Thursday, April 10, 2014

FINRA Broker Dealer Regulation - Investment Advisor Rules and Regulation

The following are the best written material on learning all the "ins and outs" of Regulations and Rules for FINRA Broker Dealers, Investment Advisors and general regulations.

This title is designed to provide an introduction and overview of broker-dealer regulation in the securities markets. It covers broker-dealer front office and back office issues as well as market regulation generally. It gives you with an understanding of basic concepts and the underlying regulatory scheme, providing an explanation of broker-dealer regulation generally, sales practices, analysts' conflicts of interest, civil liabilities, and arbitration. This title also provides an overview of industry self-regulation under FINRA (the Financial Industry Regulatory Authority).

This book is designed for those interested in learning the fundamentals of investment adviser regulation as set forth primarily in the Investment Advisers Act of 1940 and the rules and regulations promulgated by the Securities and Exchange Commission thereunder. In particular, it is targeted towards investment advisers and their chief compliance officers. However, those associated with mutual funds, hedge funds, private equity funds and collateralized debt obligation (CDO) funds will likely find it useful as well.

This title will help you acquire an understanding of the basic content and organization of federal and state securities law. An authoritative summary, it covers the essential background and current status of each major area, while keeping details and citations to a minimum. It discusses the regulations governing public offerings, public companies, securities businesses, and investment companies. It also explores sanctions, civil liabilities, and extraterritorial application. This edition includes recent developments including the Securities and Exchange Commission's 1933 Act offering reform, the new Financial Industry Regulatory Authority, credit rating agencies, and changes to the New York Stock Exchange specialist system.

Tuesday, November 22, 2011

Stock Trading Course

Professional trading system teaches beginners how to profit from Penny stock short term and long term trading.

Trading and Buying Penny Stocks

Stocks that do not trade on an exchange and are priced at $5 or less are known as penny stocks. Buying or investing in these stocks carries more risk than other securities, as they are normally new or emerging companies and the trading ability of them is usually limited to a fewer number of brokers who can fill penny stock trades.

These investments do not trade on the NYSE, AMEX or any other actual stock exchange. They also do not trade on NASDAQ. The trading, buying and investing of these shares is done through an Over The Counter market of firms acting as market makers. These market makers are brokerage firms that own or can readily provide the shares to investors and broker dealers.

A great course system. For serious people only who want to become millionaires in 24 months by following my exact strategy to make you a fortune in penny stocks.

Penny Stock Trading Course
- Lots of testimonials

Wednesday, August 10, 2011

CFP Training

American Investment Training provides online Certified Financial Planner Courses.

Prepare for the Certified Financial Planner Test by using our full range of CFP® program courses. The CFP certification and designation is an important program achievement and American Investment Training has the online course to prepare you to pass the Certified Financial Planner exam.

Courses

Our training courses for the CFP can include textbooks, CD test programs, audio lessons, and full online training. All Certified Financial Planner training methods comes with our full support (technical and program instructor).

Begin your career as a Certified Financial Planner professional. Prepare for the CFP exam.
Visit American Investment Training:
CFP Course Training

Sunday, August 7, 2011

Insurance License CE Courses - Life and Health Licensing Courses

American Investment Training provides online and approved insurance ce training for life licensing credits, health continuing education, property, fire and more.

Continuing education for insurance professionals is required based on the rules of your state insurance commission. These education regulations are in place so licensed agents and brokers are fully educated on an ongoing basis. The CE courses are professional and accredited.

The CE credits are calculated and are applied to your continuing education record.

Course Catalog includes training for:

Property and Casualty, Life, Health, Ethics and more....

CE credits will be obtained after the course programs are completed.

American Investment Training

Insurance License CE Courses - Life and Health and other training lines

Tuesday, August 2, 2011

CFP Course

American Investment Training provides a full range of CFP Designation and certification courses.

Prepare for the Certified Financial Planner Test by using our full range of CFP® program courses. The CFP certification and designation is an important program achievement and American Investment Training has the online course to prepare you to pass the Certified Financial Planner exam.

Courses

Our training courses for the CFP can include textbooks, CD test programs, audio lessons, and full online training. All Certified Financial Planner training methods comes with our full support (technical and program instructor).

CFP Courses

Friday, July 15, 2011

Series 24 Study Material

American Investment Training provides the very best in updated study material for FINRA exams, including the Series 24.



Study Book with over 600 pages. Chapter Exams after each section with detailed answers.

Over 1500 updated chapter and final exam questions in the books.
Includes seven simulated Final exams with detailed answers.
Computer CD Test Simulator - 7 Final Exams with detailed explanations. Over 1000 additional and updated questions.
Req: Windows 95 and higher includes Vista, XP and higher

The Series 24 exam is the license for FINRA NASD managers to supervise branch activities. Our Series 24 training course covers all of the topics that are needed to pass the Series 24 exam.

Series 24 Study Material

Wednesday, March 9, 2011

Attorney Series 7 broker

We are looking to partner up estate attorneys or any law firm with investment or insurance client potential. We can arrange for sharing of client revenue and possible licensing for yourself as a Series 7 or Series 65 Finanacial advisor or insurance agent.


This opportunity is best for:


This indepenent opportunity with our firm is best for people including:


Licensed and Producing Brokers
CPA's
Attorneys
Mortgage brokers
Real Estate agents
Insurance brokers
Pension and retirement planning consultants
Other financial sales people


American Investment Training
Independent Broker Alliance Contact