CMT Practice Test

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Multiple Choice Questions(MCQs)
Practice CMT Level 1 Topics
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Section I: Theory and History of Technical Analysis (40) 0
  • The Basic Principle of Technical Analysis — The Trend 10 0
  • Dow Theory 10 0
  • Introduction to Charts Part 1 10 0
  • Introduction to Charts Part 2 10 0
Section II: Charts, Trends, and Patterns (120) 0
  • Trends — The Basics 10 0
  • Breakouts; Stops and Retracements 10 0
  • Moving Averages 20 0
  • Bar Chart Patterns 10 0
  • Short-Term Patterns 10 0
  • Introduction to Volume Analysis 10 0
  • Volume: The Technician's Decryption Device 10 0
  • An Introduction to Volume Indicators 10 0
  • Confirmation 10 0
  • Candlestick Charting Essentials 10 0
  • Point-and-Figure Charting 10 0
Section III: Advanced Concepts in Charting and Trend Analysis (50) 0
  • Introduction to the Wave Principle 10 0
  • The Anatomy of Elliott Wave Trading 10 0
  • Measuring Market Strength 10 0
  • Foundations of Cycle Theory 10 0
  • Basics of Cycle Analysis 10 0
Section IV: Markets and Volatility (100) 0
  • Markets; Instruments; Data and the Technical Analyst 10 0
  • Equities 10 0
  • Indexes 10 0
  • Fixed Income/Bonds 10 0
  • Futures 10 0
  • Exchange-Traded Products (ETPs) 10 0
  • Foreign Exchange (Currencies) 10 0
  • Options 10 0
  • Understanding Implied Volatility 10 0
  • About the VIX Index 10 0
Section V: Behavioral Finance and Other Theories of Market Dynamics (80) 0
  • What is the Efficient Market Hypothesis 10 0
  • The Forerunners to Behavioral Finance 10 0
  • Noise Traders and the Law of One Price 10 0
  • Noise Traders as Technical Traders 10 0
  • Academic Approaches to Technical Analysis 10 0
  • Market Sentiment and Technical Analysis 10 0
  • Sentiment Measures from Market Data 10 0
  • Sentiment Measures from External Data 10 0
Section VI: Basic Statistics for the Technical Analyst (20) 0
  • Introduction to Descriptive Statistics 10 0
  • Introduction to Probability 10 0
Section VII: Perspectives on Technical Trading Systems (40) 0
  • Objective Rules and Their Evaluation 10 0
  • Being Right or Making Money 10 0
  • The Model Building Process 10 0
  • Relative Strength as a Criterion for Investment Selection 10 0
Practice CMT Level 2 Topics
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Section I: Chart Development and Analysis (150) 0
  • Charts - Understanding Data Intervals 10 0
  • Additional Charting Methods 10 0
  • Moving Averages 20 0
  • Time-Based Trend Calculations 10 0
  • Trend Systems Part 1 10 0
  • Trend Systems Part 2 10 0
  • Momentum and Oscillators 10 0
  • Price Trends and Volume 10 0
  • Volume and Breadth 10 0
  • Single Candle Lines 10 0
  • Multi-Candle Patterns 10 0
  • Candle Pattern Forecasting and Trading Techniques 10 0
  • Concepts in Cycle Theory 10 0
  • Applied Cycle Analysis 10 0
Section III: Topics in Behavioral Finance (40) 0
  • Prospect Theory 10 0
  • Perception Biases 10 0
  • Inertial Effects 10 0
  • Analyzing Sentiment in the Stock Market 10 0
Section IV: Statistical Applications for Technical Analysts (40) 0
  • Inferential Statistics 10 0
  • Correlation 10 0
  • Regression 10 0
  • Regression Analysis 10 0
Section V: Technical Methods and Market Selection (60) 0
  • Selection of Markets and Issues: Trading and Investing 10 0
  • Intermarket Analysis 10 0
  • Relative Strength Strategies for Investing 10 0
  • A Stock Market Model 10 0
  • A Simple Model For Bonds 10 0
  • Perspectives on Active and Passive Money Management 10 0
Section VI: Designing and Testing Technical Trading Systems (40) 0
  • The Statistics of Backtesting 10 0
  • The Scientific Method and Technical Analysis 10 0
  • Theories of Nonrandom Price Motion 10 0
  • Case Study of Rule Data Mining for the S&P 500 10 0
Practice CMT Level 3 Topics
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Section I: Risk Management (70) 0
  • System Design and Testing 10 0
  • Money and Portfolio Risk Management 10 0
  • System Evaluation and Testing 10 0
  • Practical Considerations 10 0
  • Risk Control 10 0
  • Statistical Analysis 10 0
  • Hypothesis Tests and Confidence Intervals 10 0
Section II: Asset Relationships (30) 0
  • Gold 10 0
  • Intermarket Indicators 10 0
  • A Unique Way to Visualize Relative Strength 10 0
Section III: Portfolio Management (30) 0
  • Fact; Fiction and Momentum Investing 10 0
  • Analyzing the Macro-Finance Environment 10 0
  • Portfolio Risk and Performance Attribution 10 0
Section IV: Behavioral Finance (60) 0
  • Behavioral Biases 10 0
  • Investor Psychology 10 0
  • Are Two Heads Better than One? 10 0
  • The Anatomy of a Bubble 10 0
  • De-Bubbling: Alpha Generation 10 0
  • Behavioral Techniques 10 0
Section V: Volatility Analysis (30) 0
  • The VIX as a Stock Market Indicator 10 0
  • Hedging with VIX Derivatives 10 0
  • Advanced Techniques 10 0
Section VI: Classical Methods (60) 0
  • Pattern Recognition 10 0
  • Multiple Time Frames 10 0
  • Candlestick Analysis 10 0
  • Progressive Charting 10 0
  • Bringing It All Together: Real-World Charts 10 0
  • Conclusions 10 0