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given these Mock scores, what should I work on?

Part 1:
Overall: 80%
Ethics: 83.33%
Quant: 92.86%
Econ: 83.33%
FSA: 83.33%
Corporate Finance: 90%
Equity: 58.33%
Derivatives: 83.33%
Fixed Income: 66.67%
Alternative Investments: 100%
Portfolio Management: 66.67%
Part 2:
Overall: 81%
Ethics: 83.33%
Quant: 92.56%
Econ: 83.33%
FSA: 83.33%
Corporate Finance: 90%
Equity: 75%
Derivatives: 50%
Fixed Income: 91.67%
Alternative Investments: 66.67%
Portfolio Management: 66.67%

To be honest, my overall score has not changed over the course of 4 samples so far, but the movement between sections has been significant. frustrating – no clear area to focus on!

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good call mcf except I don’t think it’s so black and white..it may be more worthwhile to improve a heavier weighted section than worry about something like alternative investments or derivatives for instance. That’s what I’m struggling with.

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go, have a pint mate!
S

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