A Guide to Ethics in Investments

Explains the importance of trustee duties, custody of client assets, and recognizing the penalties for violating fiduciary duties. Explores avoiding conflicts of interest and covers information on the Uniform Prudent Investor Act (UPIA). Offers guidelines on ethical behavior related to self-dealing, equal treatment of accounts, and soft dollar services.

Learning Objectives

After completing this course, students will be able to:

  • Describe laws that pertain to ethical behavior for an investment manager
  • Identify trustee duties relating to investment activities and penalties for violating fiduciary duties
  • Describe common violations of conflict of interest when managing investments
  • Explain prudent investor guidelines, including the prudent man standard, the prudent expert standard, and the Uniform Prudent Investor Act

Audience

Trust officers and other trust department personnel.

Course Credits

ICB Certifications: 1.25 CTFA

ABA Certificates: This course applies to the ABA Certificate in Trust: Foundational​.

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Course / Seminar Type: Self-Paced Online
Course / Seminar Category: Wealth Management & Trust
Course / Seminar Code: ABA
Course / Seminar Start Date:
Course / Seminar Price: $95
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