My prediction on the topic breakdown

AM: (Individual + Institutional)IPS + Behavorial + Asset Allocation = 35% Execution of Portfolio Decisions = 3% Monitoring and Rebalancing = 3% Performance Evaluation = 4% GIPS = 5% PM: Ethics = 2 item sets Economics = 1 item set Equity = 1 item set FI = 2 item sets Alternative Inv = 1 item set Risk Management = 1 item set Derivatives = 1 item set Portfolio Management in Global Context = 1 item set