Before starting Element 1, learn these basic terms. You will see them throughout the exam notes.

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📈 Markets & Investments Terms:

  • Securities β†’ Investments or financial instruments, such as stocks and bonds, that can be bought or sold.

  • Capital Market β†’ The financial marketplace where companies and governments raise money and investors buy and sell investments.

  • Canadian Securities Market β†’ Canada’s system of markets, firms, investors, and regulators involved in issuing and trading investments.

  • Equity Market β†’ The market where investors buy and sell ownership shares (stocks) of companies.

  • Debt Market β†’ The market where investors buy and sell debt investments, such as government and corporate bonds.

  • Market Volatility β†’ How much and how quickly investment prices move up and down.

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🏛️ Regulation & Investor Protection Terms:

  • Securities Regulation β†’ The laws and rules governing how investments are issued, sold, traded, and handled.

  • Securities Regulator β†’ A government authority responsible for administering and enforcing investment-related laws and protecting investors.

  • Market Integrity β†’ Making sure markets are fair, transparent, and free from manipulation and unfair trading.

  • Confidence in the Market β†’ Investors’ trust that financial markets are fair, reliable, and properly regulated.

  • Enforcement β†’ Investigating possible violations and taking action against people or firms that break the rules.

  • Dealer Conduct β†’ Rules and standards governing how dealers and representatives must behave when dealing with clients.

  • Gatekeeping β†’ The responsibility to identify and stop improper or harmful activities before they harm investors or markets.

  • Mandate β†’ The main purpose and responsibilities of an organization.

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🏢 Dealers & Investment Professionals Terms:

  • Investment Dealer β†’ A firm that can buy and sell investments for clients and provide other investment services.

  • Mutual Fund Dealer β†’ A firm authorized to sell mutual funds and provide related services to clients.

  • Registered Representative (RR) β†’ A registered investment professional who can provide investment services and recommendations within their permitted activities.

  • Compliance Officer β†’ A person who helps ensure the firm follows laws, regulatory rules, and internal policies.

  • Due Diligence β†’ Taking reasonable steps to investigate, verify, and understand something before making a decision or taking action.

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🏭 Issuers & Raising Money Terms:

  • Security Issuer β†’ A company, government, or organization that issues investments to raise money.

  • Security Distribution β†’ The process of selling newly issued securities to investors.

  • Public Offering β†’ When securities are offered for sale to the public to raise money.

  • Prospectus β†’ A document that provides investors with important information about an investment and its issuer before securities are offered to the public.

  • Disclosure β†’ Providing important information investors or clients need to make informed decisions.

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🏦 Financial Strength & Stability Terms:

  • Prudential Soundness β†’ Making sure a financial institution has enough financial resources and proper controls to operate safely.

  • Capital β†’ Financial resources a firm maintains to support operations and absorb potential losses.

  • Liquidity β†’ The ability to have or obtain enough cash to meet obligations when they are due.

  • Bank Soundness β†’ A bank’s ability to remain financially stable and operate safely.