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L1 Mock Morning Section 67题求助

在2010年版的handbook的P176里面的例题是这样写的

 

Example 4 (Sharing Exam Content): After completing Level II of the CFA
Exam, Annabelle Rossi writes in her blog about her experience. She posts
the following: “Level II is complete! I think I did fairly well on the exam. It
was really difficult, but fair. I think I did especially well on the derivatives
questions. And there were tons of them! I think I counted 18! The ethics
questions were really hard. I’m glad I spent so much time on the Code and
Standards. I was surprised to see there were no questions at all about IPO
allocations. I expected there to be a couple. Well, off to celebrate getting
through it. See you tonight?”
Comment : Rossi did not violate Standard VII(A) when she wrote about
how difficult she found the exam or how well she thinks she may have
done. By revealing portions of the CBOK covered on the exam and
areas not covered, however, she did violate Standard VII(A) and the
Candidate Pledge. Depending on the time frame in which the com-
ments were posted, Rossi not only may have assisted future candidates
but also may have provided an unfair advantage to candidates sitting
for the same exam, thereby undermining the integrity and validity of
the Level II exam.

考生comment一下考试的难易程度是允许的,但是如果透露了那一部分内容是重点就是violate了。

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 还有一道maturity stage 还是shakeout stage的,早上的,大家觉得答案是什么啊?

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L1 Mock Morning Section 67题求助

我选了maturity stage,因为其中说的特征是high barries,因为虽然shakeout stage和maturity都是slow growth,但是只有maturity是high barries

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QUOTE:
以下是引用random_walk在2011-6-7 0:55:00的发言:

其他几个我都表示一致,但是第一题,让我纠结的原因是,那人的朋友没有透露具体内容,只是说考试难。而那人说的是,we should focus on fixed income, because I think it's the most difficult part。我就在想,这是那人的建议,并没有透露什么。谁知道他朋友跟他泄露了什么啊。﹣﹣不知大家是怎么理解的

我跟你的理解一致,因为我觉得他朋友就说难,而要复习什么什么的是这个人自己觉得的,并没有基于他朋友说的内容,所以我也选了没有violate~~还有问一下第三题是不是出现在下午试题很kao前的地方啊??  额 竟然把kao给屏蔽了

[此贴子已经被作者于2011-6-7 2:21:57编辑过]

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L1 Mock Morning Section 67题求助

嗯,我觉得ls的mm说得有道理,应该只是他的主观判断而已,而且他也说他给出建议的依据是the most difficult part,并非是由考试而来的。我当时比较关注和考试的联系,没有注意到because后面的说明

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QUOTE:
以下是引用watergood在2011-6-7 0:25:00的发言:

布林线那题是下午的题目,比较*前的地方吧。说的是布林指标是以什么因素的标准差为基准计算的吧,我记得三个选项A.price B.volume C.return,纠结了半天,选了volume,回来百度一查,发现是以股价的标准差,晕菜了。

 

俺看的是10年的notes,这些技术指标都没有提过,还有后面的一些题目,坑爹了

 

美国国债发行那题是auction的single price,这个在11年的课本里有,回来以后查过了

 

 对,应该是某个平均价为基准,然后上下几个standard deviation away

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QUOTE:

 

[此贴子已经被作者于2011-6-7 8:18:38编辑过]

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不知是网络问题还是什么,没法引用

之前有位哥们儿提出的几个问题里

有一个是上司用nonpublic material 但是员工不知道那题-----------

我记得以前做过一道类似的,但答案好象是不违反,因为unknowingly......

另外GIPS objective那个题,好像用的是排除法,b忘了是什么了反正不对,c项好像说了ensure blah blah blah,也给排了---貌似有ensure的就没几个对的......


[此贴子已经被作者于2011-6-7 8:07:43编辑过]

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还想到一题,问 公司repurchase shares 用哪种办法最便宜。选项有:open market (我猜来这个),auction,还有一个不记得了

还有一题比较白痴的,但我不确定啊。commonsize financal statement算是哪个阶段的啊,process,还是analysis?

还有一题已知revenue,selling cost和product cost,问net revenue多少?这个sellingcost到底要不要被减掉啊?

疯了,越想月觉得自己好多不确l

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ls的mm,repurchase shares最便宜的方法应该是Dutch auction,这个我回来后查过课本。commonsize financial statement应该属于process中进行的,这个在2011年的mock下午部分45题有。revenue那题,我也没有见过,蒙了个没有减掉selling cost的答案。

 

我是越讨论越着急,希望今年的通过率能高一些

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