益、交易,未发生变化。行为金融,整章删除。资产配置、另类、个人IPS、机构IPS、案例、道德,考纲要求发生变化。
值得注意的是:除了考试内容出现了很多新变化……24年CFA的考试成本也上升了!
02 2024年CFA报名费涨价!
2024年2月CFA考试早鸟价报名费提升至940美元,比23年报名费涨了40美元;标准阶段报名费用为1250美元,比23年价格涨了50美元。
想要购买协会教材的同学还需要额外支付49美元(不含税);要购买24年CFA一级课程练习包的同学要额外支付299美元(不含税)。
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