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STC Series 66 – Chapter 12 Complete Questions and Verified Solutions (Latest Update 2025/2026)

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This document provides the full set of Chapter 12 practice questions and verified solutions from the STC Series 66 exam, updated for 2025/2026. It covers key investment and exam concepts including asset allocation strategies, behavioral finance, CAPM, efficient market hypothesis, modern portfolio theory, beta, alpha, valuation ratios, risk measurements, and portfolio rebalancing. With detailed formulas, definitions, and examples, this resource helps candidates master the analytical and theoretical foundations required for the Series 66 exam.

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CHAPTER 12 - STC SERIES 66 COMPLETE
QUESTIONS AND ANSWERS WITH
VERIFIED SOLUTIONS LATEST UPDATE
2025/2026

Active strategies - CORRECT ANSWER - Market aren't perfectly efficient
Tactical asset allocation
Sector rotation


Actual return - CORRECT ANSWER - = Market return x beta + alpha


After-tax yield - CORRECT ANSWER - = Taxable interest rate x (100%-Tax
bracket%)


Alpha - CORRECT ANSWER - Aka risk-adjusted return
= Actual return - expected return


Balance sheet - CORRECT ANSWER - Assets = liabilities + SE
Net worth


Behavioral finance - CORRECT ANSWER - Based on the idea that investors
aren't fully rational
Examples
Anchoring, Regret aversion, Confirmation bias, Herd behavior




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, Beta - CORRECT ANSWER - Measure of volatility (systematic risk) of a security
in comparison to the market


Bottom-up approach - CORRECT ANSWER - Based on fundamental analysis
Where investments are chosen based on evaluating a particular company


Business economic cycle - CORRECT ANSWER - Early recession, full recession
(contraction), early recovery, full recovery


Buy limit - CORRECT ANSWER - Buy a security at a price below the current
market price executable at a specified price or lower/better
Order may never be filled


Buy stop - CORRECT ANSWER - Buy a security at a price above the current
market price triggered only if the market price hits or passes through the stop price


Buy-and-hold - CORRECT ANSWER - Do nothing
Minimize tax consequences and transaction costs
Risk, reward and volatility become different than original asset allocation =
drawback


Capital asset pricing model (CAPM) - CORRECT ANSWER - Extension of MPT
Relationship between risk and expected return for securities


Correlation - CORRECT ANSWER - MPT suggests that an optimal portfolio is
diversified with assets not all correlated with one another
Positive = +1


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