[{"data":1,"prerenderedAt":38},["ShallowReactive",2],{"q-sitca_law-115-1-005":3},{"exam":4,"examName":5,"chapterSlug":6,"question":7,"related":21},"sitca_law","投信投顧業務員資格測驗——投信投顧相關法規(含自律規範)","c10",{"id":8,"exam":4,"session":9,"qno":10,"question":11,"options":12,"answer":17,"chapter":18,"freq":17,"explanation":19,"difficulty":20},"sitca_law-115-1-005","115-1",5,"投信事業之經手人員如知悉其個人交易將與公司所管理之基金或全權委託帳戶為同一種股票之交易買賣，個人交易不得於該買賣交易前後一段時間內為之。但得事先獲得督察主管或其他由高階管理階層所指定之人書面批准，提早於前後幾日以上買入或賣出？",[13,14,15,16],"1 日","2 日","3 日","4 日",1,"從業人員行為準則與經理守則","依投信事業從業人員行為準則,經手人員知悉個人交易與公司管理之基金或全權委託帳戶為同一種股票買賣時,不得於該交易前後一定期間內為之;但經督察主管或高階管理階層指定之人書面批准,得提早於前後2日以上買入或賣出,故(B)正確。","hard",[22,26,30,34],{"id":23,"question":24,"qno":25},"sitca_law-114-3-035","依據「證券投資顧問事業從業人員行為準則」，證券投資顧問事業之經手人員於在職期間應定期彙總申報本人帳戶及利害關係人帳戶每一筆交易狀況，則利害關係人包括：",35,{"id":27,"question":28,"qno":29},"sitca_law-114-3-044","下列何者係「證券投資顧問事業從業人員行為準則」所稱之經手人員？甲.公司之負責人；乙.投資經理人；丙.非投資或分析部門之受僱人員；丁.公司員工依其職位知悉投資資訊之人",44,{"id":31,"question":32,"qno":33},"sitca_law-114-3-045","證券投資信託基金經理人與全權委託投資業務經理人應遵循事業所訂資訊及通訊設備使用管理規範，其內容何者正確？",45,{"id":35,"question":36,"qno":37},"sitca_law-115-1-034","投顧事業之經手人員於到職日起幾日內依公司所制定之制式表格申報本人帳戶及利害關係人帳戶持有國內上市、上櫃公司股票及具股權性質衍生性商品之名稱及數量？",34,1784190276609]