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迷雾森林 · 2024年06月30日

问题

NO.PZ2023021602000051

问题如下:

Sergio Morales, CFA, believes he has found evidence that his supervisor is engaged in fraudulent activity involving a client's account. When Morales confronts his supervisor, he is told the client is fully aware of the issue. Later that day, Morales contacts the client and after disclosing the fraudulent activity, he is told by the client to mind his own business. Following the requirements of local law, Morales provides all of his evidence, along with copies of the client's most recent account statements, to a government whistleblower program. Has Morales most likely violated the CFA Institute Standards of Professional Conduct?

选项:

A.No

B.Yes, concerning Duties to Employers

C.Yes, concerning Preservation of Confidentiality

解释:

Because Morales believes his supervisor and potentially the client are engaged in fraudulent activity and following the requirements of local law, he has not violated Standard III(E)–Preservation of Confidentiality or Standard (V)–Duties to Employers.

这里不应该先向公司内部合规部门反馈吗?

1 个答案

王暄_品职助教 · 2024年06月30日

虽然通常建议投资专业人士首先通过公司内部渠道报告问题,但在这种情况下,由于Morales已经尝试了这种途径并且没有得到满意的解决,他选择遵循当地法律并报告他所怀疑的欺诈行为,这并不构成对准则违反,他的行为没有问题

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