Investment Adviser Representative Supervision

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What this video covers

  • Why written compliance policies are necessary but not sufficient, and what "adopt and implement" actually means on the exam
  • The three requirements for a Chief Compliance Officer (CCO): competent and knowledgeable, sufficiently senior to enforce policies, and identified on Form ADV Part 1
  • Why the CCO does not need to be an outside consultant, hold a specific license, or have a minimum number of years of experience
  • Why the annual compliance review must be documented in writing, and why oral presentations fail the requirement
  • How monitoring personal securities transactions catches conflicts outside client files, including front-running and scalping
  • The distinction between front-running (trading before a known client order to capture price movement) and scalping (creating artificial demand through recommendations to inflate a personal position's value)
  • Why "I didn't know" is never a defense for failure to supervise, and the two-part test for reasonable supervision (written procedures plus active enforcement)

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This video's complete written lesson is free to read in the CertFuel app, no signup wall. The complete Series 65 course also includes adaptive practice questions and spaced-repetition flashcards, free through December 31, 2026.

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