Additional material Val & Risk Model - suggested method

PL

Active Member
Hello there,

Do you have any intention to upload additional material (extra questions) regarding the Valuation and Risk Model part 1? I am reading mainly from the material uploaded to the studdy planner and lot of topics(i.e op risk, stress test, rating agencies etc) are not linked to any questions.
http://www.bionicturtle.com/my-account/study-planner/P60

Additionally, in any chapter - topic i follow the sequence
video - notes- questions from Studdy Planner. Is this the suggested method?

Thank you in advance,
PL
 

Suzanne Evans

Well-Known Member
PL.

Here is a link that should take you directly to the PQ associated with Valuation and Risk.

Don't forget you can also view the practice questions in the forum too.

The study method varies for individuals. If you don't understand the concepts, than yes I would recommend that you view the videos - but before the videos are uploaded you may be able to read through the notes for an understanding too. So either:

1) Notes/Videos and then practice questions. I'd leave the learning spreadsheets (if you have that package option) for last as they are optional.

Thanks,
Suzanne
 

David Harper CFA FRM

David Harper CFA FRM
Subscriber
Hi PL, I do agree that T4 has gaps. After I finish regressions in Stock and Watson, I will shift the daily practice question Part 1 sequence to Topic 4 gaps. Thanks,
 

PL

Active Member
Dear both, thanks a lot for you reply and recommendation!

I strongly agree that Hull's questions is a must in order to understand most of the topics,(most of them are already covered by bionic material)

PL
 
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