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  1. Home
  2. FINRA Certification
  3. Series63 Exam
  4. FINRA.Series63.v2024-04-08.q121 Dumps
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Question 66

A "notice filing" refers to

Correct Answer: B
Explanation
A "notice filing" refers to the filing by a federal covered investment adviser of forms filed with the SEC along with a consent to service of process with the state Administrator. The notice filing must be accompanied by the requisite state filing fee as well.
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Question 67

The Administrator may require a firm to supply it with any prospectus, pamphlet, advertisement, or other sales literature intended for prospective investors unless the security
I. will be sold only through an investment advisory firm.
II. is a federal covered security.
III. is issued by a state credit union.

Correct Answer: D
Explanation
Only Selections II and III are correct. The Administrator may require a firm to supply it with any prospectus, pamphlet, advertisement, or other sales literature intended for prospective investors unless the security is a federal covered security or is issued by a state credit union, both of which are on a longer list of exempted securities. It doesn't matter whether or not the securities will be sold to clients of an investment advisory firm.
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Question 68

You execute a stock transaction for a client on Thursday, September 23rd. The settlement date on the
order ticket will be

Correct Answer: D
If you execute a stock transaction for a client on Thursday, September 23rd, the settlement
date for that trade will be Tuesday, September 28th, which is T + 3, meaning three business days after the
trade date.
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Question 69

Mr. Bigwig, CEO of HiGrowth Corporation, meets with the president of BigFee Investment Bankers and
arranges for BigFee to underwrite an Initial Public Offering (IPO) for the firm. When the IPO comes to
market, GetErDone Broker-Dealers is part of the selling group, which handles the sale of the stock to the
public. In this scenario, which party is the broker?

Correct Answer: D
GetErDone Broker-Dealers is the broker in this scenario. GetErDone is simply finding buyers
for the securities and receives a commission for doing so. GetErDone is not itself purchasing the
securities in the scenario described. It would be considered unethical for the broker-dealer to do so since
they are required to make a bona fide public offering of all of the securities allotted to them for distribution
under NASAA Model Rules.
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Question 70

Which of the following would fall under the definition of "agent," as defined by the Uniform Securities Act
(USA)?

Correct Answer: D
None of the selections describe an "agent," as defined by the Uniform Securities Act (USA.)
Joe is not executing trades for clients of the broker-dealer, and clerical assistants are not classified as
agents. Agents must be individuals, so a firm like Freedom broker-dealers would not be considered an
agent. A bank is not an individual, and banks are even excluded from the definition of a broker-dealer.
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