8-Organizations that help investors trade securities created by corporations and the government are called a. Financial intermediaries. b. Brokerage firms. c. Federal Reserve Boards. d. Banks. e. None of the above.
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8-Organizations that help investors trade securities created by corporations and the government are called
a. Financial intermediaries.
b. Brokerage firms.
c. Federal Reserve Boards.
d. Banks.
e. None of the above.
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- 11) QBG Geojit Securities LLC, licensed by the Capital Market Authority as a Financial Intermediary buying securities from issuing companies and issue to public. What is the “process”called in financial system? a. Direct process b. All c. Factoring process d. Intermediary Process8. Which of the following is FALSE about debt? A) Private debts include bank loans and private placements. B) Corporate bond issuance is similar to equity issuance, both requiring hiring underwriter(s). C) A company cannot issue corporate bonds unless it becomes public listed on a stock exchange first. D) A loan to a firm can be syndicated by multiple banks.18. Application for a bank loan and Issuance of securities by a corporation are part of situations as a common required in report by an independent public accountant concerning the fairness of a company's financial statementsSelect one:TrueFalse
- 7.What are the three major areas of accounting? 8.What is the purpose of the Financial Accounting Standards Board? 9.What groups consistently offer opinions about proposed FASB statements? 10.What is the function of the Securities and Exchange Commission? 11.What led to the passage of the Public Company Accounting Reform and Investor Protection Act of 2002? 12.What is the purpose of the Public Company Accounting Oversight Board?"The financial institution that assists in the initial sale of securities in the primary is the. select one: a . stock exchange b . None of these c. Commercial Bank e. Investment Bank14. The government normally sets the following to regulate the behavior of the players in the financial markets, except: a. Standardized forecasting and risk assessment b. Minimum capital requirements c. Control of new players d. Full disclosure of information
- Choose the correct.The Securities Exchange Act of 1934:a. Regulates the public trading of previously issued securities through brokers and exchanges.b. Prohibits blue sky laws.c. Regulates the initial offering of securities by a company.d. Requires the registration of investment advisersThe Securities Exchange Act of 1934a. Regulates the public trading of previously issued securities through brokers and exchanges.b. Prohibits blue sky laws.c. Regulates the initial offering of securities by a company.d. Requires the registration of investment advisers.29. Institutions that specialize in off-balance-sheet advisory services are called: A. depository financial institutions B. investment banks C. contractual institutions D. finance companies
- 19.The government regulates financial market and financial institutions for three main reasons. What are those reasons? I. To ensure the soundness of financial market and institutionII. To ensure the soundness of the financial systemIII. To increase the information available to the investorsIV. To increase the information available to the users.V. To improve control of the financial informationVI. To improve control of financial system. a. I, II, V b. I, III, IV c. II, III, IV d. II, III, VI16- Banks advise their clients relating to investment decisions as specialists. Which function and service of banks are referred to? a. Discounting of Bills of Exchange b. Miscellaneous Functions of the banks c. Agency Functions d. Investment of Funds6- The financial systems brings the saving of a. Government to Public finance b. Individuals & household to Corporate sector c. Private Companies to government d. Government to Corporate sector