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CWM_LEVEL_2 Practice Questions

Chartered Wealth Manager (CWM) Certification Level II Examination Exam Practice Test


Total 252 Pages
Total 1259 Questions

CWM_LEVEL_2 Practice Questions

Question# 1

Section A (1 Mark) According to the __________________ if irrational traders cause deviations from fundamental value, rational traders will often be powerless to do anything about it.
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Question# 2

Section C (4 Mark) Suppose you have a two - security portfolio containing Bonds A and B. The market value of Bond A is Rs. 6,000, and the market value of Bond B is Rs4,000. The duration of Bond A is 8.5, and the duration of Bond B is 4.0. Calculate the duration of the portfolio.
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Question# 3

Section B (2 Mark) Which of the following statements is/are true?

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Question# 4

Section A (1 Mark) The best way to maintain your credit rating is to:
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Question# 5

Section B (2 Mark) Mr.Neeraj has a portfolio consisting of two stocks A & B has a standard deviation of 5% while stock B has a standard deviation of 15%. Stock A comprises 40% of the portfolio and stock B consists of 60%. If the correlation of returns of A and B is 0.5, the variance of return on the portfolio is_______
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