CSC Exam 2 is best prepared with scenario-heavy practice. Aim to get comfortable making “best-fit” decisions quickly.
High-yield practice categories:
- portfolio decisions (constraints → allocation/rebalance action)
- managed products (mutual funds, ETFs, alternatives, structured products)
- tax/fee concepts (what changes the client’s outcome most)
Start practicing
Open CSC Exam 2 practice →
Recommended loop
- Pick a topic from the Syllabus.
- Do a short drill (10–20 questions).
- Turn each miss into a rule (for example: “time horizon short → reduce duration and volatility”).
- Do a weekly mixed set to force transfer across topics.