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CEBS RPA 2 ALL 2026 QUESTIONS AND ANSWERS RATED A.pdf

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CEBS RPA 2 ALL 2026 QUESTIONS AND ANSWERS
RATED A+
✔✔Variance vs Standard Deviation - ✔✔Standard deviation easier to interpret because
same units as returns

✔✔Investment Manager Selection Criteria - ✔✔Performance history strategy references
and decision process

✔✔DC Plan Communication Requirement - ✔✔Participants must receive enough
information to make informed choices

✔✔Lifecycle Fund - ✔✔Portfolio adjusted automatically as retirement nears

✔✔Target-Date Fund - ✔✔Investment mix becomes more conservative over time

✔✔GIC - ✔✔Insurance contract guaranteeing principal and interest

✔✔Exclusive Benefit Rule - ✔✔Plan assets must benefit employees and beneficiaries
only

✔✔Pension Plan Tax Advantage - ✔✔Qualified plan investment income is tax-exempt

✔✔Bond Price Relationship - ✔✔Interest rates and bond prices move inversely

✔✔Market Risk Cannot Be Eliminated - ✔✔Diversification cannot remove systematic
risk

✔✔Firm-Specific Risk Can Be Eliminated - ✔✔Diversification reduces unsystematic risk

✔✔Most Tested Fiduciary Concept - ✔✔Fiduciaries must prudently select AND monitor
investments/providers

, ✔✔Best Manager Evaluation Metric - ✔✔Time-weighted return

✔✔Best Long-Term Growth Metric - ✔✔Geometric mean

✔✔Most Important Diversification Concept - ✔✔Correlation drives portfolio risk
reduction

✔✔ Purchasing Power Risk - ✔✔Inflation reduces real return

✔✔Business Risk - ✔✔Risk company earnings decline and cannot pay obligations

✔✔Interest Rate Risk - ✔✔Rates ↑ cause bond prices ↓

✔✔Market Risk - ✔✔Market-wide risk that cannot be diversified away

✔✔Specific Risk - ✔✔Firm-specific risk that CAN be diversified away

✔✔Liquidity Risk - ✔✔Risk investment cannot be sold quickly without loss

✔✔Financial Risk - ✔✔Risk caused by use of debt/leverage

✔✔Currency Risk - ✔✔Risk from exchange rate fluctuations

✔✔Country Risk - ✔✔Political/economic instability risk in foreign investing

✔✔Yield - ✔✔Income portion of investment return

✔✔Capital Gain/Loss - ✔✔Increase or decrease in asset price

✔✔Total Return - ✔✔Income + price change divided by purchase price

✔✔Return Relative - ✔✔Total return + 1

✔✔Cumulative Wealth Index - ✔✔Measures compounded growth over time

✔✔Arithmetic Mean - ✔✔Average single-period return

✔✔Geometric Mean - ✔✔True compound growth rate over multiple periods

✔✔Alpha - ✔✔Return attributable to manager skill

✔✔Beta - ✔✔Measure of market/systematic risk

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