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- 988424
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- 2014-3-12
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- 1970-1-1
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- GRE, Q near 170, V at least 150(??)
- not enough maths course, need more advanced maths course, some applied maths stuff will be fine (differential eqn, optimization, stochastic process), some pure maths will be excellent (but difficulet, e.g. real analysis, topology.....).
- some statistics will be good as preparation for econometrics at graduate level. Here I don't mean econometrics class by the economics school, but those proof and matrix based one from math/stat department. Stuffs like statistical inference are good one.
- most importantly research experience with strong reference. the strongest reference comes from professors that one have some kind of research experience with, and so that the professor can comment on the student's research potential. One good source for it, from the one who guide you thesis/graduation project/etc, while RA expereince is also extremely in this sense.
P.S. 以下是廢話.
Double Major Finance對graduation school的幫助非常marginal, 非常有限.
時光可以倒流的話, 應該果斷把其換成一個math/stat的第二主修/雙副修.
Strong grade in mathematics course are somehow even more important than that in economics course..
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