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Basic Question 2 of 8

One focus of regulators is regulation and monitoring of the safety and soundness of financial institutions in order to promote financial stability, reduce system-wide risks, and protect customers of financial institutions. This is referred to as:

A. prudential supervision.
B. market integrity.
C. fairness.

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I just wanted to share the good news that I passed CFA Level I!!! Thank you for your help - I think the online question bank helped cut the clutter and made a positive difference.
Edward Liu

Edward Liu

Learning Outcome Statements

describe anticompetitive behaviors targeted by antitrust laws globally and evaluate the antitrust risk associated with a given business strategy;

CFA® 2024 Level II Curriculum, Volume 1, Module 10.