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Wiley Series 66 Exam Review 2015 + Test Bank

Wiley Series 66 Exam Review 2015 + Test Bank The Uniform Combined State Law Examination

  • Author:
  • Publisher: John Wiley & Sons
  • ISBN: 9781118857144
  • Published In: October 2014
  • Format: Paperback , 300 pages
  • Jurisdiction: U.S. ? Disclaimer:
    Countri(es) stated herein are used as reference only

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  • Contents 
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    The go-to guide to acing the Series 66 Exam!

    Passing the Uniform Combined State Law Examination (Series 66) qualifies an individual to represent both a broker-dealer and an investment adviser. It covers such topics as client investment strategies and ethical business practices. Taken as a corequisite with the Series 7 Exam, candidates must complete the Series 66 Exam in order to register as an agent with a state securities administrator.

    Created by the experts at The Securities Institute of America, Inc., Wiley Series 66 Exam Review 2015 arms you with what you need to score high on this tough 100-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 66 Exam Review 2015 is your ticket to passing this difficult test on the first try—with flying colors!

  • ABOUT THE SERIES 66 EXAM XIII

    ABOUT THIS BOOK XVII

    ABOUT THE TEST BANK XIX

    ABOUT THE SECURITIES INSTITUTE OF AMERICA XXI

    CHAPTER 1

    DEFINITION OF TERMS 1

    Security 1

    Person 3

    Broker Dealer 4

    Agent 4

    Issuer 5

    Nonissuer 5

    Investment Adviser 6

    Pension Consultants 6

    Form ADV 7

    Investment Adviser Representative 8

    Solicitor 8

    Institutional Investor 8

    Accredited Investor 9

    Qualified Purchaser 9

    Private Investment Company 9

    Offer/Offer to Sell/Offer to Buy 9

    Sale/Sell 10

    Guarantee/Guaranteed 10

    Contumacy 10

    Federally Covered Exemption 10

    Option Contracts 11

    Call Options 11

    Put Options 11

    Futures and Forwards 12

    Secondary Market Orders 12

    Market Orders 13

    Buy Limit Orders 13

    Sell Limit Orders 13

    Stop Orders/Stop Loss Orders 14

    Buy Stop Orders 14

    Sell Stop Orders 14

    Pretest 15

    CHAPTER 2

    SECURITIES INDUSTRY RULES AND REGULATIONS 21

    The Securities Act of 1933 21

    The Securities Exchange Act of 1934 23

    Public Utilities Holding Company Act of 1935 25

    Financial Industry Regulatory Authority (FINRA) 25

    The Trust Indenture Act of 1939 26

    Investment Advisers Act of 1940 26

    Investment Company Act of 1940 26

    Retail Communications/Communications with the Public 27

    FINRA Rule 2210 Communications with the Public 28

    Blind Recruiting Ads 30

    Generic Advertising 30

    Tombstone Ads 31

    Testimonials 31

    Free Services 32

    Misleading Communications 32

    Securities Investor Protection Corporation Act of 1970 (SIPC) 32

    The Securities Acts Amendments of 1975 34

    The Insider Trading and Securities Fraud Enforcement Act of 1988 34

    Firewall 35

    The Telephone Consumer Protection Act of 1991 35

    National Securities Market Improvement Act of 1996 36

    The Uniform Securities Act 36

    Pretest 39

    CHAPTER 3

    ECONOMIC FUNDAMENTALS 43

    Gross Domestic Product 43

    Recession 45

    Depression 45

    Economic Indicators 45

    Economic Policy 47

    Tools of the Federal Reserve Board 47

    Reserve Requirement 47

    Changing the Discount Rate 48

    Federal Open Market Committee 48

    Money Supply 49

    Disintermediation 49

    Moral Suasion 50

    Fiscal Policy 50

    International Monetary Considerations 52

    Pretest 53

    CHAPTER 4

    CUSTOMER RECOMMENDATIONS, PROFESSIONAL CONDUCT, AND TAXATION 57

    Professional Conduct by Investment Advisers 58

    The Uniform Prudent Investors Act of 1994 58

    Fair Dealings with Clients 59

    Periodic Payment Plans 63

    Disclosure of Client Information 64

    Borrowing and Lending Money 64

    Developing the Client Profile 64

    Investment Objectives 66

    Risk vs. Reward 68

    Alpha 71

    Beta 71

    Fundamental Analysis 77

    Capitalization 80

    Tax Structure 81

    Investment Taxation 82

    Calculating Gains and Losses 82

    Cost Base of Multiple Purchases 83

    Deducting Capital Losses 84

    Wash Sales 84

    Taxation of Interest Income 84

    Inherited and Gifted Securities 85

    Donating Securities to Charity 85

    Trusts 85

    Gift Taxes 86

    Estate Taxes 86

    Withholding Tax 87

    Corporate Dividend Exclusion 87

    Alternative Minimum Tax (AMT) 87

    Taxes on Foreign Securities 88

    Pretest 89

    CHAPTER 5

    VARIABLE ANNUITIES, RETIREMENT PLANS, AND LIFE INSURANCE 93

    Annuities 93

    Equity-Indexed Annuities 96

    Annuity Purchase Options 97

    Accumulation Units 97

    Annuity Units 98

    Annuity Payout Options 98

    Factors Affecting the Size of the Annuity Payment 99

    The Assumed Interest Rate (AIR) 100

    Taxation 100

    Sales Charges 101

    Variable Annuity vs. Mutual Fund 101

    Retirement Plans 101

    Individual Plans 102

    Individual Retirement Accounts (IRAS) 102

    529 Plans 105

    Local Government Investment Pools (LGIPs) 105

    IRA Contributions 106

    IRA Accounts 106

    IRA Investments 106

    It Is Unwise to Put a Municipal Bond in an IRA 107

    Rollover vs. Transfer 107

    Keogh Plans (HR-10) 108

    Contributions 108

    Tax-Sheltered Annuities/Tax-Deferred Account 109

    Contributions 110

    Tax Treatment of Distributions 111

    Corporate Plans 111

    Non-Qualified Corporate Retirement Plans 111

    Payroll Deductions 111

    Deferred Compensation Plans 112

    Qualified Plans 112

    Types of Plans 112

    Rolling Over a Pension Plan 114

    Employee Retirement Income Security Act of 1974 (ERISA) 114

    ERISA 404C Safe Harbor 116

    Life Insurance 117

    Premiums and Death Benefits 118

    Assumed Interest Rate 120

    Variable Policy Features 120

    Sales Charges 122

    Life Settlements 122

    Pretest 125

    CHAPTER 6

    REGISTRATION OF BROKER DEALERS, INVESTMENT ADVISERS, AND AGENTS 129

    Registration of Broker Dealers 129

    Financial Requirements 130

    Agent Registration 130

    Registering Agents 132

    Changes in an Agent’s Employment 133

    Mergers and Acquisitions of Firms 133

    Renewing Registrations 133

    Canadian Firms and Agents 133

    Investment Adviser State Registration 134

    The National Securities Market Improvement Act of 1996 (The Coordination Act) 134

    Investment Adviser Representative 135

    State Investment Adviser Registration 136

    Capital Requirements 136

    Exams 137

    Advertising and Sales Literature 137

    Brochure Delivery 138

    The Role of the Investment Adviser 139

    Additional Compensation for an Investment Adviser 139

    Agency Cross Transactions 139

    Disclosures by an Investment Adviser 140

    Investment Adviser Contracts 141

    Additional Roles of Investment Advisers 142

    Private Investment Companies/Hedge Funds 142

    Fulcrum Fees 142

    Wrap Accounts 143

    Soft Dollars 143

    Pretest 145

    CHAPTER 7

    SECURITIES REGISTRATION, EXEMPT SECURITIES, AND EXEMPT TRANSACTIONS 151

    Exempt Securities 151

    Securities Registration 152

    Exempt Securities/Federally Covered Exemption 155

    Exempt Transactions 156

    Pretest 161

    CHAPTER 8

    STATE SECURITIES ADMINISTRATORS AND THE UNIFORM SECURITIES ACT 167

    Actions by the State Securities Administrator 167

    Actions Against an Issuer of Securities 169

    Rule Changes 169

    Investigations 171

    Civil and Criminal Penalties 171

    Jurisdiction of the State Securities Administrator 172

    Administrator’s Jurisdiction over Securities Transactions 172

    Right of Rescission 174

    Statute of Limitations 175

    Pretest 177

    ANSWER KEYS 183

    GLOSSARY OF EXAM TERMS 193

    INDEX 259

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