What is a better undergraduate major (math vs. finance) for an aspiring investment analyst/portfolio manager in an asset/wealth management?
A portfolio manager refers to a qualified finance professional who is responsible for making significant investment decisions and manage day to day trading activities of a particular mutual fund.
Answer and Explanation:
To build a career as an aspiring investment analyst or portfolio manager in an asset or wealth management, pursuing major in finance would definitely be more helpful as that would provide you with in-depth knowledge about financial markets, investment management, portfolio management, derivatives, fixed income securities, financial planning etc. whereas major in maths would be highly focussed on the quantitative part of finance. Hence, pursuing a major in finance would be beneficial.
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from Corporate Finance: Help & ReviewChapter 8 / Lesson 7