Are those classes enough for an econometrician
finance undergrad possibly relevant classes stats I, stats II , calculus (integrals, derivatives) (they covered regressions hypothesis testing, some distributions and some basics) econometrics
and from econ/finance corporate finance, micro/macro economics, portfolio theory
I am thinking a master in applied econ and finance with micro, macro, financial math, econometrics (and some other classes)
is those classes enough for such a position? or math majors are preferred?
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