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All 8691 results

Continuing Education Credits · What is CE Credit?

All 8691 results

1.5 CE Credits (including 0.5 SER)
Book

CFA® Program Changes: 2018 Members’ Guide to Practitioner-Relevant Updates (15 September 2017)

CFA Institute
Topics:
  • Alternative Investments
  • Economics
  • Fixed Income
  • Portfolio Management: Asset Allocation
2 CE Credits (including 0.5 SER)
Book

CFA® Program Changes: A Member’s Primer — Five Key Curriculum Updates since 2008 (15 September 2017)

CFA Institute
Topics:
  • Alternative Investments
  • Economics
  • Financial Statement Analysis
  • Fixed Income
  • Risk Management
0 CE Credits (including 0 SER)
Article

Do Fraudulent Firms Produce Abnormal Disclosure? (1 September 2017)

CFA Institute: CFA Digest Gerard Hoberg | Craig Lewis Reviewed by: Martin A. Wildy, CFA (Reviewer)
Topics:
  • Corporate Finance: Corporate Governance
  • Equity Investments: Fundamental Analysis (Sector, Industry, Company) and the Valuation of Individual Equity Securities
  • Financial Statement Analysis: Financial Reporting Quality
0 CE Credits (including 0 SER)
Article

Earnings Smoothing: Does It Exacerbate or Constrain Stock Price Crash Risk? (1 September 2017)

CFA Institute: CFA Digest Changling Chen, CFA | Jeong-Bon Kim | Li Yao Reviewed by: Marla Howard, CFA (Reviewer)
Topics:
  • Corporate Finance: Corporate Governance
  • Financial Statement Analysis: Financial Reporting Quality · Principal Financial Statements
  • Standards, Ethics, and Regulations (SER): Ethical Practices and Guidelines
1 CE Credit (including 0 SER)
Webcast / Podcast

ESG: Does It Add Value? (1 September 2017)

CFA Institute Conference Collections: 2017 Financial Analysts Seminar Christopher J. Ailman
Topics:
  • Portfolio Management: Environmental, Social, and Governance (ESG) Investing and Faith-Based Finance
0 CE Credits (including 0 SER)
Article

Heterogeneous Liquidity Effects in Corporate Bond Spreads (1 September 2017)

CFA Institute: CFA Digest Christian M. Hafner | Fabian Walders Reviewed by: Butt Man-Kit, CFA (Reviewer)
Topics:
  • Fixed Income: Analysis of Credit Risk · Fixed Income Markets - Characteristics, Institutions, and Benchmarks
  • Portfolio Management: Fixed-Income Portfolio Management Strategies
1 CE Credit (including 0 SER)
Article

Reducing Sequence Risk Using Trend Following and the CAPE Ratio (September 2017)

CFA Institute: Financial Analysts Journal Andrew Clare | James Seaton | Peter N. Smith | Stephen Thomas
Topics:
  • Portfolio Management: Pension Plans and Employee Benefit Funds
  • Private Wealth Management: Investment Vehicles and Asset Class Exposures
  • Quantitative Methods: Time-Series Analysis