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I would focus on the main ones, FRA, Ethics, Quant and Fixed Income.
Portfolio Management should also be pretty easy marks, since the content is so small, I found the same stuff kept coming up in the mocks.
You’re starting mocks too late at two weeks. Start doing mocks at least 4 weeks out.
Also the CFA text is too long. I would do the opposite… use your Schweser notes, and refer to CFA text if there is not enough detail.

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