CFA Level 1 Super 30 Series: Portfolio Construction | Portfolio Risk & Return | Part 2
Preparing for CFA Level 1 2027? It's time to put your concepts to the test with SSEI's FREE Super 30 Series! π― In this session, Budhaditya Debnath Sir will help you revise Portfolio Construction β Portfolio Risk & Return (Part 2) through 30 carefully handpicked, high-impact questions to strengthen your concepts and sharpen your exam preparation. π What You'll Learn: β Risk-Free & Risky Asset Combinations β Capital Allocation Line (CAL) & Capital Market Line (CML) β Systematic vs Unsystematic Risk β Capital Asset Pricing Model (CAPM) β Sharpe Ratio & Risk-Adjusted Returns β Market Portfolio, Beta & Security Market Line (SML) β Single-Index & Multifactor Models π‘ Here's a tip from the session: Pause before every question, attempt it yourself, and then watch the explanation. That's how real revision happens! Your CFA Level 1 success starts with the right preparation! π― π Enroll Now- π For queries or admissions, connect with our counsellors: Or, click the link to chat with us: