Investment Banking Activities: Rapid Fire

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What this video covers

  • The three offering phases (pre-filing, waiting, post-effective) and what conduct is permitted in each, including when default effectiveness strikes on day 20
  • The Securities and Exchange Commission (SEC) disclosure-only review standard and why strict liability hits only the issuer while underwriters retain the due-diligence defense
  • How Regulation A creates freely tradable mini-initial public offering (IPO) securities versus how Regulation D produces restricted securities across its three tiers
  • Why Regulation S is completely separate from Regulation D and how a single sale to a U.S. person collapses the offshore exemption entirely
  • The 5% net-proceeds conflict-of-interest trigger that forces a Qualified Independent Underwriter (QIU) into the pricing process
  • The watch list versus restricted list protocol for information barriers, and the 4-business-day Form 8-K deadline versus the 24-hour Regulation Fair Disclosure (Reg FD) cure for unintentional leaks
  • The 20-business-day tender offer minimum, the disclose-or-abstain rule with no fiduciary requirement, and the exact bankruptcy priority waterfall where subordinated debt outranks all equity including preferred stock

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This video's complete written lesson is free to read in the CertFuel app, no signup wall. The complete Series 24 course also includes adaptive practice questions and spaced-repetition flashcards, free through the end of 2026.

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