第5問,case中提到的squawk box是揚聲器,是對全體員工播放的,為什么會違反ID呢?這里并不涉及不誠信啊
第五個reading第六題,PE 的report frequency是annually,為什么題中說是quarterly
GIPS中的Carve-out是什么意思?
第6題,考的太細節(jié)了吧,到底是披露對象不對還是披露時間不對?主體內(nèi)容都是對的,考試會不會換一個詞來考正確性?
這題comment3什么意思呀?為什么不選3?
請問第四題為什么C不對?什么樣的是推理出來,可用mosaic theory?
第3問,即使董事會成員有資產(chǎn)管理經(jīng)驗,也不應該take daily active role in asset management,這個是基金經(jīng)理的工作
第三題為什么不選C?不使用MNI不是對資本市場忠誠嗎?怎么成了違法對雇主忠誠?
單老師說過,只有交錢的在考試前那段時間可以被成為“candidate”,之后棄考,或者沒有交錢備考都不是candidate。所以,如果Brochure流通很久的話,所以Chau自己給出的說法是有可能違規(guī)的, 比如沒考過然后不再繼續(xù)考, 或者棄考
科目測試第一大題第4題,文中寫了Riser是接受了Komm的邀請加入他的公司,然后辭去了Swibank的工作,但為什么不用辭去子公司的董事會席位,畢竟是去了一家新公司?
Only the institutional trades comply with CFA Institute Standards. All the trades were processed on a net basis. Because the firm disclosed that institutional orders may be executed on a net basis, the institutional trades did not result in a violation. The firm disclosed to clients that in riskless principal trades, retail clients will receive the same execution price without mark-up. Executing the retail orders on a net basis with a $.01 mark-up resulted in a violation of Standards I(C) and III(B) relating to misrepresentation and fair dealing. 老師,這道題的答案解釋沒有看明,請您指導。
答案解析As Khadri provides the corrected information in her letter to the client, she is least likely to violate the Standard relating to performance presentation. She is more likely to violate the Standards relating to Misconduct and Misrepresentation because she knowingly misrepresents the cause of the error. Standard I(D)—Misconduct requires that members not engage in any professional conduct involving dishonesty. Standard I(C) prohibits members from knowingly making any misrepresentation relating to investment actions and professional activities. 老師,請問為何會違反I(D)和I(C),確實是無意輸入錯誤的啊
Q6,這種類似券商對其它公司的評級調(diào)整,也算重大非公開信息嗎?又不是評級機構
第三題,題目中 說 現(xiàn)在 要求 遵守 什么 ,道德 和 行為 準則 是 考生就要 遵守 ,但是 持證 不是 更要 遵守嗎 ,那 道德 和 行為準則 不是 現(xiàn)在 也要 繼續(xù) 遵守
第三題怎么理解
程寶問答