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Manulife Wealth 30-Day New Registrant Training Program (ID) (MWI30DAYID2024)


Description
Welcome to your first 30 days with Manulife Wealth. Get up to speed with industry rules, regulations and best practices while you satisfy your mandatory 30-day training requirement.

This course is designed to be completed over a full 90-day period, with a different topic every week, allowing you to balance the learning with the onboarding experience with your new firm.
Contenu
  • Week 1: Foundations
  • Introduction to Canada's Financial Industry
  • Mutual Funds: An Introduction
  • Equity Investments
  • Fixed Income Investments
  • Week 2: Company Knowledge
  • Manulife Wealth - Product Knowledge
  • Manulife Wealth - Portfolio Planning
  • Manulife Wealth - Margin and Credit Policies
  • Manulife Wealth - Commissions, Compensation and Fees
  • Week 3: Ethics
  • Ethics
  • Vulnerable Clients
  • Week 4: Compliance
  • Anti-Money Laundering
  • AML Introduction (4:05)
  • Understanding Money Laundering (6:23)
  • How to Launder Money Part I (4:44)
  • How to Launder Money Part II (4:02)
  • How to Launder Money Part III (3:58)
  • Understanding Terrorist Financing (4:58)
  • Understanding Reporting Requirements (3:28)
  • What is a Suspicious Transaction Report? (6:00)
  • Red Flags of Money Laundering and Terrorist Financing (4:51)
  • Red Flags of Money Laundering for Securities Dealers (1:32)
  • Indicators Specific to Securities Dealers
  • Why Knowing Your Client Matters (5:32)
  • How to Verify the Identity of an Individual (11:39)
  • How to Verify an Entity (5:38)
  • Business Relationship Requirements (5:08)
  • Beneficial Ownership Requirements (3:36)
  • Third Party Determination Requirements (2:23)
  • Politically Exposed Persons (6:48)
  • Ongoing and Enhanced Monitoring (2:27)
  • AML Addendum
  • Conclusion (0:55)
  • Quiz: Anti-Money Laundering
  • Privacy Legislation
  • Privacy Legislation Introduction (1:24)
  • Understanding Personal Information and Privacy Legislation (2:14)
  • Understanding PIPEDA (2:03)
  • PIPEDA's 10 Fair Information Principles (2:18)
  • Principle 1: Accountability (1:24)
  • Principle 2: Identify the Purpose for Collecting Information (1:55)
  • Principle 3: Obtain Informed Consent (3:03)
  • Express and Implied Consent (1:24)
  • Exceptions to the Consent Principle (1:57)
  • Principle 4: Limit Collection (1:04)
  • Principle 5: Limit Use, Disclosure and Retention (2:48)
  • Principle 6: Be Accurate (1:00)
  • Principle 7: Use Appropriate Safeguards (4:38)
  • Principle 8: Be Open (1:48)
  • Principle 9: Give Individuals Access (4:02)
  • Principle 10: Provide Recourse (2:12)
  • How the Privacy Commissioner Handles Complaints (3:45)
  • Audits of Personal Information Management Practices (2:28)
  • Dealing with a privacy breach (5:43)
  • Québec Privacy Legislation Overview (3:49)
  • Québec Privacy Legislation
  • Quiz: Privacy Legislation
  • ESG Investment Fund Disclosure
  • Introduction to ESG Investment Fund Disclosure (3:11)
  • Understanding ESG (7:20)
  • Complaints to the OPC (2:12)
  • ESG Related Terms (3:57)
  • ESG Related Funds and Strategies (4:48)
  • Greenwashing Prologue (2:50)
  • Greenwashing (8:23)
  • Investment Fund Greenwashing (5:07)
  • ESG Fund Disclosure Guidance (0:53)
  • Fund Name Objectives Strategies (8:39)
  • Risk ratings and suitability (7:32)
  • Sales Communications (4:41)
  • Conclusion - ESG (1:51)
  • Quiz: ESG Investment Fund Disclosure
  • Insider Trading & Tipping
  • Introduction (4:46)
  • ImClone (5:24)
  • The Vagueness of Insider Trading (7:15)
  • Understanding the Key Elements of Insider Trading (7:45)
  • Tipping (3:51)
  • Front-Running (5:08)
  • Trade Surveillance Technology (3:28)
  • Know-Your-Client (KYC) (3:00)
  • Suspicious Trading Activity (2:47)
  • Creating Information Barriers (4:52)
  • Conclusion (3:00)
  • Quiz: Insider Trading & Tipping
  • Cyber Security Awareness Training
  • Introduction Cyber Security Awareness Training (4:27)
  • Evolving Cyber Attacks (2:09)
  • Cyber security today (2:30)
  • Employer protocols for cyber security (4:39)
  • Dealing with cyber security incidents (4:00)
  • Cyber threat actors (5:54)
  • Insider threats (2:27)
  • Cyber threat tools - Malware (8:43)
  • Malware distribution channels (3:12)
  • Phishing... with a P.H. (6:59)
  • Spear phishing and Business Email Compromises (BEC) (6:57)
  • Ransomware (8:14)
  • Portable Storage Devices (3:18)
  • Working remotely from home (2:47)
  • Video conferencing (2:51)
  • Social Media (2:42)
  • Passwords (8:02)
  • Quiz: Cyber Security
  • Client Focused Reforms (CFR)
  • CFR Introduction (1:36)
  • CFR background (3:57)
  • CFR Part I: Conflicts of Interest
  • COI Introduction (3:19)
  • Understanding conflicts of interest (6:58)
  • Addressing material conflicts of interest (5:28)
  • Reporting material conflicts to your dealer (4:49)
  • Disclosing conflicts of interest (7:18)
  • Got conflict? (4:27)
  • Conflicts from proprietary products (6:18)
  • Conflicts from third-party compensation (5:21)
  • Internal compensation, incentive practices and supervision (6:04)
  • Referral arrangements (4:45)
  • Outside business activities (6:56)
  • Serving on a board of directors (3:34)
  • Client-specific conflicts (4:30)
  • Conclusion: Conflicts of Interest (2:45)
  • Quiz: Conflicts of Interest
  • CFR Part II: Know Your Client (KYC)
  • KYC general obligations (6:30)
  • KYC information for multiple accounts and clients (2:14)
  • KYC for conducting a suitability determination (12:02)
  • Reluctance to share KYC information (2:36)
  • Confirming and maintaining KYC information (4:03)
  • KYC best practices and concluding points (2:53)
  • CFR Part II: Know Your Product (KYP)
  • KYP introduction and expectations (2:31)
  • Dealer KYP obligations (2:38)
  • KYP advisor obligations (5:23)
  • Quiz: RA, RDI, and Misleading Communications
  • Ongoing monitoring (1:21)
  • KYP and multiple registrants (2:24)
  • Client-directed trades, transfers and exemptions (1:37)
  • CFR Part II: Suitability Determination
  • Suitability overview (3:23)
  • When to make a suitability determination (3:43)
  • Portfolio approach to suitability (4:49)
  • Suitability factors (5:51)
  • Reassessing suitability (2:28)
  • Unsolicited and unsuitable orders (3:38)
  • Account appropriateness (3:55)
  • Conclusion (0:28)
  • Quiz: KYC, KYP and Suitability Determination
  • CFR Part III: Referrals, Relationship Disclosure, Misleading Communications
  • Referral arrangements (9:35)
  • Misleading communications (5:09)
  • Relationship disclosure information (10:40)
  • Disclosure of conflict of interest (8:07)
  • CFR Part IV: Protection of Vulnerable and Older Clients
  • Financial exploitation, vulnerable clients and mental capacity (6:40)
  • Trusted contact person (10:42)
  • Temporary holds (13:57)
  • Quiz: Protection of Older and Vulnerable Clients
  • CFR Part V: Outside Activities and Positions of Influence
  • Firm oversight of outside activities (1:24)
  • Conflicts and risks from outside activities (5:35)
  • Monitoring and supervising outside activities (7:34)
  • Individuals in a position of influence (11:50)
  • Quiz: Outside Activities and Positions of Influence
  • Week 5
  • Day 30!
  • Quiz: ESG Investment Fund Disclosure (clone) (clone)
Règles d'achèvement
  • Toutes les unités doivent être complétées
  • Conduit à un certificat d'une durée: Toujours