Hello,
I’m working on the June Mock Exam. When a CFA member interviews for a position, he purposely did not disclose a fraud he committed in college years ago. Would that CFA member violate the CFA Standards? Did he violate misrepresentation, conflict of interest, or misconduct? I’ve seen this type of problems a few times on practice questions but is still unclear.
Thanks
I’m working on the June Mock Exam. When a CFA member interviews for a position, he purposely did not disclose a fraud he committed in college years ago. Would that CFA member violate the CFA Standards? Did he violate misrepresentation, conflict of interest, or misconduct? I’ve seen this type of problems a few times on practice questions but is still unclear.
Thanks