Explore the regulatory framework governing Direct Participation Programs (DPPs) with a focus on the roles of FINRA and the SEC. Learn about advertising rules, communication guidelines, and key regulations impacting DPP offerings.
Explore the essential retention periods for securities records, including compliance with SEC Rule 17a-4 and FINRA guidelines, to ensure regulatory adherence and avoid penalties.
Explore the comprehensive reporting requirements under the Securities Exchange Act of 1934, including Form 10-K, Form 10-Q, and Form 8-K, essential for Series 7 Exam preparation.
Explore the intricacies of insider trading rules, including definitions, Rule 10b-5 provisions, penalties, and real-world examples. Essential for Series 7 Exam preparation.
Explore the Investment Company Act of 1940, its regulations, requirements, and compliance considerations for mutual funds and closed-end funds. Essential knowledge for Series 7 Exam preparation.
Master the Investment Advisers Act of 1940 for the Series 7 Exam. Understand key regulations, registration requirements, fiduciary duties, and exemptions for investment advisers.
Explore the Dodd-Frank Wall Street Reform Act's impact on financial stability, systemic risk regulation, consumer protection, and derivatives oversight. Essential knowledge for Series 7 Exam success.
Explore the comprehensive role of FINRA in regulating the securities industry, including oversight responsibilities, enforcement of rules, and administration of qualification exams.
Explore the role of the Federal Reserve Board (FRB) in monetary policy and securities regulation, including its influence on bank holding companies and margin requirements.
Explore the intricacies of arbitration and mediation procedures in the securities industry, focusing on FINRA's dispute resolution mechanisms. Understand the processes, benefits, and implications for firms, employees, and customers.
Explore the critical role of disclosure obligations in managing conflicts of interest within the securities industry. Learn how transparency and ethical practices safeguard client interests and ensure compliance with regulatory standards.
Explore the intricacies of retail communications in the securities industry, focusing on compliance standards, principal approval, and FINRA filing requirements. Learn how to craft compliant communications to meet regulatory standards.
Master the rules and best practices for using projections and performance data in communications with customers. Learn about the prohibition on implied guarantees, requirements for historical performance, and guidelines for using charts and graphs in the Series 7 Exam preparation.
Understand the notification and approval requirements for outside business activities (OBAs) for securities professionals. Learn the process, firm responses, and how to complete an OBA disclosure form.
Explore the SEC Guidelines for Business Continuity Planning (BCP) within the securities industry, focusing on regulatory expectations, best practices, and practical examples to ensure robust and compliant BCPs.
Master the Reserve Account Computations for the Series 7 Exam with detailed insights into periodic computations, reserve formula, and practical examples.
Explore the comprehensive process of selecting arbitrators in FINRA arbitration, including the roles of public and non-public arbitrators, panel composition, and strategic tips for ranking and striking arbitrators.
Explore the Just and Equitable Principles of Trade in the securities industry, focusing on ethical standards, examples of unethical practices, and regulatory expectations.
Explore the intricacies of private securities transactions, often referred to as 'selling away,' within the context of FINRA Rule 3280. Learn about compliance requirements, the necessity of prior written notice, firm supervision, and recordkeeping responsibilities.
Explore the intricacies of insider trading, its legal framework, penalties, and responsibilities of securities professionals. Learn how to identify and prevent insider trading violations.
Explore Regulation S-P's role in safeguarding consumer privacy, including key requirements for privacy notices, opt-out rights, and information security measures.
Master the intricacies of gifts, gratuities, and non-cash compensation regulations in the securities industry. Understand FINRA Rule 3220, limitations, exceptions, and best practices for compliance.
Explore the intricacies of front-running in securities trading, its impact on market integrity, and the regulatory framework under FINRA Rule 5270. Learn about the ethical considerations and legal implications to prepare for the Series 6 Exam.