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NISM Series-XIX-C Alternative Investment Fund Managers Certification Examination

 Chapter 01

NISM Series-XIX-C Alternative Investment Fund Managers Certification Examination

Chapter 01

NISM Series-XIX-C Alternative Investment Fund Managers Certification Examination

 Chapter 01
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    Q 1. What is exchange rate risk?
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    Q 2. What is the fundamental difference between saving and investment?
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    Q 3. What is the primary function of the securities market?
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    Q 4. What is the term used for the additional compensation demanded by investors for the uncertainty associated with future cashflows?
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    Q 5. How does liquidity risk affect the conversion of assets into cash?
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    Q 6. What is the impact of geopolitical tensions on market risk?
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    Q 7. What is the primary purpose of adjusting the nominal rate of return for expected inflation?
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    Q 8. Which category of investors includes family offices, high net worth individuals, and ultra-high net worth individuals?
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    Q 9. What is the primary function of the securities market?
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    Q 10. What does owning a security entitle an investor to?
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    Q 11. What is the market where securities are issued, bought, and sold referred to as?
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    Q 12. How does interest rate risk affect debt instrument investors?
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    Q 13. What does the pure time value of money represent?
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    Q 14. Which example illustrates high business risk?
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    Q 15. Which market segment allows issuers to raise capital by issuing securities for the first time?
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    Q 16. What adjustment is made to the real risk-free rate to obtain the nominal risk-free rate?
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    Q 17. What example illustrates exchange rate risk?
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    Q 18. What is the primary impact of borrowing on financial risk?
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    Q 19. What is the term used for the rate of return assuming no inflation and no uncertainty about future cashflows?
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    Q 20. How do investors mitigate country risk?
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    Q 21. What does the required rate of return represent?
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    Q 22. What is political risk?
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    Q 23. What is the investment objective primarily focused on capital preservation?
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    Q 24. Which market segment facilitates trades in securities already issued in the primary market?
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    Q 25. How is liquidity risk defined?
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    Q 26. What are the institutions that hold securities of investors in electronic form?
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    Q 27. What is the relationship between risk and return?
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    Q 28. Which investment objective is suitable for those seeking income at regular intervals?
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    Q 29. What characteristic indicates low liquidity risk?
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    Q 30. What factors determine the real risk-free rate?
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    Q 31. What should an investor consider before discussing desired returns?
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    Q 32. Which of the following is an example of a real asset?
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    Q 33. Who are individuals or organizations with surplus funds used to purchase securities?
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    Q 34. What distinguishes short-term assets from long-term assets?
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    Q 35. What factor influences the magnitude of risk premium demanded by investors?
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    Q 36. What term is used to describe situations where there is no knowledge about future variability in expected outcomes?
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    Q 37. Which investment has almost no liquidity risk?
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    Q 38. How does liquidity risk differ from business risk?
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    Q 39. How is the nominal rate of return calculated when compensating for expected inflation?
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    Q 40. What is the definition of a non-institutional investor?
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    Q 41. What type of investors pursue the goal of capital preservation?
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    Q 42. Who is more likely to prioritize short-term goals: savers or investors?
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    Q 43. How does interest rate risk affect the value of debt instruments?
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    Q 44. What determines the level of liquidity risk?
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    Q 45. What is the term for the rate of return required to maintain the purchasing power of an investment?
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    Q 46. Which investment objective focuses primarily on reducing the tax burden?
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