Exam CMA Category-Manager Reviews - Category-Manager Test Questions

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CMA Category-Manager Exam Syllabus Topics:

SectionObjectives
Fact-Based Selling and Storytelling- Communication and Insights
  • 1. Category Review Presentation
  • 2. Actionable Shopper Insights
  • 3. Storytelling with Fact-Based Insights
Shopper and POS Data Analytics- Building Data Competency
  • 1. Shopper Data Analytics
  • 2. POS Data Analytics
  • 3. Panel Data Analysis
Category Health and Assessment- Category Performance Evaluation
  • 1. Root Cause Analytics
  • 2. Baseline and Incremental Drivers
  • 3. Category Health Assessment
Assortment and Space Management- Retail Optimization
  • 1. Store Clustering
  • 2. Geodemographic Data Usage
  • 3. Space Management Fundamentals
  • 4. Efficient Assortment Process
Retail Economics and Supply Chain- Business Operations
  • 1. Retailer Economics
  • 2. Category Manager Role in Supply Chain
  • 3. Supply Chain Fundamentals
Pricing and Promotion Analytics- Commercial Strategy
  • 1. Pricing Strategy and Analysis
  • 2. Predictive Analytics
  • 3. Promotion Analysis Techniques

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CMA Certified Professional Category Manager (CPCM) Sample Questions (Q50-Q55):

NEW QUESTION # 50
What is the primary role of POS data in category management?

Answer: D

Explanation:
The correct answer is D .
The CPCM course states that, at the intermediate level, category managers need to go deeper into data, draw insights from it, understand the category, and keep the shopper and shopper needs in mind. It also explains that once opportunities are identified, category tactics such as assortment, space, pricing, and promotion create action for the category. The CPCM POS Data course specifically includes scanned sales data, trends, out-of-stocks, sales, profitability, distribution, and shopper insights.
That makes option D the only complete answer. POS data is used to understand category performance and support decisions. It is not mainly a checkout employee-monitoring tool, so option A is wrong. It may contribute to out-of-stock or inventory-related analysis, but option B is too narrow. Option C is wrong because POS data does not predict future consumer trends by itself; prediction requires analysis, modeling, context, and interpretation.


NEW QUESTION # 51
What is Brand A's Item Share based on the information below?
* Brand A has 32 items
* Brand B has 15 items
* Total Category has 108 items

Answer: D

Explanation:
The correct answer is C .
Item Share measures the percentage of total category items represented by a brand, segment, or subcategory.
CMKG gives the efficient assortment formula as Item Share = number of items by subcategory / number of items in category .
For Brand A:
Brand A items = 32
Total category items = 108
Calculation:
32 ÷ 108 = 0.2963 = 29.6%
So Brand A's Item Share is 29.6 .
Option A, 13.9, is Brand B's share: 15 ÷ 108 = 13.9% . Option B, 46.8, incorrectly combines Brand A and Brand B: 47 ÷ 108 = 43.5% , so it does not match the correct item-share calculation. Option D, 15.7, is not supported by the given item counts.


NEW QUESTION # 52
What is the primary risk of poor shelf placement?

Answer: A

Explanation:
The correct answer is B .
Poor shelf placement primarily creates a shopper conversion problem . If shoppers cannot easily find, see, compare, or understand the products in the category, fewer shoppers who enter the category or aisle will convert into buyers. CMKG's space management guidance explains that retailer shelf strategies directly affect shelf layout and planogram objectives, including target shopper, shopper decision trees, category role, store clusters, and shelving standards. That means shelf placement is not cosmetic; it directly affects shopper navigation and category execution.
Option A is wrong because overstated promo ROI is a promotional measurement issue, not the primary consequence of poor shelf placement. Option C is wrong because increased inventory turns would be a positive result, not a risk. Option D is also positive; improved sell-through is what good shelf placement should support. The risk from poor placement is lower visibility, weaker findability, shopper frustration, and ultimately decreased shopper conversion .


NEW QUESTION # 53
Which feature of Excel's Data Analysis Toolpak is used to forecast sales based on variables like price, promotion, or seasonality?

Answer: C

Explanation:
The correct answer is D .
The CPCM course identifies regression models as one of the predictive analytics methods included in advanced category analytics. The official CPCM extract states that predictive analytics includes
"collaborative filtering, clustering algorithms, regression models and time-to-event models." Microsoft's Excel Analysis ToolPak documentation confirms that the Regression tool performs linear regression and allows analysis of how one dependent variable is affected by one or more independent variables. It also states that regression results can be used to predict performance.
This fits the question exactly. Sales is the dependent variable. Price, promotion, and seasonality are independent variables. Regression is the correct ToolPak feature for modeling that relationship.
Option A is wrong because K-Means clustering groups similar observations. Option B and C are time-series smoothing methods, but they do not directly model sales against multiple explanatory variables like price and promotion.


NEW QUESTION # 54
What does a high Sales per Point of Weighted Distribution (SPWD) indicate about a product's performance?

Answer: A

Explanation:
The correct answer is D .
SPWD is a velocity/productivity measure. A high SPWD means the product is generating strong sales for each point of weighted distribution it has. In other words, the product is performing well where it is available
, even if it does not yet have broad distribution.
NielsenIQ explains that sales per distribution point accounts for distribution and ranks products on sales productivity based on distribution levels. It also gives the key interpretation: a product with higher total sales is not necessarily more productive if it has much higher distribution. That is exactly why option D is correct.
Option A is the opposite of the correct interpretation. A high SPWD does not suggest underperformance; it suggests strong velocity. Option B is wrong because total revenue alone does not account for distribution.
Option C is wrong because broad availability is measured by distribution or ACV weighted distribution, not by SPWD. A product can have low distribution and still have high SPWD if it sells strongly in the outlets where it is carried.


NEW QUESTION # 55
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