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I have another post elsewhere in this forum - but here is a summary: I would do stuff in the following general order:

In 14-16 weeks finish Ethics, Quant and PM (related), FSA, Equity Inv, Fixed Income, Derivatives, AI etc. Along the way, I would say, read the Schweser Econ guide on the subway, at the airport etc - 10 pages a day. (Why in a second). After each section do the PassMaster/Qbank questions and after every 2-3 SSs do a cumulative test including Ethics- just to keep the Ethics minuatiae, and other topics' definitions, formulas fresh in your mind. Last four weeks, do only mocks - and as many mocks as you can. Stop doing mocks on Mon/Tues before the exam - Wed, Thurs read Ethics again. Take Fri before the exam off - do not study.

L1 Econ is 10% weight for hundreds of pages of reading - the best way to handle it (for me personally) was to break it down like reading a novel - the material is not intellectually stimulating - so it takes some effort - though some parts - including Macro - and very topical and relevant.

Take notes (everything but Econ), create a core formula sheet, spend time mastering FSA and Equity Investments - huge weight in L1 AND seem to be all over L2.

Good luck!

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