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CPH Exam Correct Questions And Answers

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CPH Exam Correct Questions And Answers

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CPH Exam Correct Questions And
Answers

When are suitability requirements not applicable?Correct Answers For brokers who do
not provide investment advice or operate as a separate legal entity

How is a new product approved?Correct Answers After review from the New product
Committee

What are the ethical principles for a code of ethics?Correct Answers Trust, integrity,
justice, fairness, and honesty

What are the 5 Standards of Conduct?Correct Answers Duty of Care, Trustworthiness,
Honesty, and Fairness, Professionalism, Conduct in Accordance with Securities Acts,
Confidentiality

What falls under the Standard of Duty of Care?Correct Answers KYC, Due Diligence,
Unsolicited Orders

What falls under the Standard of Trustworthiness, Honesty, and Fairness?Correct
Answers Priority of Client Interests, Protection of Client Assets, Complete and Accurate
Information, Disclosure

What falls under the Standard of Professionalism?Correct Answers Client Orders,
Trades by Registered Individuals, Approved Securities, Personal Financial Dealings
with Clients, Personal Trading Activity, Continuous Education

What falls under the Standard of Conduct of Conduct in Accordance with Securities
Acts?Correct Answers Inside Information

What falls under the Standard of Confidentiality?Correct Answers Client Information,
Use of Confidential Information

When can SRO's and commissions share information?Correct Answers If it is in an
investigation

What are the fines under the Personal Information Protection and Electronic Documents
Act?Correct Answers $10,000 to $100,000

Where does the Personal Information Protection and Electronic Documents act not
apply due to similar legislation?Correct Answers BC, Alberta, and Quebec

,What is the main mandate of securities regulators?Correct Answers Promote the
Integrity of the Markets and Ensure Investor Protection

What are the 3 principles of securities regulation?Correct Answers Disclosure,
Registration, Enforcement

What is the maximum penalty for offences under the Ontario Securities Act?Correct
Answers Fine of 5 million and a 5 year prison term, additionally provinces can order
repayment of $100,000 to investors

What is the Disciplined Persons List?Correct Answers A list of those who have been
sanctioned for market misconduct

What is the integrated Market Enforcement Team?Correct Answers Cooperative effort
between the RCMP and the Federal government

What is the Joint Serious Offences Team?Correct Answers Joint effort between the
OSC and the RCMP

What is the CSA?Correct Answers Overseer of securities regulators that meets
quarterly in person and monthly by conference call

What is SEDAR?Correct Answers Electronic filing system for regulatory filings

What is SEDI?Correct Answers Insider reports

When should trades be reported to SEDI?Correct Answers Within 5 days

When should event reports be reported to SEDICorrect Answers Within 1 business day

What is the NRD?Correct Answers Database for registration that applies across
Canada

What is an AFR?Correct Answers Authorized Firm Representative, must submit
information to the NRD

When must a change regarding firms or individuals be submitted to the NRD?Correct
Answers Within 10 days of the change

When must a change regarding citizenship or employment be submitted to the NRD?
Correct Answers Within 30 days

What is the policy for short-term disability leaves with the NRD?Correct Answers Any
supervisory position leaves must be reported, but for regular employees nothing less
than a 3 month leave must be reported

, When must termination of employment be reported to the NRD?Correct Answers Within
10 days

When must material changes to registrants be reported to the NRD?Correct Answers
Within 10 days

When must material changes to registrants be reported to the employer?Correct
Answers Within 2 business days

What is the CTO National Database?Correct Answers Keeps a list of companies who
have failed to meet disclosure requirements and prohibits trading in those securities

How can you check the registration of any firm or individual?Correct Answers The NRS
(national registration search)

What is a National Instrument?Correct Answers Has been adopted by all CSA
jurisdictions

What is a multilateral instrument?Correct Answers Has not been adopted by one or
more CSA jurisdictions

What is the AMF's Financial Services Compensation Fund?Correct Answers
Reimburses victims of fraud in Quebec up to $100,000

What 2 organizations merged to create IIROC?Correct Answers Investment Dealers
Association and Market Regulation Services

What is the Investment Industry Association of Canada?Correct Answers An
organization that attempts to grow the industry. Not a regulatory body

What are the 4 goals of the Investment Industry Association of Canada (IIAC)?Correct
Answers Advocacy, Industry Profile, Member Support, and Market Advancement

How are Mutual Funds regulated in Quebec?Correct Answers AMF regulates the
mutual fund industry while CHAMBRE sets CE requirements and a code of ethics

What is the MFDA IPC?Correct Answers Covers $1 million per account after insolvency
of a MFDA member

How does registration work for a mutual fund that operates in both Quebec and another
jurisdiction?Correct Answers There is an agreement so that regulatory duplication will
not occur

What is the CDIC?Correct Answers Insures accounts and GIC's with a term of 5 years
or less up to $100,000 per institution

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Subido en
13 de agosto de 2025
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