一、晒晒3年的CFA L2. 
2014 Level II CFA exam result:
4A+3B+3C
Congratulations! We are very pleased to inform you that you passed the June 2014 Level II CFA exam. 46% of candidates passed the June 2014 Level II CFA exam.
| Q# | Topic | Max Pts | <=50% | 51%70% | >70% | 
|  | Alternative Investments | 18 | * |  |  | 
|  | Corporate Finance | 36 |  |  | * | 
|  | Derivatives | 36 |  | * |  | 
|  | Economics | 18 |  |  | * | 
|  | Equity Investments | 72 |  |  | * | 
|  | Ethical & Professional Standards | 36 |  | * |  | 
|  | Financial Reporting & Analysis | 72 |  |  | * | 
|  | Fixed Income Investments | 18 | * |  |  | 
|  | Portfolio Management | 36 |  | * |  | 
|  | Quantitative Methods | 18 | * | 
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2013 Level II CFA exam result:
band 8 (3A+3B+4C)
We sincerely regret to inform you that you did not pass the June 2013 Level II CFA exam. 43% of candidates passed the June 2013 Level II CFA exam.
| Q# | Topic | Max Pts | <=50% | 51%70% | >70% | 
|  | Alternative Investments | 36 | * |  |  | 
|  | Corporate Finance | 36 |  |  | * | 
|  | Derivatives | 36 |  | * |  | 
|  | Economics | 18 | * |  |  | 
|  | Equity Investments | 72 |  |  | * | 
|  | Ethical & Professional Standards | 36 | * |  |  | 
|  | Financial Reporting & Analysis | 72 |  |  | * | 
|  | Fixed Income Investments | 18 |  | * |  | 
|  | Portfolio Management | 18 | * |  |  | 
|  | Quantitative Methods | 18 |  | * | 
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2012 Level II CFA exam result:band 4 (2A+2B+6C)
We sincerely regret to inform you that you did not pass the June 2012 Level II CFA exam. 42% of candidates passed the June 2012 Level II CFA exam.
| Q# 
 | Topic | Max Pts | <=50% | 51%70% | >70% | 
| C | Alternative Investments | 18 | * |  |  | 
| A | Corporate Finance | 36 |  |  | * | 
| C | Derivatives | 36 | * |  |  | 
| A | Economics | 18 |  |  | * | 
| C | Equity Investments | 72 | * |  |  | 
| B | Ethical & Professional Standards | 36 |  | * |  | 
| C | Financial Reporting & Analysis | 72 | * |  |  | 
| C | Fixed Income Investments | 36 | * |  |  | 
| C | Portfolio Management | 18 | * |  |  | 
| B | Quantitative Methods | 18 |  | * |  | 
二、谈谈得失
1、复习技巧、重点内容略过,网上勤劳多搜搜,结合自己情况安排复习计划,及时调整并坚定执行到底。对于边工作边备考、时间少、干扰多的人:
1)    保证重点拿下:ETHICAL,FRA,EQUITY,CORPORATEFIN。
2)    争取相对简单易得分:QUANT,ECO,ALTERNATIVE。
3)    理解性掌握难点(分值少计算多,费时费神):FIX INCOME,DERIVATIVE,PORTPOLIO;考场上时间紧张要有选择性地放弃(猜猜猜,赶紧涂完答案)。
4)    一定要拟复习计划(我自己做的3个月时间表,细化到每日、每周、每个reading的复习计划及完成情况;局部时间如有调整,也一定要保证大时间框架下总体进度不落后)。
5)    放弃教材;一定要看NOTES,一定要亲笔总结重难点。
6)    一定要做教材课后选择题,近3年官方的MOCK和SAMPLE。
2、主要总结下
心态上的经验教训(真心的自我反省),与后来者共勉:
因为考L1时,当年从4月中旬开始看NOTES,虽然已经工作,但金融专业基础在,很轻松就过了。
结果在准备L2时心态出了问题,抱有严重的侥幸心理、轻视+工作繁忙(出差开会神马的最干扰复习计划了)+时间安排紧张(基本上复习时间不到3个月,考前请2天年假调整状态)+复习计划未能严格执行(二级教材不看、只看NOTES就算了,竟然连教材课后习题都不做)+考前复习不到位心理紧张,搞得连续2年都倒在门槛上~~~~~
总之,首先摆正心态,其次具体的复习到位了,二级可以轻松拿下。
这三年,难的不是坚持,而是真正的下决心放弃。。。。。。
人生中多少事亦如此——“好多事做不到,不是你没能力,是你没有尽力!”