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Wiley Series 24 Exam Review 2015 + Test Bank

Wiley Series 24 Exam Review 2015 + Test Bank The General Securities Principal Qualification Examination

  • 作者:
  • 出版商: John Wiley & Sons
  • ISBN: 9781118856925
  • 出版时间 October 2014
  • 规格: Paperback , 480 pages
  • 适应领域: U.S. ? 免责申明:
    Countri(es) stated herein are used as reference only

List Price: ¥2,418.00

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  • 描述 
  • 大纲 
  • 详细

    The go-to guide to acing the Series 24 Exam!

    Passing the General Securities Principal Qualification Examination (Series 24) qualifies an individual to act as a principal of a general securities broker-dealer and to supervise the firm and its agents. The exam covers the supervision of such areas as investment banking, underwriting, and research practices; trading and market-making; brokerage office operations; and sales practices and agents, as well as compliance with financial responsibility rules. Candidates must have passed the Series 62 or Series 7 prior to taking the Series 24 Exam.

    Created by the experts at The Securities Institute of America, Inc., Wiley Series 24 Exam Review 2015 arms you with everything you need to pass this intensive 150-question test. Designed to help you build and fine-tune your knowledge of all areas covered in the exam and to guarantee that you're prepared mentally and strategically to take the test, it provides:

    • Dozens of examples
    • Assorted practice questions for each subject area covered in the exam
    • Priceless test-taking tips and strategies
    • Helpful hints on how to study for the test, manage stress, and stay focused

    Wiley Series 24 Exam Review 2015 is your ticket to passing the Series 24 test on the first try—with flying colors!

  • ABOUT THE SERIES 24 EXAM XIX

    ABOUT THIS BOOK XXIII

    ABOUT THE TEST BANK XXIV

    ABOUT THE SECURITIES INSTITUTE OF AMERICA XXV

    CHAPTER 1 BROKERAGE OFFICE PROCEDURES 1

    Hiring New Employees 1

    Resignation of a Registered Representative 2

    Registration Exemptions 3

    Persons Ineligible to Register 4

    Disciplinary Actions Against a Registered Representative 5

    Termination for Cause 5

    Outside Employment 6

    Private Securities Transactions 6

    Gift Rule 6

    Sharing in a Customer’s Account 7

    Borrowing and Lending Money 8

    Order Tickets 8

    Executing an Order 8

    Becoming a Stockholder 10

    Violation 11

    Clearly Erroneous Reports 11

    Execution Errors 11

    Corporate and Municipal Securities Settlement Options 12

    When-Issued Securities 13

    Government Securities Settlement Options 14

    Accrued Interest 14

    Close Outs 15

    Customer Confi rmations 16

    Rules for Good Delivery 17

    Rejection of Delivery 18

    Reclamation 18

    Marking to the Market 19

    Customer Account Statements 19

    Carrying of Customer Accounts 20

    Dividend Distribution 20

    Pretest 25

    CHAPTER 2 RECORD KEEPING, FINANCIAL REQUIREMENTS, AND REPORTING 29

    Blotters 29

    General Ledger 30

    Customer Accounts 30

    Subsidiary (Secondary) Records 30

    Securities Position Book (Ledger) Stock Record 30

    Order Tickets 31

    Confi rmations and Notices 31

    Monthly Trial Balances and Net Capital Computations 31

    Employment Applications 31

    Records Required to Be Maintained for Three Years 31

    Records Required to Be Maintained for Six Years 32

    Records Required to Be Maintained for the Life of the Firm 32

    Requirement to Prepare and Maintain Records Under SEC 17a-3 and 17a-4 34

    Financial Requirements 34

    Aggregate Indebtedness 37

    Haircuts 38

    Box Counts 39

    Missing and Lost Securities 40

    The Customer Protection Rule 41

    The Early Warning Rule 44

    FINRA Financial Requirements 45

    Subordinated Loans 46

    Temporary Subordination Agreements 47

    Calculating Net Capital 47

    Fidelity Bonds 48

    Pretest 49

    CHAPTER 3 ISSUING CORPORATE SECURITIES 55

    The Prospectus 56

    The Final Prospectus 57

    Providing the Prospectus to Aftermarket Purchasers 57

    SEC Disclaimer 58

    Misrepresentations 58

    Tombstone Ads 59

    Free Riding and Withholding/FINRA Rule 5130 59

    Underwriting Corporate Securities 61

    Types of Underwriting Commitments 61

    Types of Off erings 63

    Awarding the Issue 64

    The Underwriting Syndicate 64

    Selling Group 64

    Underwriter’s Compensation 65

    Underwriting Spread 66

    Factors That Determine the Size of the Underwriting Spread 66

    Review of Underwriting Agreements by FINRA 66

    Underwriter’s Compensation 67

    Exempt Securities 68

    Exempt Transactions 69

    Rule 137 Nonparticipants 75

    Rule 138 Nonequivalent Securities 75

    Rule 139 Issuing Research Reports 75

    Rule 415 Shelf Registration 76

    Securities Off ering Reform Rules 77

    SEC Rule 405 77

    Additional Communication Rules 78

    Pretest 81

    CHAPTER 4 TRADING SECURITIES 85

    Types of Orders 85

    The Exchanges 89

    Priority of Exchange Orders 90

    The Role of the Specialist/DMM 90

    Crossing Stock 93

    Do Not Reduce (DNR) 93

    Adjustments for Stock Splits 94

    Stopping Stock 95

    Commission House Broker 95

    Two-Dollar Broker 95

    Registered Traders 96

    Super Display Book (SDBK) 96

    Short Sales 96

    Affirmative Determination 97

    Regulation SHO 97

    Rule 200 Definitions and Order Marking 98

    Rule 203 Security Borrowing and Delivery Requirements 99

    Threshold Securities 100

    Block Trades 101

    Trading Along 101

    Circuit Breakers 102

    Limit Up Limit Down (LULD) 102

    Listing Requirements for the NYSE 103

    Reading the Consolidated Tape 104

    Exchange Qualifiers 105

    Over-the-Counter/Nasdaq 106

    Market Centers 118

    SEC Regulation NMS 119

    SEC Regulation ATS 119

    Nasdaq International 120

    Non-Nasdaq OTCBB 121

    Pink Sheets 121

    Third Market 122

    Nasdaq Market Center for Listed Securities 122

    Fourth Market 123

    Nasdaq Listing Standards 123

    Market Maker Regulations and Responsibilities 124

    Times for Entering a Quote 124

    Withdrawing Quotes 126

    Handling and Displaying Customer Limit Orders 128

    The Order Audit Trail System (OATS) 130

    The Manning Rule 130

    Automated Confirmation System (ACT)/Trade Reporting Facility (TRF) 131

    ACT Trade Scan 132

    Nasdaq Trade Reporting Facility (TRF) 132

    Step Out Trades 136

    Market Making During Syndication 136

    Regulation M, Rule 101 137

    Penalty Bids 137

    Regulation M, Rule 102 138

    Regulation M, Rule 103 138

    Passive Market Makers’ Daily Purchase Limit 139

    Regulation M, Rule 104 139

    Syndicate Short Positions 140

    Regulation M, Rule 105 141

    Trade Reporting and Compliance Engine (TRACE) 141

    Broker vs. Dealer 143

    FINRA 5 Percent Markup Policy 144

    Markups/Markdowns When Acting as a Principal 144

    Riskless Principal Transactions 145

    Proceeds Transactions 146

    Firm Quote Rule 146

    Trade Complaints Between Members 147

    Arbitrage 148

    Pretest 149

    CHAPTER 5 RECOMMENDATIONS TO CUSTOMERS 155

    Investment Objectives 156

    Capital Asset Pricing Model (CAPM) 158

    Risk vs. Reward 158

    Alpha 160

    Beta 161

    Developing the Client Profi le 161

    Professional Conduct when Making Recommendations 162

    Recommending Mutual Funds 163

    Periodic Payment Plans 164

    Mutual Fund Current Yield 164

    Fair Dealings with Customers 164

    Recommendations to an Institutional Customer 168

    Short Sales in Connection with Recommendations 169

    Issuing Research Reports 169

    Regulation FD 172

    Pretest 173

    CHAPTER 6 GENERAL SUPERVISION 177

    The Role of the Principal 177

    Supervisor Qualifications and Prerequisites 178

    Continuing Education 179

    Tape Recording Employees 180

    Heightened Supervisory Requirements 181

    Information Obtained from an Issuer 182

    Customer Complaints 182

    Investor Information 183

    Member Offices 183

    Annual Compliance Review 185

    Business Continuity Plan 185

    Currency Transactions 185

    The Patriot Act 185

    U.S. Accounts 187

    Foreign Accounts 187

    Pretest 189

    CHAPTER 7 CUSTOMER ACCOUNTS 193

    Holding Securities 195

    The Depository Trust Company (DTC) 196

    Mailing Instructions 197

    Individual Account 197

    Joint Account 197

    Joint Tenants with Rights of Survivorship (JTWROS) 197

    Joint Tenants in Common (JTIC) 198

    Transfer on Death (TOD) 198

    Death of a Customer 198

    Corporate Accounts 199

    Trust Accounts 199

    Partnership Accounts 200

    Trading Authorization 200

    Operating a Discretionary Account 200

    Managing Discretionary Accounts 201

    Third-Party and Fiduciary Accounts 201

    Uniform Gifts to Minors Act (UGMA) 203

    Accounts for Employees of Other Broker Dealers 205

    Numbered Accounts 205

    Prime Brokerage Accounts 205

    Account Transfer 206

    Margin Accounts 207

    Guaranteeing a Customer’s Account 208

    Day Trading Accounts 208

    Commingling Customer’s Pledged Securities 209

    Wrap Accounts 209

    Regulation S-P 209

    Pretest 211

    CHAPTER 8 MARGIN ACCOUNTS 215

    Regulation of Credit 215

    House Rules 218

    Establishing a Long Position in a Margin Account 218

    An Increase in the Long Market Value 219

    Special Memorandum Account (SMA) Long Margin Account 221

    A Decrease in the Long Market Value 222

    The Minimum Equity Requirement for Long Margin Accounts 223

    Establishing a Short Position in a Margin Account 224

    A Decrease in the Short Market Value 225

    An Increase in the Short Market Value 226

    The Minimum Equity Requirement for Short Margin Accounts 227

    Margin Requirements for Day Trading 228

    Combined Margin Accounts 229

    Portfolio Margin Accounts 230

    Pretest 231

    CHAPTER 9 INVESTMENT COMPANIES 235

    Investment Company Philosophy 235

    Types of Investment Companies 236

    Open-End vs. Closed-End Funds 237

    Exchange-Traded Funds (ETFs) 238

    Exchange Traded Notes (ETNs) 238

    Diversifi ed vs. Nondiversified 239

    Investment Company Registration 240

    Registration Requirements 240

    Investment Company Components 242

    Mutual Fund Distribution 244

    Selling Group Member 245

    Distribution of No-Load Mutual Fund Shares 245

    Distribution of Mutual Fund Shares 245

    Mutual Fund Prospectus 245

    Additional Disclosures by a Mutual Fund 247

    Anti-Reciprocal Rule 247

    Money Market Funds 248

    Valuing Mutual Fund Shares 248

    Changes in the NAV 249

    Sales Charges for Open-End Funds 250

    Sales Charges for Closed-End Funds 250

    Front-End Loads 250

    Back-End Loads 251

    Other Types of Sales Charges 251

    12B-1 Fees 252

    Calculating a Mutual Fund’s Sales Charge Percentage 253

    Finding the Public Off ering Price 253

    Sales Charge Reductions 254

    Breakpoint Schedule 254

    Letter of Intent 255

    Breakpoint Sales 255

    Rights of Accumulation 255

    Automatic Reinvestment of Distributions 256

    Combination Privileges 256

    Conversion or Exchange Privileges 257

    30-Day Emergency Withdrawal 257

    Voting Rights 258

    Yields 258

    Portfolio Turnover 258

    Voluntary Accumulation Plans 259

    Dollar Cost Averaging 259

    Contractual Accumulation Plans 260

    Hedge Funds 261

    Pretest 263

    CHAPTER 10 VARIABLE ANNUITIES AND RETIREMENT PLANS 267

    Annuities 267

    Annuity Purchase Options 271

    Accumulation Units 272

    Annuity Units 272

    Annuity Payout Options 272

    Factors Affecting the Size of the Annuity Payment 274

    Taxation 275

    Sales Charges 275

    Variable Annuity vs. Mutual Fund 275

    Retirement Plans 275

    Individual Plans 276

    Individual Retirement Accounts (IRAs) 276

    Keogh Plans (HR-10) 281

    Tax-Sheltered Annuities (TSAs) and Tax-Deferred Accounts (TDAs) 282

    Corporate Plans 284

    Employee Stock Ownership Plans (ESOPs) 286

    Profit Sharing Plans 286

    401(k)s and Thrift Plans 287

    Rolling Over a Pension Plan 287

    Employee Retirement Income Security Act of 1974 (ERISA) 287

    Pretest 289

    CHAPTER 11 SECURITIES INDUSTRY RULES AND REGULATIONS 293

    The Securities Exchange Act of 1934 293

    The Securities and Exchange Commission (SEC) 294

    Extension of Credit 295

    Trading Suspensions 295

    Issuers Repurchasing Their Own Securities 295

    Tender Offers 297

    Stockholders Owning 5 Percent of An Issuer’s Equity Securities 298

    The National Association of Securities Dealers (NASD) 298

    Becoming a Member of FINRA 300

    Foreign Broker Dealers 302

    Registration of Agents/Associated Persons 302

    Retiring Representatives/Continuing Commissions 303

    State Registration 303

    Retail Communications/Communications with the Public 303

    FINRA Rule 2210 Communications with the Public 304

    Broker Dealer Websites 307

    Blind Recruiting Ads 307

    Generic Advertising 308

    Tombstone Ads 308

    Testimonials 309

    Free Services 309

    Misleading Communications 309

    Securities Investor Protection Corporation Act of 1970 309

    Customer Coverage 310

    The Securities Acts Amendments of 1975 311

    The Insider Trading and Securities Fraud Enforcement Act of 1988 311

    Firewall 312

    The Telephone Consumer Protection Act of 1991 312

    The Penny Stock Cold Call Rule 313

    Violations and Complaints 314

    Resolution of Allegations 314

    Minor Rule Violation 314

    Electronic Blue Sheets 315

    Mediation 316

    Code of Arbitration 316

    The Arbitration Process 316

    Political Contributions 318

    Investment Adviser Registration 319

    Investment Adviser Representative 319

    The National Securities Market Improvement Act of 1996 320

    Investment Adviser Registration 321

    Investment Adviser Capital Requirements 321

    Exams for Investment Advisers 321

    Investment Adviser Advertising and Sales Literature 322

    Investment Adviser Brochure Delivery 323

    Soft Dollars 323

    Broker Dealers on the Premises of Other Financial Institutions 324

    The Uniform Securities Act 325

    Sarbanes-Oxley Act 326

    SEC Regulation S-K 327

    SEC Regulation M-A 328

    The Hart-Scott-Rodino Act 329

    FINRA Rule 2290 (Fairness Opinion) 330

    SEC Regulation S-X 330

    Pretest 333

    ANSWER KEYS 339

    APPENDIX 349

    GLOSSARY OF EXAM TERMS 371

    INDEX 437

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