My Pursuit of a CFA Charter
Sunday, September 17, 2006
  44 Day Schedule
I started studying this morning @ around 8:30. I got through Financial Statement Analysis: The Basics. About an hour ago, I started to work on a full schedule for the remaining material I need to read. So, here it is.

*** This doesn't take into account that I take Friday's off. If I am going to take a day off, I am responsible for having that material read BEFORE I take the day off.

Each section in the Schweser Notes must be done by the due date:

Title Due Date
Framework for Financial Statement Analysis 9/17/2006
Long-Term Assets 9/17/2006
Accounting Income and Assets: The Accrual Concept 9/18/2006
The Statement of Cash Flows 9/18/2006
Analysis of Cash Flows 9/20/2006
Future FASB Changes and the Analytical Challeges of GAAP 9/20/2006
Analysis of Financial Statements 9/21/2006
Dilutive Securities and Earnings per Share 9/22/2006
Financial Shenanigans 9/23/2006
Analysis of Inventories 9/24/2006
Analysis of Long-Lived Assets: Part I - The Capitalization Decision 9/25/2006
Analysis of Long-Lived Assets: Part II - Analysis of Depreciation and Impairment 9/26/2006
Analysis of Income Taxes 9/27/2006
Analysis of Financing Liabilities 9/27/2006
Leases and Off-Balance-Sheet Debt 9/28/2006
An Overview of Financial Management 9/29/2006
The Cost of Capital 9/29/2006
The Basics of Capital Budgeting 9/30/2006
Cash Flow Estimation and Other Topics in Capital Budgeting 10/1/2006
Risk Analysis and the Optimal Capital Budget 10/1/2006
Capital Structure and Leverage 10/2/2006
Dividend Policy 10/3/2006
Organization and Functioning of Securities Markets 10/3/2006
Security-Market Indicator Series 10/4/2006
Efficient Capital Markets 10/4/2006
An Introduction to Security Valuation 10/6/2006
Stock Market Analysis and Industry Analysis 10/6/2006
Equity: Concepts and Techniques 10/6/2006
Company Analysis and Stock Valuation 10/6/2006
Technical Analysis 10/7/2006
Introduction to Price Multiples 10/8/2006
Alternative Investments 10/9/2006
The Investment Settings 10/9/2006
The Asset Allocation Decision 10/9/2006
An Introduction to Portfolio Management 10/10/2006
An Introduction to Asset Pricing Models 10/11/2006
Features of Debt Securities 10/12/2006
Risks Associated with Investing in Bonds 10/13/2006
Overview of Bond Sectors and Instruments 10/14/2006
Understanding Yield Spreads 10/14/2006
Introduction to the Valuation of Debt Securities 10/15/2006
Yield Measures, Spot Rates, and Forward Rates 10/16/2006
Introduction to the Measurement of Interest Rate Risk 10/17/2006
Derivative Markets and Instruments 10/18/2006
Forward Markets and Contracts 10/18/2006
Futures Markets and Contracts 10/19/2006
Option Markets and Contracts 10/20/2006
Swap Markets and Contracts 10/20/2006
Risk Management and Applications of Option Strategies 10/21/2006
Economics: Macroeconomic Analysis The Basics 10/22/2006
Economic Fluctuations, Unemployment, and Inflation 10/22/2006
Fiscal Policy 10/23/2006
Money and the Banking System 10/23/2006
Modern Macroeconomics: Monetary Policy 10/24/2006
Stabilization Policy, Output, and Employment 10/25/2006
Demand and Consumer Choice 10/26/2006
Costs and the Supply of Goods 10/26/2006
Price Takers and the Competitive Process 10/27/2006
Price-Searchers Markets with Low Entry Barriers 10/27/2006
Price-Searchers Markets with High Entry Barriers 10/28/2006
The Supply of and Demand for Productive Resources 10/28/2006
The Financial Environment: Markets, Institutions, and Interest Rates 10/28/2006
Gaining from International Trade 10/29/2006
Foreign Exchange 10/30/2006
Foreign Exchange Parity Relations 10/30/2006
Comments: Post a Comment

<< Home