Sunday, 13 December 2009

Started with Behavioral Finance

Over the last few days I have started with Behavioral Finance (Study Session 3). It is very interesting and it seems like quite an easy read as compared to what I had expected.
Moreover this study session (or at least till Study Session 10) I don't have to refer to any text from the previous two exams, other than the reference to Modern Portfolio Theory (Mean Variance) but not much. Additionally these reading's dont have any problem section at the end of the readings, I feel going through the problems take up the maximum amount of time and it also provides a very good reality check.

I still have to make a high level plan, providing a broad overview how I am supposed to cover all the study session and the order in which I am supposed to cover them. As of now the only thing in the plan is that I have to start with Study Session 1 by the 18th of April.

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