On this page, you will find our list of tutorials under various categories. Click on any tutorial link to start reading.
PRM Exam I
- CAPM and Multi-factor Models
- Credit Derivatives
- Interest Rates and Time Value
- Risk and Risk Aversion
- Swaps
- Term Structure of Interest Rates
- The Stock Market
- Understanding Portfolio Math
- International Trade and Capital Flows
PRM Exam IV
CFA Exam Level 1
- Hedge Funds
- Code of Ethics and Standards of Professional Conduct
- Real Estate Investments
- Investing in Commodities
- Cost of Capital
- Financial Ratios
- Equity Market Organization and Structure
- Market Efficiency L1
- Equity Valuation
- Dividends and Share Repurchases
- Working Capital Management
- Financial Reporting Standards
- The Firm and Market Structure
- Private Equity
- Monetary and Fiscal Policy
- Forward Markets and Contracts
- Futures Markets and Contracts
- Capital Budgeting
- Portfolio Management - An Overview
- Portfolio Risk and Return - part 1
- Portfolio Risk and Return - Part 2
- Financial Reporting Mechanics
- Understanding Income Statement
- Understanding Cash Flow Statement
PRM Exam III
- Foundations of Credit Risk Modelling
- Stress, and Scenario, Testing
- Systemic Risk
- VaR Mapping
- Mapping Positions to Risk Factors
- Advanced Value at Risk Models
- Credit Exposure
- Market Risk Management
ERP Exam
CFA Exam Level 2
- CFA Level II Study Plan
- Quantitative Methods
- Economics
- CFA Level 2 - Ethics and Professional Standards
- Financial Reporting Part 1
- Financial Reporting Part 2
- Corporate Finance Part 2
- Corporate Finance Part 1
- Mergers & Acquisitions
- Equity Analysis Part 1
- Equity Analysis Part 2
- Equity Analysis Part 3
- Alternative Assets
- Fixed Income Part 1
- Fixed Income Part 2
- Derivatives Part 1
- Derivatives Part 2
- Portfolio Management L2
- Financial Reporting Part 3
Derivatives
- Basics of Options
- Caps, Floors, and Swaptions
- Exotic Options
- Futures and Forwards
- Option Greeks
- Swaps
- Futures Market
- Derivatives Part 1
- Derivatives Part 2
- Forward Markets and Contracts
- Futures Markets and Contracts
- Option Valuation
- Options Strategies
Financial Markets
- Basics of Bonds
- Bond Analysis
- Bond Funds
- Bond Portfolio Benchmarks
- Careers in Financial Markets
- Commodity Markets
- Energy Markets - Fundamentals
- Meltdown
- Money Markets
- Stock Warrants
- Term Structure of Interest Rates
- The Foreign Exchange Market
- The Stock Market
- Financial Theory - Video Series
- Investing in Commodities
- Fixed Income Part 1
- Fixed Income Part 2
- Equity Valuation
- Currency Trading Losses: Allied Irish Banks / Allfirst
- Key Financial Instruments
- Introduction to Mutual Funds
- Valuation by Damodaran
- Financial Markets with Robert Shiller (Video Series)
Risk Management
- Foundations of Credit Risk Modelling
- GAP Reports (ALM)
- Identifying Risks
- Risk and Risk Aversion
- Statistical Foundations of VaR
- Stress Testing
- Value at Risk
- Risk Management Case Studies
- Risk Management Failure
- Icelandic Financial Crisis and Banking Collapse
- Currency Trading Losses: Allied Irish Banks / Allfirst
- Quantitative Finance (Paul Wilmott)
- Stress, and Scenario, Testing
- Systemic Risk
- Credit Risk Management
- VaR Mapping
- Volatility
- Mapping Positions to Risk Factors
- Introduction to Quantitative Finance
- Operational Risk Management Framework
- Risk Management in Trading Activities
- Advanced Value at Risk Models
- Credit Exposure
- Market Risk Management
Corporate Finance
- Basics of Capital Structure
- Cost of Capital
- Mergers & Acquisitions
- Dividends and Share Repurchases
- Working Capital Management
- Capital Budgeting
- Corporate Finance by Aswath Damodaran
Investment Management
- Bond Funds
- Bond Portfolio Benchmarks
- CAPM and Multi-factor Models
- Hedge Fund Strategies
- Hedge Funds
- Investment Services Industry
- Real Estate Investments
- Market Efficiency L1
- Private Equity
- Prime Brokerage
- Introduction to Mutual Funds
- Portfolio Management - An Overview
- Portfolio Risk and Return - part 1
- Portfolio Risk and Return - Part 2
- Lessons from The Intelligent Investor
Structured Finance
Regulations and Compliance
Banking
Financial Accounting
- Finance for Non-finance Managers
- Overview of IFRS
- Financial Ratios
- Financial Reporting Part 1
- Financial Reporting Part 2
- Financial Reporting Part 3
- Financial Reporting Standards
- Hot Topics in Finance
- Financial Accounting For Inventories
- Advanced Accounting Concepts
- Learn Auditing
- Financial Reporting Mechanics
- Understanding Income Statement
- Understanding Cash Flow Statement
- Accounting Skills for Managers
Financial Mathematics
- Understanding Portfolio Math
- Probability Theory
- Hypothesis Testing
- Introduction to Statistics
- Linear Regression
- Statistical Distributions
Financial Management
Technical Analysis
Economics
- Economic Indicators
- International Trade and Capital Flows
- Monetary and Fiscal Policy
- Introductory Macroeconomics
Software and Programming