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NEW QUESTION: 1
Pace Insurance is a large, multi-line insurance company that also owns several proprietary mutual funds.
The funds are managed individually, but Pace has an investment committee that oversees all of the funds.
This committee is responsible for evaluating the performance of the funds relative to appropriate benchmarks and relative to the stated investment objectives of each individual fund. During a recent investment committee meeting, the poor performance of Pace's equity mutual funds was discussed. In particular, the inability of the portfolio managers to outperform their benchmarks was highlighted. The net conclusion of the committee was to review the performance of the manager responsible for each fund and dismiss those managers whose performance had lagged substantially behind the appropriate benchmark.
The fund with the worst relative performance is the Pace Mid-Cap Fund, which invests in stocks with a capitalization between S40 billion and $80 billion. A review of the operations of the fund found the following:
* The turnover of the fund was almost double that of other similar style mutual funds.
* The fund's portfolio manager solicited input from her entire staff prior to making any decision to sell an existing holding.
* The beta of the Pace Mid-Cap Fund's portfolio was 60% higher than the beta of other similar style mutual funds.
* No stock is considered for purchase in the Mid-Cap Fund unless the portfolio manager has 15 years of financial information on that company, plus independent research reports from at least three different analysts.
* The portfolio manager refuses to increase her technology sector weighting because of past losses the fund incurred in the sector.
* The portfolio manager sold all the fund's energy stocks as the price per barrel of oil rose above $80. She expects oil prices to fall back to the $40 to S50 per barrel range.
A committee member made the following two comments:
Comment 1: "One reason for the poor recent performance of the Mid-Cap Mutual Fund is that the portfolio lacks recognizable companies. I believe that good companies make good investments." Comment 2: "The portfolio manager of the Mid-Cap Mutual Fund refuses to acknowledge her mistakes.
She seems to sell stocks that appreciate, but hold stocks that have declined in value." The supervisor of the Mid-Cap Mutual Fund portfolio manager made the following statements:
Statement 1: "The portfolio manager of the Mid-Cap Mutual Fund has engaged in quarter-end window dressing to make her portfolio look better to investors. The portfolio manager's action is a behavioral trait known as over-reaction." Statement 2: "Each time the portfolio manager of the Mid-Cap Mutual fund trades a stock, she executes the trade by buying or selling one-third of the position at a time, with the trades spread over three months.
The portfolio manager's action is a behavioral trait known as anchoring." The Pace portfolio manager's sale of all the energy stocks could be best described as an example of:
A. regret minimization.
B. conservatism (anchoring-and-adjustment).
C. gambler's fallacy.
Answer: C
Explanation:
Explanation/Reference:
Explanation:
Gamblers fallacy is a belief in extreme mean reversion. You could chink of ir as the "its due" syndrome as in, "He hasn't had a hit in 15 at-bats...he's due." Another example is flipping a coin and having it come up heads several times in a row. Someone who is subject to gambler's fallacy would start to think rails is "due" and begin to overestimate the probability of tails on the sixth Hip.
The fallacy also arises when investors inappropriately predict a reverse in a trend, such as the portfolio manager's erroneous assumption about oil prices. The manager starts to see the probability of a reversal as increasing in value as the sector increases in value. Anchoring incorporates recent events into future projections. (Study Session 3, LOS 7.a)

NEW QUESTION: 2
제조 조직에서 방출 된 폐수가 허용 한계를 충족하지 못했음을 발견했습니다.
문제를 해결하는 데 가장 효과적인 제어 기능은 무엇입니까?
A. 매일 많은 양의 깨끗한 물로 싱크대와 바닥 배수구를 세척하여 오염 물질을 희석합니다.
B. 허가서에 명시된 성분에 대해 배출 전에 물의 화학적 분석 수행.
C. 직원에게 시설 내 싱크대와 바닥 배수구를 통해 어떤 물질을 폐기 할 수 있는지 알려주는 게시 표지.
D. 전처리 시스템의 예방 유지 보수 프로그램 수립.
Answer: A

NEW QUESTION: 3
Welche der folgenden Vorteile bietet Wearable Technology gegenüber Standardzubehör?
A. Längere Akkulaufzeit
B. Benachrichtigungen über eingehende Anrufe
C. Möglichkeit, die Uhrzeit zu überprüfen
D. Einfaches Einstellen von Weckalarmen
Answer: B

NEW QUESTION: 4
Which of the following is true of both SWF and SVG file formats?
A. Both can be streamed.
B. Both describe two-dimensional vector graphics.
C. Both are open industry standards.
D. Both are W3C Recommendations.
Answer: B