NISM 3A Securities Intermediaries Compliance (Non-Fund) Exam Notes

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  • Authorised Person Oversight: Brokers monitor agent activities.
  • Portfolio Manager Reports: Submit performance reports to clients.
  • Broker Capital Adequacy: Maintain prescribed net worth.
  • Client Fund Segregation: Keep client funds separate.
  • DMA Risk Controls: Ensure secure and compliant access.

NISM 3A Securities Intermediaries Compliance

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