Ethical and Professional Standards Flashcards

1
Q

Disciplinary Review Committee (DRC)

A

Is responsible for enforcement of the Code and Standards

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2
Q

Standards of Practice Council (SPC)

A

Is charged with maintaining and interpreting the Code and Standards and ensuring that they are effective

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3
Q

Standard I: Professionalism

A
  • A. Knowledge of the Law
  • B. Independence and Objectivity
  • C. Misrepresentation
  • D. Misconduct
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4
Q

Standard II: Integrity of Capital Markets

A
  • A. Material Nonpublic Information
  • B. Market Manipulation
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5
Q

Standard III: Duties to Clients

A
  • A. Loyalty, Prudence, and Care
  • B. Fair Dealing
  • C. Suitability
  • D. Performance Presentation
  • E. Preservation of Confidentiality
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6
Q

Standard IV: Duties to Employers

A
  • A. Loyalty
  • B. Additional Compensation Arrangements
  • C. Responsibilities of Supervisors
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7
Q

Standard V: Investment Analysis, Recommendations, and Actions

A
  • A. Diligence and Reasonable Basis
  • B. Communication with Clients and Prospective Clients
  • C. Record Retention
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8
Q

Standard VI: Conflicts of Interest

A
  • A. Disclosure of Conflicts
  • B. Priority of Transactions
  • C. Referral Fees
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9
Q

Standard VII: Responsibilities as a CFA Institute Member or CFA Candidate

A
  • A. Conduct as Members and Candidates in the CFA Program
  • B. Reference to CFA Institute, the CFA Designation, and the CFA Program
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10
Q

The Standards of Professional Conduct

A
  • Professionalism
  • Integrity of Capital Markets
  • Duties to Clients
  • Duties to Employers
  • Investment Analysis, Recommendations, and Actions
  • Conflicts of Interest
  • Responsibilities as a CFA Institute Member or CFA Candidate
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11
Q

Asset Manager Code of Professional Conduct

A
  • A. Loyalty to Clients
  • B. Investment Process and Actions
  • C. Trading
  • D. Risk Management, Compliance, and Support
  • E. Performance and Valuation
  • F. Disclosures
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