- CFA Exams
- 2025 Level I
- Topic 1. Quantitative Methods
- Learning Module 3. Statistical Measures of Asset Returns
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Learning Outcome Statements PDF Download
1. Measures of Central Tendency calculate, interpret, and evaluate measures of central tendency and location to address an investment problem | |
2. Measures of Dispersion calculate, interpret, and evaluate measures of dispersion to address an investment problem | |
3. Measures of Shape of a Distribution interpret and evaluate measures of skewness and kurtosis to address an investment problem | |
4. Correlation Between Two Variables interpret correlation between two variables to address an investment problem |
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