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"morality" exercise:Duties to Employers

来源: 正保会计网校 编辑:小鞠橘桔 2020/09/23 08:59:44 字体:

学习是一个不断积累的过程,每天学习一点,每天进步一点!为了帮助大家更高效地备考2021年CFA考试,正保会计网校每日为大家上新CFA习题供大家练习。让网校与您一起高效备考2021年CFA考试,梦想成真!

Questions 1:

While at a bar in the financial district after work, Ellen Miffitt, CFA, overhears several employees of a competitor discuss how they will manipulate down the price of a thinly traded micro cap stock’s price over the next few days. Miffitt’s clients have large positions of this stock so when she arrives at work the next day she immediately sells all of these holdings. Because she had determined the micro cap stock was suitable for all of her accounts at its previously higher price, Miffitt buys back her client's original exposure at the end of the week at the new, lower price. Which CFA Institute Standards of Professional Conduct did Miffitt least likely violate?

A、 Market Manipulation

B 、Preservation of Confidentiality

C、 Material Nonpublic Information

Questions 2:

Sergio Morales, CFA, believes he has found evidence that his supervisor is engaged in fraudulent activity involving a client’s account. When Morales confronts his supervisor, he is told the client is fully aware of the issue. Later that day, Morales contacts the client and upon disclosing the fraudulent activity, is told by the client to mind his own business. Following the requirements of local law, Morales provides all of his evidence, along with copies of the client’s most recent account statements, to a government whistle blower program. Has Morales most likely violated the CFA Institute Standards of Professional Conduct?

A、 No.

B、 Yes, concerning Duties to Employers.

C、 Yes, concerning Preservation of Confidentiality.

View answer resolution
【Answer to question 1】B

【analysis】

B is correct as Miffitt has not violated the confidentiality standard that involves information about former, current, and prospective clients. 

 A is incorrect because even though she did not initiate the market manipulation, Miffitt added to the stock’s price movement when she sold into a declining market particularly with thinly traded stocks which can be easily influenced by changes in the volume of activity. By repurchasing the shares for her clients she is seeking to take advantage of the manipulation and is in violation of Standard II(B). 

 C is incorrect as she has attempted to benefit her clients by trading on information that could affect the value of the micro cap stock and as such would be classified as material nonpublic information. Information that is known regarding orders for large trades before they are executed is considered material nonpublic information

【Answer to question 2】A

【analysis】

A is correct because Morales believes his supervisor and potentially the client are engaged in fraudulent activity and by following the requirements of local law, through their whistleblower program, he has not violated Standard III(E)–Preservation of Confidentiality or Standard (V)–Duties to Employers. 

 B is incorrect because Morales has not violated Standard (V)–Duties to Employers. 

 C is incorrect because Morales believes that his supervisor and potentially the client are engaged in fraudulent activity and by following the requirements of local law, through their whistleblower program, he has not violated Standard III(E)–Preservation of Confidentiality.

成功=时间+方法,自制力是这个等式的保障。世上无天才,高手都是来自刻苦的练习。而人们经常只看到“牛人”闪耀的成绩,其成绩背后无比寂寞的勤奋。小编相信,每天都在勤奋练习,即使是一点点的进步,大家一定可以成为人人称赞的“牛人”。

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特许金融分析师限时免费资料

  • CFA报考指南

    CFA报考指南

  • CFA考试大纲

    CFA考试大纲

  • CFA历年

    CFA历年

  • CFA学习计划

    CFA学习计划

  • CFA思维导图

    CFA思维导图

  • CFA备考建议

    CFA备考建议

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