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About

The general concept of conflicts of interest has been the source of much discussion for decades, possibly even centuries. We all come across situations in our everyday lives where we are in a position of conflict, and the investment industry is no different. Registered firms and individuals need to manage and properly deal with conflicts of interests when they arise, which they will from time to time.

In this course, we discuss conflicts of interest in the context of the Client Focused Reforms (CFRs) and the corresponding amendments to National Instrument 31-103. We describe the various types of conflicts and explain how to manage them in the best interests of the client.

Who should enrol?

  • Investment Advisors
  • Mutual Fund Representatives
  • Exempt Market Dealing Representatives
  • Wealth Managers
  • Individuals who are subject to CE compliance requirements

Benefits

The Conflicts of Interest online mini-course course meets the CSA’s CFR training mandate as well as satisfying continued education compliance requirements for CIRO and other jurisdictions.