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Financial Adviser
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Scenario — Ethics & Conflicts
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Ethics & professional standards
Ethics & Code of Ethics
Values Questions
Corporations Act
Corporations Act
Privacy & AML/CTF
Privacy & AML/CTF
Superannuation & Insurance
Superannuation & Insurance
Other topics
Behavioural Finance
Scope & Licensing
True or False
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Resource List
Primary sources for the financial adviser exam
Legislation
Primary legislation
Corporations Act 2001 (Cth)
Chapter 7 — s911A, s912A, s946A, s961B, s947B, s1041H, Part 7.7A and Part 7.8A (DDO).
Privacy legislation
Privacy Act 1988 (Cth)
Australian Privacy Principles 1–13. Collection, use, disclosure, security, access and correction.
AML legislation
AML/CTF Act 2006 (Cth)
TTRs, SMRs, customer due diligence, structuring offences and AUSTRAC reporting obligations.
Tax legislation
Tax Agent Services Act 2009 (Cth)
TASA — TPB registration, tax (financial) advice definition, and the incidental advice exception.
Super legislation
SIS Act 1993 (Cth)
Conditions of release, sole purpose test, in-house asset rules and SMSF trustee obligations.
Regulatory guidance
ASIC guidance
ASIC Regulatory Guides
RG 104 (Licensing), RG 175 (Financial product advisers), RG 244 (Scaled advice), RG 271 (Dispute resolution).
Ethics & conduct
Code of ethics
Financial Planners and Advisers Code of Ethics 2019
Standards 1–12 and the five values — Trustworthiness, Competence, Honesty, Fairness, Diligence.
Behavioural finance
Kahneman — Thinking, Fast and Slow
Foundational text on cognitive and emotional biases, prospect theory and loss aversion.
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