Recorded Webinar : Professional Ethics for Investment Adviser Reps

$69.95

SKU: RIA089 Category:

Description

Time: 58 minutes

Description: During this webinar investment advisor representatives will be given an overview and general understanding of Rule 204A-1 of the Investment Advisers Act of 1940 (?Advisers Act?), which requires firms to develop and implement a Code of Ethics. However, the primary focus of this webinar is not to train the investment advisor firm on the requirements of Rule 204A-1 but rather to give the associate persons an understanding of why this rule exists and how it effects them. This webinar will review Section 206 of the Advisers Act, which imposes a fiduciary duty on investment advisors. It will provide details on what it means to be fiduciary and then provide examples of unethical behavior. This webinar is designed as a tool to assist investment advisors in providing on-going ethics training to its investment advisor representatives.