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Finance Train

Finance Train

High Quality tutorials for finance, risk, data science

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Tutorials

  • Accounting Shenanigans on the Cash Flow Statement
  • Accounting Skills for Managers
  • Advanced Accounting Concepts
  • Advanced Value at Risk Models
  • Alternative Assets
  • Asset-backed Commercial Paper (ABCP)
  • Banking 101
  • Basel II - An Overview
  • Basic Statistics - FRM
  • Basics of Bonds
  • Basics of Capital Structure
  • Basics of Options
  • Bond Analysis
  • Bond Funds
  • Bond Portfolio Benchmarks
  • Capital Budgeting
  • CAPM and Multi-factor Models
  • Caps, Floors, and Swaptions
  • Careers in Financial Markets
  • CFA Exam Preparation Tips
  • CFA Level 2 - Ethics and Professional Standards
  • CFA Level II Study Plan
  • Chart Patterns
  • Code of Ethics and Standards of Professional Conduct
  • Commodity Forwards and Futures
  • Commodity Markets
  • Corporate Finance by Aswath Damodaran
  • Corporate Finance Part 1
  • Corporate Finance Part 2
  • Cost of Capital
  • Credit Default Swaps
  • Credit Derivatives
  • Credit Exposure
  • Credit Risk Management
  • Credit Risk Modelling in R
  • Currency Trading Losses: Allied Irish Banks / Allfirst
  • Data Visualization with R
  • Derivatives Part 1
  • Derivatives Part 2
  • Derivatives with R
  • Distributions - FRM
  • Dividends and Share Repurchases
  • Economic Indicators
  • Economics
  • Energy Markets - Fundamentals
  • Energy Risk Professional (ERP) Exam
  • Equity Analysis Part 1
  • Equity Analysis Part 2
  • Equity Analysis Part 3
  • Equity Market Organization and Structure
  • Equity Valuation
  • Exotic Options
  • Finance for Non-finance Managers
  • Financial Accounting For Inventories
  • Financial Markets with Robert Shiller (Video Series)
  • Financial Ratios
  • Financial Reporting Mechanics
  • Financial Reporting Part 1
  • Financial Reporting Part 2
  • Financial Reporting Part 3
  • Financial Reporting Standards
  • Financial Statement Analysis: Applications
  • Financial Theory - Video Series
  • Financial Time Series Analysis in R
  • Fixed Income Part 1
  • Fixed Income Part 2
  • Forward Markets and Contracts
  • Foundations of Credit Risk Modelling
  • Fraud
  • Futures and Forwards
  • Futures Market
  • Futures Markets and Contracts
  • GAP Reports (ALM)
  • Hedge Fund Strategies
  • Hedge Funds
  • Icelandic Financial Crisis and Banking Collapse
  • Identifying Risks
  • Income Taxes CFA L1
  • Interest Rates and Time Value
  • International Trade and Capital Flows
  • Introduction to Mutual Funds
  • Introduction to Quantitative Finance
  • Introduction to Statistics
  • Introductory Macroeconomics
  • Inventories - CFA - L1
  • Investing in Commodities
  • Investment Services Industry
  • Key Financial Instruments
  • Learn Auditing
  • Lessons from The Intelligent Investor
  • Linear Regression
  • Long-lived Assets CFA L1
  • Machine Learning in Finance Using Python
  • Mapping Positions to Risk Factors
  • Market Efficiency L1
  • Market Risk Management
  • Measurement of Interest Rate Risk
  • Meltdown
  • Mergers & Acquisitions
  • Monetary and Fiscal Policy
  • Money Markets
  • Non-current (Long-term) Liabilities
  • Operational Risk Management Framework
  • Option Greeks
  • Option Valuation
  • Options Strategies
  • Overview of Bond Sectors and Instruments
  • Overview of Financial Statements
  • Overview of IFRS
  • Portfolio Management - An Overview
  • Portfolio Management L2
  • Portfolio Risk and Return - part 1
  • Portfolio Risk and Return - Part 2
  • Private Equity
  • Probabilities - FRM
  • Probability Theory
  • Quantitative Finance (Paul Wilmott)
  • Quantitative Methods
  • Quantitative Trading Strategies in R
  • r Programming
  • Real Estate Investments
  • Risk and Risk Aversion
  • Risk Management Case Studies
  • Risk Management Failure
  • Risk Management in Trading Activities
  • Risk Taking: A Corporate Governance Perspective
  • Risks of Investing in Bonds
  • Secondary Securities Market
  • Solvency II
  • Statistical Distributions
  • Statistical Foundations of VaR
  • Stock Warrants
  • Stress Testing
  • Stress, and Scenario, Testing
  • Swaps
  • Systemic Risk
  • Term Structure of Interest Rates
  • The Foreign Exchange Market
  • The Stock Market
  • Understanding Cash Flow Statement
  • Understanding Income Statement
  • Understanding Portfolio Math
  • Using Texas Instruments BA II+ Calculator
  • Valuation by Damodaran
  • Value at Risk
  • VaR Mapping
  • Volatility
  • Working Capital Management
  • Yield Measures, Spot Rates, and Forward Rates

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Latest Tutorials

    • Data Visualization with R
    • Derivatives with R
    • Machine Learning in Finance Using Python
    • Credit Risk Modelling in R
    • Quantitative Trading Strategies in R
    • Financial Time Series Analysis in R
    • VaR Mapping
    • Option Valuation
    • Financial Reporting Standards
    • Fraud
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