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AAFM CWM_LEVEL_2 Exam With Confidence Using Practice Dumps

Exam Code:
CWM_LEVEL_2
Exam Name:
Chartered Wealth Manager (CWM) Certification Level II Examination
Certification:
Vendor:
Questions:
1259
Last Updated:
Jan 30, 2025
Exam Status:
Stable
AAFM CWM_LEVEL_2

CWM_LEVEL_2: Chartered Wealth Manager Exam 2024 Study Guide Pdf and Test Engine

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Chartered Wealth Manager (CWM) Certification Level II Examination Questions and Answers

Question 1

Section A (1 Mark)

In “CAMPARI” Model, R stands for:

Options:

A.

Refinance Terms

B.

Resale Terms

C.

Repayment Terms

D.

Revision Terms

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Question 2

Section B (2 Mark)

The expected returns and standard deviations of stock A and B are:

Manish buys Rs.20000 stock A and sells short Rs.10000 of stock B, using all the proceeds to buy more of stock A. The correlation between the two securities is 0.25. What are the expected return and the standard deviation of Manish’s portfolio?

Options:

A.

17%, 15.4%

B.

15.4%, 14%

C.

13%, 12%

D.

11%, 10%

Question 3

Section B (2 Mark)

Matrix Ltd has a current ratio of 1.6, and a quick ratio equal to 1.2. The company has Rs 20,00,000 in sales and its current liabilities are Rs 10, 00,000. What is the company’s inventory turnover ratio?

Options:

A.

5

B.

5.2

C.

5.5

D.

6