1. Quantitative Methods
2. Economics
3. Financial Reporting and Analysis
4. Corporate Finance
5. Portfolio Management
6. Equity Investments
7. Fixed Income
8. Derivatives
9. Alternative Investments
LEVEL II
1. Ethical and Professional Standards
2. Quantitative Methods
3. Economics
4. Financial Reporting and Analysis
5. Corporate Finance
6. Equity Valuation
7. Alternative Investments
8. Fixed Income
9. Derivative Investment
10. Portfolio Management
LEVEL III
1. Ethical and Professional Standards
2. Behavioral Finance, Individual Investors, and Institutional Investors
3. Capital Market Expectations
4. Asset Allocation
5. Fixed Income and Equity Portfolio Management
6. Alternative Investments, Risk Management, and the Application of Derivatives
7. Portfolio: Execution, Evaluation and Attribution, and Global Investment Performance Standards