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Examen

Series 66 – STC Chapter 1 Laws, Regulations, and Guidelines Overview | Complete Questions & Verified Answers (2025/2026 Update)

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This resource provides a full set of graded A+ verified questions and answers from Series 66 – STC Chapter 1: Laws, Regulations, and Guidelines Overview. It covers key exam topics including Blue-Sky Laws, the Uniform Securities Act (USA), the roles of broker-dealers, agents, investment advisers (IA), and investment adviser representatives (IARs). Also included are definitions of “person” under the USA, distinctions between principal vs. agency capacity, the ABC test for IAs, NASAA membership, NSMIA preemptions, and responsibilities of state Administrators. Designed as a comprehensive and up-to-date 2025/2026 exam prep tool for mastering regulatory foundations of the Series 66 exam.

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SERIES 66 - STC CH 1 - LAWS REGULATIONS AND
GUIDELINES OVERVIEW QUESTIONS AND
ANSWERS GRADED A+ 100% VERIFIED.


What rules govern the registration of an issue in any state in which it will be
offered? - CORRECT ANSWER - Blue-Sky Laws govern the registration of an issue in
any state in which it will be offered.


True/False: Blue-Sky Laws apply to broker-deatlers and agents operating within a
state. - CORRECT ANSWER - True. Blue-Sky Laws apply to the BD and agents
operating within a state.


How is a firm acting if it is trading for, or from, its own inventory? - CORRECT
ANSWER - As a principal/dealer is how a firm is acting if it is trading for, or from,
its own inventory


How is a firm acting if it effects trades on behalf of its customers, without taking
the other side of the trade? - CORRECT ANSWER - As an agent or broker is how
how a firm is acting if it effects trades on behalf of its customers, without taking
the other side of the trade.


True/False: A firm producing investment research for BDs to deliver to clients is
considered an IA (Investment Advisor) - CORRECT ANSWER - True. Since A-dvice is
being provided, as a B-usiness and C-ompensation is received, the "ABC" test is
met




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, True/False: The Uniform Securities Act (USA) is exactly the same in every state? -
CORRECT ANSWER - False. The USA is a model law, not the actual law of any state.


According to the USA, who is included under the term "person?" - CORRECT
ANSWER - Person is defined as any legal entity, including individuals
(clients/agents/IARs), BDs, IAs, issuers, corporations and partnerships


A securities firm that executes trades for its own account or the account of others
is deemed a ______________? - CORRECT ANSWER - A broker-dealer (BD) is what
a securities firm is deemed that trades for its own account or the account of
others


Who is the official that monitors and administers a state's securities laws? -
CORRECT ANSWER - The Administrator or Commissioner is the official that
monitors and administers a state's securities laws


Identify who is considered a person under the USA - CORRECT ANSWER - Business
entities, issuers, estates, governments, individuals (e.g. clients, IARs and agents)
are all considered a person under the USA


What is the general definition of an investment adviser? - CORRECT ANSWER - A
firm that provides advice/analyses regarding securities, as part of a business, and
for compensation is the general definition of an investment advisor


According to the USA, who is included under the term person? - CORRECT
ANSWER - Any legal entity, including individuals (clients/agents/IAs, issuers,
corporations and partnerships) are included under the term "person" according to
USA



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Información del documento

Subido en
28 de agosto de 2025
Número de páginas
5
Escrito en
2025/2026
Tipo
Examen
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Preguntas y respuestas
$14.49

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