Rsa Syllabus
Rsa Syllabus
Rsa Syllabus
(COURSE SYLLABUS)
SECOND SEMESTER 2017
NEW ERA UNIVERSITY COLLEGE OF LAW
GENERAL PRINCIPLES
2.1. Securities Regulation Code (R.A No. 8799) amending Revised Securities Act (BP.
No. 178)
2.2. Presidential Decree No. 902-A (as amended by P.D. 1653, 1758, 1799 and the code)
2.3. The Corporation Code (B.P. 68)
2.4. The Investment House Law (P.D. 129, amended by R.A. 8366)
2.5. The Financing Company Act (R.A. 8556)
2.6. Investment Company Act (P.D. 129, amended by R.A. No. 8366)
2.7. Foreign Investment Act (R.A. No. 7042)
2.8. Executive order No. 708
II. Securities
a. Investment Contracts
b. Derivatives
c. Commodity Futures Contract
a. Issuer
b. Broker
c. Dealer
d. Clearing Agency
e. Exchange
f. Pre-need Plans
g. Promoter
h. Prospectus
i. Registration statement
j. Uncertificated security
k. Underwriter
III. Registration
3.2. Exceptions
3.6. Liabilities
a. Reportorial Requirements
b. Unfair Use of Information (Section 23.2.)
c. Unfair Sale of Securities (Section 23.3.)
a. Wash Sales
a. Short Sale
a. Put
b. Call
c. Straddle
5.4. Fraudulent Transactions (Section 26)
a. Insider
b. Information is “Material Nonpublic”
c. Other unlawful Activities
6.1. Professionals
a. Broker
b. Dealer
c. Associated person of a broker or dealer
d. Salesman
6.2. Registration
a. Uncertificated Securities
b. Rules on Transfers of securities
c. Pledging Security (Section 45)