Ethics & Professional Responsibility: Unethical Acts & Code of Ethics Obligations

$20.00

This course will review the unethical acts described in the NASAA’s model rule for unethical business practices of licensed investment adviser representatives, the SEC’s requirements for a supervised person under its Code of Ethics rule and other common compliance requirements for investment adviser representatives. The course will explore several case studies. This course provides one credit in the Ethics & Professional Responsibility category.

Description

This course will review the unethical acts described in the NASAA’s model rule for unethical business practices of licensed investment adviser representatives, the SEC’s requirements for a supervised person under its Code of Ethics rule and other common compliance requirements for investment adviser representatives. The course will explore several case studies. This course provides one credit in the Ethics & Professional Responsibility category.

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