Sunday, November 3, 2013

11.03.13 - 2014 Changes

The 2013 Level II curriculum had 56 readings of which 49 are essentially unchanged.   The 2014 Level II curriculum has 60 readings.  The changes are shown below:
Ethics.  Code of Ethics and Professional Standards has been updated.
Quantitative Methods.  No changes
Financial Reporting and Analysis.  Three readings have been updated: Inter-corporate Investments, Multinational Operations and The Lessons We Learned
Corporate Finance: No changes
Equity.  Two readings have been added: Your Strategy Needs a Strategy, Industry and Company Analysis
Alternative Investments.  One reading has been added: A Primer on Commodity Investing
Fixed Income.  Fundamentals of Credit Analysis has been dropped because it is covered at Level I.  Credit Analysis Models has been added.
Derivatives. Credit Derivatives: An Overview has been replaced by Credit Default Swaps
Portfolio Management.  The Theory of Active Portfolio Management has been dropped.  Residual Risk and Return: The Information Ratio and The Fundamental Law of Active Management have been added.
If you want to receive a file which shows how the specific readings numbers have changed write to us at:support@irfanullah.co

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