Standards of Practice Handbook.
2005
169
1932495339
131.67-AIMR
INVESTMENT ; INVESTMENT CRITERION ; CORPORATE FINANCE ; PROFESSIONAL ETHICS ; BANKING RESPONSIBILITY
No. | Call n° | Bar code | Commentary | |
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1 | [available] |
Contents : Contents
Preface
CFA Institute Code of Ethics and Standards of Professional Conduct
Standard I : Professionalism
A. Knowledge of the Law
B. Independence and Objectivity
C. Misrepresentation
D. Misconduct
Standard II : Integrity of Capital Markets
A. Material Nonpublic Information
B. Market Manipulation
Standard III : Duties to Clients
A. Loyalty, Prudence, and Care
B. Fair Dealing.
C. Suitability
D. Performance Presentation.
E. Preservation of Confidentiality
Standard IV : Duties to Employers
A. Loyalty
B. Additional Compensation Arrangements
C. Responsibilities of Supervisors
Standard V : Investment Analysis, Recommendations, and Actions
A. Diligence and Reasonable Basis
B. Communication with Clients and Prospective Clients
C. Record Retention
Standard VI : Conflicts of Interest
A. Disclosure of Conflicts
B. Priority of Transactions
C. Referral Fees
Standard VII : Responsibilities as a CFA Institute Member or CFA Candidate
A. Conduct as Members and Candidates in the CFA Program
B. Reference to CFA Institute, the CFA Designation, and the CFA Program
CFA Institute Standards of Practice Exam
Notes : Réserve – Ask a librarian
Language : English
Print : 9ème
Location : Nice Library
Material : Paper
Statement : Présent
Owner : Bibliothèque