based on 2013 curriculum,
Book 1 Ethical and professional standards;
Book 2 Behavioral Finance, individual investors, and institutional investors;
Book 3 Capital Market expectations, market valuation, and asset allocation;
Book 4 Fixed income and equity portfolio management;
Book 5 Alternative investments, risk management, and the application of derivatives;
Book 6 Portfolio: Execution, evaluation and attribultion, and global investment performance standards;