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| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Classical & Integrated Technical Analysis | 21% | - Quantitative methods and model evaluation - Dow Theory, Wyckoff, and Gann methods - Chart patterns, indicators, and multi-timeframe synthesis |
| Topic 2: Ethics and Professional Standards | 5% | - Code of Ethics and Standards of Professional Conduct - Professional Responsibilities |
| Topic 3: Portfolio Management | 18% | - Performance measurement and attribution - Asset allocation and weighting - Rebalancing strategies |
| Topic 4: Volatility Analysis | 7% | - Volatility-based trading strategies - Volatility measurement and forecasting |
| Topic 5: Asset Relationships & Intermarket Analysis | 18% | - Intermarket trends and rotations - Cross-asset correlations - Relative strength analysis |
| Topic 6: Behavioral Finance | 10% | - Sentiment analysis and indicators - Cognitive biases and market behavior |
| Topic 7: Risk Management | 21% | - Position sizing and stop-loss strategies - Risk identification and assessment - Volatility and drawdown management |
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