sorry if this has been discussed before…
- but im a little bit confused with Level III format…
unlike level 1 and 2 where the titles of their books target specifically each exam topic, for example level 2 volume 3 covers corp finance, volume 4 covers equities, volume 6 covers derivative and port management, etc.
but in level 3, the naming is so confusing…for ex, which exam topic does book 2 cover (behavioral finance, individual investors, and institutional investors)? is it equities? derivatives?
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do you recommend me to use Schweser notes? how bad or good can they be?
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what’s the recommended study pattern? should i start with volume 3 and 4 first (seems like they’re the most important ones)?
thanks… yes i havent started (haven’t even figured out the format really well)… good luck everyone…