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I'm trying to figure out a strategy for the best use of time and where to focus my efforts for the next few weeks and would appreciate some input.
My mock scores so far are averaging 65% and I'm averaging the following scores...
Ethics 73% Quant 62% Econ 59% FRA 67% Corp 66% Equity 63% FI 64% Derivatives 47% Alts 71% Port Mgmt 69%
I'm trying to figure out where I should focus my attention on. For example, would it be better/easier to try to bring econ up to a 65 (or whatever) than to focus on another heavily weighted topic? Or should I try to put in work to bring up derivatives from the very low score, even though it's not worth much on the exam? Or should I just try to go HAM on all the heavy sections and just let the chips fall where they may. I find myself going on rabbit holes of trying to figure out derivative pricing and then stop myself, realizing it's probably not the best use of time at this point. So far I've pretty much written off Econ as it just doesn't click, same with derivatives. I'd like to be hitting above 70 or 75% on mocks and am putting in the time, just wanting to make the best use of time. Any help would be appreciated.
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