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The Masterclass CFA 2026 Level 2
The Masterclass CFA 2026 Level 2

The Masterclass CFA 2026 Level 2

By Azhar ul Haque SarioVital Readings in Derivatives, Alternative Investments, Portfolio Management, and Ethical and Professional Standards
Length4h 26m

About this book

Summary

This book is your tactical manual for dominating the 2026 CFA Level 2 syllabus. You will dive deep into the world of Derivatives. You will learn to price Forwards and Futures with the "No-Arbitrage" mindset. You will deconstruct Swaps and understand the "Cost of Carry." You will visualize Option valuation through Binomial trees and the Black-Scholes-Merton model. You will explore Alternative Investments. You will grasp the volatile cycles of Commodities, from Contango to Backwardation. You will value Real Estate and REITs using metrics that actually matter, like NAV and FFO. You will decode Hedge Fund strategies and measure manager skill using the Information Ratio. You will analyze Active Portfolio Management and the Fundamental Law. You will understand the "breathing" mechanism of ETFs. You will navigate Market Risk using Value at Risk (VaR) and stress testing. Finally, you will internalize the Ethical and Professional Standards, ensuring your compass is set to "True North." Every concept is broken down. Every module is vital.   Most study guides are dry, dense, and lifeless. They throw equations at you without explaining the story behind them. This book is different because it respects your intelligence and your time. It cuts through the academic noise to give you the raw intuition. It does not just tell you how to calculate a credit spread; it explains why it widens when the economy gasps. It connects the dots between a yield curve inversion and your portfolio's survival. It uses real-world 2026 contexts—like the impact of AI on trading and the green energy transition—to make the theory stick. It speaks to you in a conversational, high-energy tone that keeps you engaged. It treats you like a future Charterholder, not just a student taking a test. This is your edge. This is how you see the matrix while others are just staring at the screen.   Disclaimer: This work is independently produced by Azhar ul Haque Sario and is not affiliated with, sponsored by, or endorsed by CFA Institute. CFA® and Chartered Financial Analyst® are trademarks owned by CFA Institute. All references to the CFA curriculum are for educational purposes under nominative fair use.

Book information

Genre
Other
Length
4 hrs 26 mins
Publish date
Feb 8, 2026
Language
English

About the Author

Table of Contents

1Subject 7: Derivatives
11Analysis of Active Portfolio Management
2Pricing and Valuation of Forward Commitments
12Exchange-Traded Funds: Mechanics and Applications
3Valuation of Contingent Claims
13Using Multifactor Models
4Subject 8: Alternative Investments
14Measuring and Managing Market Risk
5Introduction to Commodities and Commodity Derivatives
15Backtesting and Simulation

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