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100

This market is where previously issued securities trade between investors.

What is the secondary market?

100

“Long 2 XYZ Oct 50 Calls” means the investor:

What is Has the right to buy 200 shares at $50

100

This IRA type allows anyone with earned income to contribute.

What is a traditional IRA?

100

Free-riding occurs when a customer

What is Buys and sells without paying?

100

This rule requires mutual funds to deliver a prospectus before or at confirmation.

What is the prospectus delivery requirement?

200

Money market securities have this type of maturity.

What is a Short-term?


200

A stock trades at $30 and pays a quarterly dividend of $0.20. What is its current yield?



2.6%

200

This type of IRA allows tax-free withdrawals after age 59½ if rules are met.

What is a Roth IRA?

200

Hypothecation refers to:

What is a customer pledging securities as loan collateral?

200

This rule restricts selling just below a breakpoint to earn more commission.

What is a breakpoint sale violation?

300

To be a covered call, the seller must:



What is own the underlying shares?

300

The Bank Secrecy Act focuses mainly on:

What is AML compliance

300

These required distributions begin at age 73 for traditional IRAs.

What are RMDs (Required Minimum Distributions)?

300

A discretionary order allows the RR to choose:



What is Action, asset, or amount?

300

This regulation governs the initial issuance of securities to the public.

What is the Securities Act of 1933?

400

This underwriter commitment requires buying all unsold shares.

What is a Firm Commitment?

400

This trust terminates when the grantor dies.

What is a revocable trust?

400

This employer plan allows employees to make pre-tax salary contributions.

What is a 401(k)?

400

This signed document is required before margin trading may occur.

What is the margin agreement?

400

This rule limits how much a mutual fund may charge in distribution (12b-1) fees.

What is the FINRA 12b-1 fee limit?

500

These systems allow institutions to trade large blocks without showing quotes publicly.

What are dark pools?

500

 Regulation SP (Gramm-Leach-Bliley Act (GLBA)) requires firms to:

Protect customer privacy

500

Withdrawing retirement funds early usually results in this penalty.

What is a 10% early withdrawal penalty?

500

This is the minimum equity that must remain in a margin account.

What is the maintenance requirement?

500

This disclosure tells customers that margin accounts involve risk and may lose more than invested.

What is the margin risk disclosure statement?

600

This type of system electronically matches buy and sell orders anonymously.

What is an ECN (Electronic Communication Network)?

600

These accounts are used to hold employee retirement-plan assets.

What are qualified retirement plan accounts?

600

These IRA contributions are not tax-deductible, but qualified withdrawals are tax-free.

What are Roth IRA contributions?

600

 A municipal general obligation bond is backed by:

What is The issuer’s taxing authority?

600

A callable bond is MOST likely to be called when:



What Interest rates fall?

700

The length of time a shelf registration is valid.

What is 3 years?

700

Front-running is prohibited because it involves:



What is Trading ahead of customer orders?

700

 A bond quoted at 101.08 is priced at:


What is $1,010.80?

700

This type of order is placed entirely by the customer without firm input.

What is an unsolicited order?

700

This rule allows the sale of restricted stock under specific holding-period and volume limits.

What is SEC Rule 144?

800

The maximum civil penalty for insider trading.

What is three times the profit gained or loss avoided?

800

This account type is inappropriate for selling uncovered call options.

What is a fiduciary account?

800

This rollover must be completed within 60 days or it becomes taxable.

What is an indirect rollover?

800

A municipal bond paying tax-free interest is MOST suitable for

What is A retiree in a high tax bracket?

800

This act regulates mutual funds, UITs, and closed-end funds.

What is the Investment Company Act of 1940?

900

Short 2 XYZ Feb 80 Put

"Selling the right to sell 200 shares of XYZ stock at $80 strike price with an expiration date of February."

900

These three elements—action, asset, and amount—must be determined by the client.

What are the three elements required to avoid discretion?

900

This rule says an IRA can only be rolled over once every 12 months.

What is the one-per-year rollover rule?

900

This agreement allows a broker to lend a customer’s securities for short sales.

What is the loan consent agreement?

900

This rule ensures investors receive fair pricing when buying or selling municipal securities.

What is the MSRB fair pricing rule?

1000

What is a Direct Participation Program?

What is an investor buying ownership into an issuer and sharing in profits & losses?

1000

This trust is created after a person’s death and holds assets for distribution.

What is a testamentary trust?

1000

This retirement plan combines employer and employee contributions, often for small businesses.

What is a SIMPLE IRA?

1000

This notice is issued when equity falls below maintenance minimums.

What is a maintenance call?

1000

 A suitability determination must be made when

What is Opening an customers account?