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NEW QUESTION: 1
Tamara Ogle, CFA, and Isaac Segovia, CAIA, are portfolio managers for Luca's Investment Management (Luca's). Ogle and Segovia both manage large institutional investment portfolios for Luca's and are researching portfolio optimization strategies.
Ogle and Segovia begin by researching the merits of active versus passive portfolio management. Ogle advocates a passive approach, pointing out that on a risk-adjusted basis, most managers cannot beat a passive index strategy. Segovia points out that there will always be a need for active portfolio managers because as prices deviate from fair value, active managers will bring prices back into equilibrium. They determine that Treynor-Black models permit active management within the context of normally efficient markets.
Ogle decides to implement Treynor-Black models in her practice and starts the implementation process. In conversations with her largest client's risk manager, Jim King, FRM, she is asked about separation theorem in relation to active portfolio management. She responds that separation theorem more properly relates to asset prices deviating from and gravitating toward their theoretical fair price. King next asks Ogle about the differences between the Sharpe ratio and the information ratio and the difference between the security market line (SML) and the capital market line (CML).
After reallocating her client portfolios based on using the Treynor-Black model, Ogle discusses the results with Segovia. Ogle states that she is satisfied with the current methodology, but given her preference for passive management, she is still concerned about relying on analyst's forecasts. Segovia tells Ogle that he will research methods for modifying the Treynor-Black model to account for analyst forecasts.
The information ratio for a tracking portfolio is:
A. equal to excess returns divided by the standard deviation of returns.
B. expected to be zero.
C. smaller when tracking error is greater.
Answer: B
Explanation:
Explanation/Reference:
Explanation:
The information ratio is active return divided by active risk and doesn't apply to a tracking portfolio. For a tracking portfolio, active return is zero as it is a passive portfolio with an expected return equal to that of the benchmark (index) it is designed to track. The Sharpc ratio is the slope of the CML. The covariance between the portfolio and the market divided by the variance of the market describes portfolio beta. {Study Session 18, LOS 64.m)

NEW QUESTION: 2
Which option describes what a value "0" for Maximum Callbacks Per Calling Number represents for Courtesy Callback?
A. No Courtesy Callbacks are allowed.
B. Callbacks have been temporarily suspended for dialed number.
C. Any number of callbacks are allowed.
D. Courtesy Callbacks start when "0" calls are in the queue.
Answer: C

NEW QUESTION: 3
Each AC device needs to specify the source IP address of the AC to establish a CAPWAP tunnel with the AP.
One AC can specify up to two WLAN source IP addresses.
A. True
B. False
Answer: B

NEW QUESTION: 4
A system operator informs you that a Job they ran called records with BALANCEDUE from 0 to 6000, but they built their selection to select records with BALANCEDUE: <100.
Which three reasons would be the cause for this? (Choose three.)
A. The job was configured for a different calling list than the selection was run on.
B. The agents are using the search calling list function and manually choosing the wrong records forcalling.
C. The Phone Strategy used for the record selection has Initial Phones set to PHONE1:*, allowing any record to be selected, ignoring the BALANCEDUE selection criteria.
D. The record selection criteria has the following configuration: SELECT:BALANCEDUE:<100;A:1 SELECT :CVCODE: AC1: A: 1 SELECT: ACCTCODE: 1000-5999:O:1 SELECT:CVC0DE:AC1,AC4:A:2 SELECT; ACCTCODE: 6000-9999: A: 2.
E. The calling list being used was downloaded and overwritten during calling.
Answer: A,B,E


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