问题 单项选择题

Shawn Crane, CFA, is the Chief Information Officer (CIO) for Blind Trust (BT). Dunder recently assigned one of his portfolio managers, Doug Spader, to manage several accounts that primarily invest in thinly traded micro-cap stocks. Crane soon notices that Spader places many stock trades for these accounts on the last day of the month, towards the market’s close. Crane finds this trading activity unusual and speaks to Spader, who explains that the trading activity was completed at the client’s request. Crane does not investigate further. Six months later regulatory authorities sanction BT for manipulating micro-cap stock prices at month-end in order to boost account values. According to the Standards of Practice Handbook, did Crane violate any CFA Institute Standards of Professional Conduct()

A. No.

B. Yes, because he failed to reasonably supervise Spader.

C. Yes, because he did not report his findings to regulatory authorities.

答案

参考答案:B

解析:

[分析]: 根据执业操守标准Ⅳ (C)(监督责任)的规定,基于会员的监督责任或职权,会员应当在合理范围内尽力避免违反相关法律法规及监管规范行为的发生,并在必要时对有关行为进行调查。在本题中,Crane不应仅根据Spader的口头解释而终止相关调查。具体来讲,为了完成监督责任,Crane应进一步调阅相关客户的投资目标和其他相关书面记录以最终确定Spader的解释是否属实。 [考点] 对雇主的义务

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