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CFA 2026 Level 1 Mastery
CFA 2026 Level 1 Mastery

CFA 2026 Level 1 Mastery

By Azhar ul Haque SarioEssential Readings in Quantitative Methods, Economics, and Corporate Issuers
Length4h 45m

About this book

Summary

This complete course book covers three massive pillars of the CFA Level 1 exam: Quantitative Methods, Economics, and Corporate Issuers. You will dive deep into the math of finance, learning about rates, returns, and the time value of money in a way that clicks. It breaks down complex statistical measures, probability trees, and portfolio mathematics so you can manage risk like a pro. You will explore simulation methods like Monte Carlo and the essentials of estimation and hypothesis testing. The Economics section takes you through market structures, business cycles, and the critical dance between fiscal and monetary policy. It creates a roadmap for understanding geopolitics, international trade, and the foreign exchange market. Finally, the Corporate Issuers module dissects how companies are built, governed, and financed, covering everything from capital structure to business models.   While most textbooks feel like dry manuals written for robots, this book provides the context that others miss. It gives you a competitive edge by grounding every concept in the reality of 2026, dealing with "sticky" inflation and the AI revolution. It moves beyond rote memorization to explain the "why" behind the numbers, using relatable analogies like comparing capital structure to slicing a pizza or viewing the business cycle as a living heartbeat. This book doesn't just teach you to calculate; it teaches you to think like a "Quantamental" investor who combines data power with human judgment. It integrates modern risks like climate adaptation and "Agentic AI" directly into the curriculum, offering value that outdated guides simply cannot match.   Imagine sitting down with a mentor who strips away the confusing jargon. That is the experience of reading this book. You will explore Big Data techniques not as abstract code, but as tools to decode the digital nervous system of the market. You will learn about "Fintech" and how it replaces manual drudgery with automated pipelines. The text treats you like a future colleague, guiding you through the "Three Interpretations" of interest rates and the "Ghost of the road not taken" in opportunity costs.   It tackles Geopolitics by showing you how the world has shifted from seamless integration to a game of strategic competition, where nations build "moats" instead of bridges. You will understand why your iPhone costs more due to supply chain shifts and how "Friend-Shoring" is reshaping global trade. The book even humanizes Corporate Governance, describing it as the immune system of a company that protects it from the viruses of fraud and bad management.   Written by Azhar ul Haque Sario, a data scientist and award-winning author, this book combines practical business experience with academic rigor. It is designed for the ambitious candidate who wants to pass the exam and actually understand the world of finance.   Disclaimer: This book is independently produced and published by Azhar ul Haque Sario. It is not affiliated with, sponsored by, or approved by the CFA Institute. CFA® is a registered trademark of the CFA Institute. This work is a nominative fair use for educational purposes.

Book information

Genre
Other
Length
4 hrs 45 mins
Publish date
Feb 5, 2026
Language
English

About the Author

Table of Contents

1Subject 1: Quantitative Methods
16Fiscal Policy
2Rates and Returns
17Monetary Policy
3Time Value of Money in Finance
18Introduction to Geopolitics
4Statistical Measures of Asset Returns
19International Trade
5Probability Trees and Conditional Expectations
20Capital Flows and the FX Market

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