道德规范与职业行为准则(二)及答案解析.doc
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1、道德规范与职业行为准则(二)及答案解析(总分:40.00,做题时间:90 分钟)一、B单项选择题/B(总题数:40,分数:40.00)1.Fern Baldwin, CFA, as a representative for Fernholz Investment Management, is compensated by a base salary plus a percentage of fees generated. In addition, she receives a quarterly performance bonus on a particular clients fee if
2、the clients account increases in value by more than 2 points over a benchmark index. Baldwin had a meeting with a prospect in which she described the firms investment approach but did not disclose her base salary, percentage fee, or bonus. Baldwin has : A. violated the Standards by not disclosing he
3、r salary, fee percentage, and performance bonus. B. violated the Standards by not disclosing her performance bonus. C. not violated the Standards because employment compensation arrangements are confidential and should not be disclosed to clients.(分数:1.00)A.B.C.D.2.A client calls his money manager a
4、nd asks the manager to liquidate a large portion of his assets under management for an emergency. The manager warns the client of the risk of selling many assets quickly but says that he will try to get the client the best possible price. This is a violation of: A. Standard (C) , Suitability. B. Sta
5、ndard B. , Communication with Clients and Prospective Clients. C. none of the Standards listed here.(分数:1.00)A.B.C.D.3.An analyst working at an investment firm has a client that rents limousines. The client tells the analyst that as long as he is the clients analyst, he can have free use of a limous
6、ine several times a year. The analyst needs to: A. inform his supervisor in writing of the offer if the analyst intends to accept the offer. B. explicitly refuse such an offer. C. do nothing since the offer is not linked to the performance of the clients portfolio.(分数:1.00)A.B.C.D.4.With respect to
7、reporting investment results, Global Investment Performance Standards (GIPS) require a minimum of: A. three years of historical performance. B. ten years of historical performance. C. five years of historical performance.(分数:1.00)A.B.C.D.5.Which of the following was NOT a motivation for creating the
8、 Global Investment Performance Standards (GIPS) ? A. Increase the role of government agencies in the investment industry. B. Achieve greater uniformity and comparability among presentations of performance. C. Improve the service offered to investment management clients.(分数:1.00)A.B.C.D.6.Jan Hirsh,
9、CFA, is employed as manager of a college endowment fund. The colleges board of directors has recently voted to consider divesting from companies located in a country that has a poor civil rights record. Hirsh has personal investments in several firms in the country. Hirsh needs to : A. disclose her
10、ownership in the stocks to her supervisor only. B. disclose her ownership in the stocks to the board of directors only. C. do nothing since the board has not made a decision yet.(分数:1.00)A.B.C.D.7.Which of the following does NOT violate Standard ( D), Misconduct? Roland Lawson, a CFA charterholder a
11、nd a financial analyst: A. is arrested for participating in a nonviolent protest. B. committed perjury in connection with a lawsuit against his firm. C. drinks excessively during business meetings with clients and returns to work under the influence of alcohol.(分数:1.00)A.B.C.D.8.Which one of the fol
12、lowing constitutes the illegal use of material nonpublic information? A. Trading based on your analytical review of the firms future prospects. B. Trading immediately after attending the firms annual shareholders meeting. C. Trading on information your sister, the firms attorney, told you over dinne
13、r.(分数:1.00)A.B.C.D.9.Tony Calaveccio, CFA, is the manager of the TrustCo Small Cap Venture Fund in Toronto. He places trades for the fund with Worldwide Brokerage. Worldwide is holding a conference in Amsterdam and has offered to pay for Calaveccios airfare, meals, and accommodations associated with
14、 his attendance of the conference. The conference concerns European small cap securities and the EASDAQ. He decides that he will accept their offer and attend the conference. In order to comply with the Code and Standards, he may: A. attend, but he must disclose the arrangement to his employer as a
15、gift. B. simply attend. Since the conference is directly related to his professional responsibilities, no further notification or permission is required. C. attend, but he must disclose the arrangement as additional compensation to his employer in writing.(分数:1.00)A.B.C.D.10.In 1995, the CFA Institu
16、te sponsored and funded the Global Investment Performance Standards (GIPS) in response to : A. an increase in insider trading. B. new regulation passed by the SEC. C. a need to address issues, such as portability of investment results.(分数:1.00)A.B.C.D.11.Which of the following is a component of the
17、Code of Ethics? CFA Institute members shall: A. use particular care in determining applicable fiduciary duty. B. not knowingly participate or assist in any violation of laws, rules, or regulations. C. use reasonable care and exercise independent professional judgment.(分数:1.00)A.B.C.D.12.A money mana
18、ger, who is a member of CFA Institute, suggests during phone calls to his clients that, “I hope you will relay to your friends the great returns I earned for you this past year. “ The manager had generated above average returns in the past year. Is this a violation of Standard (D) , Performance Pres
19、entation? A. Yes, because the Standard forbids members asking their clients to say anything about how well the member has done. B. No, because the request was made orally and not in writing. C. Yes, because the intended message fails the test of completeness as required under the standard.(分数:1.00)A
20、.B.C.D.13.When GIPS and local laws conflict, in order to be in compliance with GIPS, the investment firm must : A. follow GIPS and need not reference the local law. B. follow local law, and no additional disclosure is required. C. follow local law but disclose the conflict with GIPS.(分数:1.00)A.B.C.D
21、.14.Roger Halpert, CFA, prepares a company research report in which he recommends a strong “buy“. He has been careful to ensure that his report complies with the CFA Institute Standard on research reports. According to CFA Institute Standards of Professional Conduct, which of the following statement
22、s about how Halpert can communicate the report is most correct? A. Halpert can make his report in person, by telephone, or by computer on the Internet. B. Halpert can transmit his report by computer on the Internet. C. Halpert can make his report by telephone.(分数:1.00)A.B.C.D.15.An analyst likes to
23、trade options in her own account. She does not deem any of her client accounts suitable for option trading. When she finds a favorable options position, in accordance to Standard (B) , Priority of Transactions, she should : A. first tell her clients about it before acting herself. B. act on it immed
24、iately on behalf of her clients then act on her behalf. C. act on it on her own behalf as she sees fit.(分数:1.00)A.B.C.D.16.Which of the following is NOT part of the CFA Institute Code of Ethics? A. Integrity. B. Independent judgment. C. Contractual provisions.(分数:1.00)A.B.C.D.17.While it would be cu
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