CFA Level 1 Accelerate Batch is SSEI’s self-paced CFA Level 1 course for working professionals, career-switchers, and serious aspirants. Learn through under 300 hours of expert-led recorded lectures, a week-by-week study plan, and weekend live problem-solving workshops.
1. Under 300 hours of expert-taught video
the complete live-batch recordings covering every CFA Institute learning objective and reading
2. Week-by-week study roadmap
a clear schedule telling you exactly which readings, videos, and practice sets to complete each week
3. Topic pacing guide
calibrated to your chosen exam window (Aug 2026 · Nov 2026 · Feb 2027 · May 2027 · Aug 2027 · Nov 2027)
4. Weekend Live Problem-Solving Workshops
every weekend, faculty (Sanjay Sir · Budhaditya · Anurag Sir) works through practice questions on the specific topics the roadmap assigned that week
5. Recorded workshop archive
missed a session? Catch the recording later, no penalty
6. Self-practice combined book
(questions + answers), shipped in hardcopy
7. Audio summaries
for revision on commutes or between meetings
8. 100+ weekly and topic-wise mocks
across the curriculum
9. 2 Full-Length Mock Tests
practice before the real exam with two complete mock tests.
10. 1.5× Views permanent recorded access
You can watch the complete course content for up to one-and-a-half times its total class duration. —1.5x views
Returns of Financial Assets and Instruments
Types of Financial Returns
Benchmarking Returns
The Time Value of Money in Finance
Statistical Characteristics of Asset Returns
Statistical Distributions Financial Asset price and Returns
Estimation and Hypothesis Testing
The Return and Risk of a Financial Portfolio
Simulation of Financial Assets Prices and Returns
Applications of Simple Linear Regression in Finance
Introduction to Financial Data Science
The Firm and Market Structures
Understanding Business Cycles
Fiscal Policy
Monetary Policy
Introduction to Geopolitics
International Trade
Capital Flows and the FX Markets
Exchange Rate Calculations
Organizational Forms, Corporate Issuer Features, and Ownership
Investors and Other Stakeholders
Corporate Governance: Conflicts, Mechanisms, Risks, and Benefits
Working Capital and Liquidity
Capital Investments and Capital Allocation
Capital Structure
Business Models
Introduction to Financial Statement Analysis
Analyzing Income Statements
Analyzing Balance Sheets
Analysing Statements of Cash Flows I
Analysing Statements of Cash Flows II
Analysis of Inventories
Analysis of Long Term-Assets
Analysis of Long-Term Liabilities and Equity
Analysis of Income Taxes
Financial Reporting Quality
Financial Analysis Techniques
Introduction to Financial Statements Modeling
Equity Instrument Features
Equity Jurisdictions, Classes, and the Voting Process
Equity Issuance and Trading
Sources of Equity Valuation
Introduction to Equity Valuation
Discounted Cash Flow (DCF) and Growth Models
Relative Value Equity Valuation Approaches
Financial Statement Forecasting in Equity Valuation
Industry and Competitive Analysis
Company Analysis: Past, Present, and Future
Equity Analyst
The Capital Asset Pricing Model, Market Model and the Other Factor-Based Equity Models
Fixed Income Features
Fixed Income Cash Flows and Types
Fixed Income Issuance and Trading
Fixed Income for Corporate Issuers
Fixed Income for Government Issuers
Fixed Income Bond Valuation: Prices and Yields
Yield and Yield Spread Measure for Fixed-Rate Bonds
Yield and Yield Spread Measures for Floating Rate Note
The Term Structure of Interest Rates: Spot, Par, and Forward Curves
Interest Rate Riska and Return
Yield Based Bond Duration Measures and Properties
Yield Based Bond Convexity Measures and Portfolio Properties
Curve Based and Empirical Fixed Income Risk Measures
Credit Risk
Credit Analysis for Government Issuers
Credit Analysis for Corporate Issuers
Fixed-Income Securitisation
Asset-Backed Security (ABS) Instrument and Market Features
Mortgage-Backed Security (MBS) Instrument and Market Features
Derivative Instrument and Derivative Market Features
Forward commitment and Contingent Claim Features and Instruments
Derivative Benefits, Risks, Issuer and Investor Uses
Arbitrage, Replication and the Cost of Carry in Pricing Derivatives
Pricing and Valuation of Forward Contracts and for and underlying with Varying Maturities
Pricing and Valuation of Future Contracts
Pricing and Valuation of Interest Rates and Other Swaps
Pricing and Valuation of Options
Option Replication Using Put-Call Parity
Valuing a Derivative Using a One Period Binominal Model
Alternative Investment, Features, Methods, and Structures
Alternate Investment Performance and Returns
Investment in Private Capital: Equity and Debt
Real Estate and Infrastructure
Natural resources
Hedge Funds
Introduction to Digital Assets
Portfolio Risk and Return: Part 1
Portfolio Risk and Return: Part 2
Portfolio Management: An Overview
Basics of Portfolio Planning and Construction
The Behavioural Biases of Individuals
Introduction To Risk Management
Ethics and Trust in the Investment in the Investment Profession
Code of Ethics and the Standards of Professional Conduct
Guidance for Standard I: Professionalism
Guidance for Standard II: Integrity of Capital Markets
Guidance for Standard III: Duties to Clients
Guidance for Standard IV: Duties for Employers
Guidance for Standard V: Investment Analysis, Recommendation and Actions
Guidance for Standard VI: Conflict of Interest
Guidance for Standard VII: Responsibilities as a CFA Institute Member or CFA Candidate
Application of the Code and Standards: Level 1
GIPS is no longer a standalone L1 reading. Market Efficiency and the standalone Security Market Indexes reading have been removed from L1.
Demo Videos
Sample the learning experience.
Watch these classroom recordings and walk-throughs to see our first-principles teaching style in action.
Additional information
Mode
Live Online
Exam
Nov. 2026, Feb. 2027, May 2027, Aug. 2027, Nov. 2027
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