例题一: Wouter Duyck,CFA,is the sole proprietor of an investment advisory firm serving several hundred middle-class retail clients.Duyck claims to be different from his competitors because he conducts research himself.He discloses that to simplify the management of all these accounts,he has created a recommended list of stocks from which he selects investments for all of his clients based on their suitability.Duyck's recommended list of stocks is obtained from his primary broker,who has completed due diligence on each stock.Duyck's recommended list least likely violates which of the following CFA Institute Standards of Professional Conduct?
例题二:Jamie Pyles,a portfolio management trainee for a money management firm,is trying to create a client base.He phones prospective clients,telling them that he is a portfolio manager.He informs prospective clients that based on the last five years of performance of his firm,he can guarantee the client at least a 75%return.He informs them that his firm can provide all of the services that they will ever need.What is the minimum number of misrepresentations Jamie has made to the prospective clients in violation of Standard I(C),Misrepresentation?
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Misrepresentation考点
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