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AAFM CWM_LEVEL_2 Dumps

AAFM CWM_LEVEL_2 Practice Exam Questions

Chartered Wealth Manager (CWM) Certification Level II Examination

Total Questions : 1259
Update Date : August 15, 2026
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Last Week CWM_LEVEL_2 Exam Results

168

Customers Passed AAFM CWM_LEVEL_2 Exam

94%

Average Score In Real CWM_LEVEL_2 Exam

96%

Questions came from our CWM_LEVEL_2 dumps.

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Earning your AAFM CWM_LEVEL_2 certification demonstrates your professional competence, validates your technical skills, and enhances your career opportunities. It’s a globally recognized credential that helps you stand out in the competitive IT industry.

AAFM CWM_LEVEL_2 Sample Question Answers

Question # 1

Section B (2 Mark)Mr.Neeraj has a portfolio consisting of two stocks A & B has a standard deviation of 5% while stock B has a standard deviation of 15%. Stock A comprises 40% of the portfolio and stock B consists of 60%. If the correlation of returns of A and B is 0.5, the variance of return on the portfolio is_______

A. 35
B. 85
C. 94
D. 103



Question # 2

Section A (1 Mark)The best way to maintain your credit rating is to:

A. Use credit sparingly.
B. Pay cash for your purchases.
C. Repay your debts on time.
D. Declare a bankruptcy.



Question # 3

Section C (4 Mark)Suppose you have a two-security portfolio containing Bonds A and B. The market value of Bond A is Rs. 6,000, and the market value of Bond B is Rs4,000. The duration of Bond A is 8.5, and the duration of Bond B is 4.0. Calculate the duration of the portfolio.

A. 5.3
B. 8.2
C. 6.7
D. 3.56



Question # 4

Section A (1 Mark)According to the __________________ if irrational traders cause deviations from fundamental value, rational traders will often be powerless to do anything about it.

A. Theory of Limited Arbitrage
B. Equity premium puzzle
C. Present-biased preferences
D. Inter Temporal Consumption