Securities and Futures

HKSI Licensing Examination: Which Papers Do You Need? RA Mapping, All 17 Papers and Official Pass Rates | 2026

PickMyQuiz
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HKSI Licensing Examination: Which Papers Do You Need? RA Mapping, All 17 Papers and Official Pass Rates | 2026

搜「HKSI」、「證券牌考試」或者「sfc 1號牌考試」嘅人,十居其九想知同一件事:我究竟要考邊幾張卷?呢個問題冇一個統一答案——證券及期貨從業員資格考試(HKSI Licensing Examination,簡稱 LE)合共十七張卷,你要考邊幾張,取決於你申請邊類受規管活動(Regulated Activity,RA),以及你係持牌代表(LR)負責人員(RO)。本文按香港證券及投資學會官方資料整理完整對照表,再用官方公布嘅合格率同 PickMyQuiz 三個 HKSI 題庫累計 279,882 次練習作答,告訴你邊張卷紙上最難、邊張實際操落去最難——兩者唔一樣。

一、HKSI LE 同 SFC 牌照嘅關係

證監會(SFC)發牌,香港證券及投資學會(HKSI Institute)辦考試。你考 LE 唔等於攞到牌——LE 係證監會《勝任能力指引》下證明本地監管知識及認可行業資格嘅考試途徑;通過之後仍然要向證監會提交牌照申請,並符合學歷、行業經驗同適當人選(fit and proper)要求。下表列嘅係一般標準路徑,個別申請人可能因其他認可資格或指引第 4.4 段嘅豁免而唔使考齊全部卷。

牌照分兩個身分,考卷要求唔同:

  • 持牌代表(Licensed Representative,LR)——實際執行受規管活動嘅前線人員。
  • 負責人員(Responsible Officer,RO)——負責監督該項受規管活動嘅人。RO 要喺 LR 嘅卷數之上,再加一張對應嘅規例卷

二、RA 對照表:你要考邊幾張

呢張表係全篇最重要嘅一節,亦係坊間最多寫錯嘅地方。以下按 HKSI 官方資格考試概覽列出嘅一般路徑整理:

受規管活動 持牌代表(LR) 負責人員(RO)
第 1、4、8 類
證券交易/就證券提供意見/證券保證金融資
卷一 + 卷七 + 卷八卷一 + 卷二 + 卷七 + 卷八
第 2、5 類
期貨合約交易/就期貨合約提供意見
卷一 + 卷七 + 卷九卷一 + 卷三 + 卷七 + 卷九
第 6 類
就機構融資提供意見
卷一 + 卷七 + 卷十一卷一 + 卷五 + 卷七 + 卷十一
第 9 類
提供資產管理
卷一 + 卷七 + 卷十二卷一 + 卷六 + 卷七 + 卷十二
第 10 類
提供信貸評級服務
卷一 + 卷七 + 卷十卷一 + 卷四 + 卷七 + 卷十
第 13 類
為集體投資計劃提供存管服務
卷一 + 卷七 + 卷十九卷一 + 卷十八 + 卷七 + 卷十九

兩個最多人寫錯嘅位

  • 第 1/4/8 類嘅標準路徑唔止兩張卷。好多備試資料寫「卷一 + 卷七」就算——官方表列係 卷一 + 卷七 + 卷八;負責人員再加卷二。實際要求仍要連同個人資格及適用豁免一併確認。
  • 第 9 類用卷十二,唔係卷九。卷九係《衍生工具》,配第 2、5 類;第 9 類(資產管理)對應嘅應用卷係卷十二《資產管理》

另外要留意:官方呢張表冇列第 3 類(槓桿式外匯交易),因為 HKSI 冇為第 3 類提供考卷;第 7 類(提供自動化交易服務)則冇本地監管架構試卷及認可行業資格要求。第 11、12 類涉及場外衍生工具,相關制度及考卷仍待生效。唔好自行由其他類別推導,實際要求以 HKSI 概覽及證監會最新指引為準。

三、17 張卷完整規格

全部十七張卷合格線一律 70%,全部電腦應考(CBE),試題中英對照。

名稱題數時限香港試場環球試場
基本證券及期貨規例6090 分鐘$1,800$2,250
證券規例4060 分鐘$2,000$2,450
衍生工具規例4060 分鐘$2,000$2,450
信貸評級服務規例4060 分鐘$2,000$2,450
機構融資規例4060 分鐘$2,000$2,450
資產管理規例4060 分鐘$2,000$2,450
金融市場6090 分鐘$1,620$2,070
證券4060 分鐘$1,620$2,070
衍生工具4060 分鐘$1,620$2,070
信貸評級服務4060 分鐘$1,620$2,070
十一機構融資4090 分鐘$1,620$2,070
十二資產管理4060 分鐘$1,620$2,070
十五保薦人(主要人員)4060 分鐘$2,000$2,450
十六保薦人(代表)4060 分鐘$2,000$2,450
十七公司收購及股份回購規例4060 分鐘$2,000$2,450
十八存管服務規例4060 分鐘$2,000$2,450
十九集體投資計劃存管服務4060 分鐘$2,000$2,450

三個容易忽略嘅細節:卷一同卷七係現行 LE 僅有嘅兩張 60 題卷(其餘全部 40 題);卷十一係唯一一張 40 題但畀足 90 分鐘嘅卷,時間壓力明顯細啲;而現行 LE 未包括卷十三、卷十四。HKSI 概覽註明,兩卷會喺第 12 類新發牌制度開始後提供,所以唔應寫成永久不存在。

卷別分三組:規例試卷(一、二、三、四、五、六、十八)、應用試卷(七、八、九、十、十一、十二、十九)、額外勝任能力規定試卷(十五、十六、十七)。

四、官方合格率:卷一先係最難嗰張

HKSI 同 PEAK 主辦嘅考試有一個關鍵分別:HKSI 逐月公布每張卷嘅真實合格率,而 IIQE、MPFE 從來冇公布過。呢啲係難得嘅硬數據。

2025 年 7 月至 2026 年 6 月滾動十二個月:卷一 51.9%,全部十七張卷之中最低;最高係卷十五(保薦人主要人員)87.12%。

想逐月比較全部卷、睇每張卷嘅高低月份,可以用 HKSIPapers 嘅官方合格率歷史資料庫;嗰邊保留每月 snapshot,本文就集中處理選卷同練習次序。

卷一係 HKSI 官方表列多個主要受規管活動標準路徑嘅共同本地監管架構試卷,亦係合格率最低嗰張——即係話對大部分循標準路徑嘅考生嚟講,第一關就係最難嗰關。先啃卷一、再處理相應應用卷,係有數據支持嘅次序。

五、279,882 次練習作答:難度排序倒轉咗

官方合格率反映嘅係「入到試場嗰批人」嘅表現——已經溫好書先去考。練習階段嘅畫面好唔同。以下係 PickMyQuiz 三個 HKSI 題庫嘅累計作答紀錄:

試卷題庫題數練習作答次數練習答對率
卷八 證券1,63252,76027.4%
卷七 金融市場1,59757,18531.9%
卷一 基本證券及期貨規例2,195169,93748.8%

官方合格率同練習答對率講緊兩件唔同嘅事。官方數據話你知卷一最難考過;練習數據話你知卷七、卷八一開始操落去最唔順手。合理解讀係:卷一範圍最闊、題量最大,但係規則框架反覆分類之後會穩定落嚟;卷七卷八要處理定價、產品分類同市場關係,未建立概念之前錯得特別多。

課題級最弱嗰批(按實際作答次數計):

課題卷別題數作答次數答對率
證券類別卷八60919,17026.6%
證券市場管理卷八1725,49626.8%
證券投資概覽卷八2508,14827.5%
外匯及衍生工具市場卷七31310,73729.6%
債務市場卷七33311,65729.8%
發牌及註冊與附屬法例卷一48033,87943.9%

「發牌及註冊與附屬法例」係卷一入面作答次數最多、亦係答對率最低嘅課題——考卷一嘅人如果只夠時間操一個課題,就係呢個。

六、成績「三年過期」係唔準確嘅講法

坊間好常見一句:「HKSI 成績三年過期」。準確講法係——證監會《勝任能力指引》預期申請人喺遞交牌照申請前三年內通過相關考試,但指引明文容許接納三年之前取得嘅資格,例如申請人一直留喺業界,或者喺過去三年內曾經擔任該項受規管活動嘅持牌代表或負責人員。

換句話講,三年係一個預期而唔係一條硬性作廢線。長期喺行內嘅人唔會因為考卷年份耐咗就自動要重考——但個別情況以證監會裁定為準。

七、常見問題

Q1:HKSI 合格線幾多分?

全部十七張卷一律 70%。冇分卷別、冇浮動,全部電腦應考(CBE),試題中英對照。

Q2:想做證券經紀(第 1 類),最少要考幾張?

按官方一般標準路徑,持牌代表三張:卷一 + 卷七 + 卷八。如果要做負責人員,四張:卷一 + 卷二 + 卷七 + 卷八。已有其他認可資格或符合豁免條件者,實際要求可以不同。

Q3:卷七同卷八要唔要一齊考?點揀次序?

按第 1/4/8 類嘅標準路徑,卷七同卷八兩張都屬認可行業資格要求,唔係二選一。次序方面,官方合格率顯示卷一最難(51.9%),而練習數據顯示卷七卷八初期答對率最低(31.9% 同 27.4%)。實務上多數人先考卷一打好規例底,再處理卷七卷八嘅產品同市場概念。

Q4:第 9 類(資產管理)係咪考卷九?

唔係。第 9 類持牌代表考 卷一 + 卷七 + 卷十二;負責人員再加卷六。卷九《衍生工具》係配第 2、5 類嘅。呢個係最常見嘅寫錯位之一。

Q5:考幾錢?

香港試場:卷一 HK$1,800;卷七、八、九、十、十一、十二 HK$1,620;其餘規例卷及卷十五至十九 HK$2,000。環球試場每張約貴 HK$430–450。以第 1 類持牌代表(卷一 + 卷七 + 卷八)計,香港試場合共約 HK$5,040。

Q6:HKSI 同 IIQE(保險牌)邊個難?

兩者性質唔同。HKSI 全部卷合格線 70%,卷一官方合格率 51.9%;IIQE 各卷合格線同樣係 70%,但 PEAK 從來冇公布合格率。可以參考我哋嘅 HKSI 與 IIQE 難度比較,以及保險牌照全攻略

Q7:卷十三、卷十四喺邊?

現行 HKSI LE 未包括卷十三同卷十四。HKSI 官方概覽寫明,兩卷會喺第 12 類受規管活動嘅新發牌制度開始後提供;現階段任何備試資料如果將佢哋當成已開考,都要再向官方核實。

逐卷深入攻略

操 HKSI 卷一、卷七、卷八逾 5,400 題模擬題

按官方課題分類,附答案解析同錯題重溫。免費下載,隨時隨地操題。

本文由 PickMyQuiz 題庫團隊整理。受規管活動對照、各卷題數/時限/費用及 70% 合格線引自 HKSI 資格考試概覽;官方合格率引自 HKSI 考試合格率頁;成績時限及豁免界線引自證監會《勝任能力的指引》,以官方最新公告為準。練習數據來源:PickMyQuiz HKSI 卷一(QB120)、卷七(QB121)、卷八(QB122)模擬練習題庫,截至 2026 年 8 月 13 日累計 279,882 次作答,屬本站原創練習題嘅答對率,並非官方考試合格率。本題庫不含任何官方試題內容。

Practice Questions (10)

Questions from the same category. Reveal results after answering.

1. 在香港的金融監管架構下,下列哪一個機構的主要職能包括透過聯繫匯率制度維持貨幣穩定,以及管理外匯基金以維持香港的國際金融中心地位,並負責促進銀行體系的安全與穩定? Under Hong Kong's financial regulatory framework, which institution's primary functions include maintaining monetary stability through the Linked Exchange Rate System, managing the Exchange Fund to maintain Hong Kong's status as an international financial centre, and promoting the safety and stability of the banking system?

multiple_choice

2. 根據香港法律框架及證券及期貨事務監察委員會(證監會)的指引,關於眾籌活動是否受《證券及期貨條例》監管,下列哪項敘述最為準確? According to the Hong Kong legal framework and the guidelines of the Securities and Futures Commission (SFC), which of the following statements is most accurate regarding whether crowdfunding activities are regulated under the Securities and Futures Ordinance (SFO)?

multiple_choice

3. 根據香港交易所《主板上市規則》,下列哪些是申請在主板上市必須符合的條件? (i) 申請人必須至少符合一項定量財務測試(如盈利測試、市值/收入/現金流量測試或市值/收入測試) (ii) 在上市時,公眾人士持有的股份總數中,由三名公眾股東擁有的比例不得超過 50% (iii) 申請人在上市前至少三個會計年度內,其管理層需維持基本不變 (iv) 申請人最近一期會計師報告的結算日期,距離上市文件刊發日期不得超過六個月 According to the Main Board Listing Rules of the Hong Kong Stock Exchange, which of the following are conditions that must be met to apply for a Main Board listing? (i) The applicant must meet at least one quantitative financial test (such as the Profit Test, Market Capitalization/Revenue/Cash Flow Test, or Market Capitalization/Revenue Test) (ii) At all times, the proportion of the total number of shares held by the public that is owned by three public shareholders must not exceed 50% (iii) The applicant's management must remain substantially the same for at least three financial years prior to listing (iv) The date of the latest accountant's report of the applicant must not be more than six months from the date of publication of the listing document

multiple_choice

4. 根據證券及期貨事務監察委員會發出的《內部監控指引》,下列哪些屬於該指引所列載的內部監控系統基本組成部分? (i) 目標和職能的區分 (ii) 人事和培訓 (iii) 資訊管理 (iv) 監察 According to the 'Internal Control Guidelines' issued by the Securities and Futures Commission, which of the following are basic components of the internal control system listed in the guidelines? (i) Segregation of objectives and functions (ii) Personnel and training (iii) Information management (iv) Compliance

multiple_choice

5. 根據香港《證券及期貨條例》 第 XIII 部及第 XIV 部的規定,法律明確定義了六種可在市場失當行為審裁處進行民事程序或在法院進行刑事檢控的「市場失當行為」。 現假設恒信資本的持牌代表在進行業務期間涉及以下活動,請選出哪一項行為在法律定義上「不屬於」上述六種市場失當行為之一: (i) 透過在多個證券帳戶之間進行不涉及實質所有權轉變的交易,以營造交易活躍的虛假繁榮景象 (ii) 為了誘使他人購買某特定股份,而故意散佈關於該發行人之財務狀況明顯失實且具誤導性的利好消息 (iii) 未經客戶授權而利用其帳戶進行頻繁交易,旨在賺取更多佣金,或在未經預約的情況下前往私人住所推銷高風險衍生產品 (iv) 某上市公司的財務總監在得知公司即將被溢價收購的未公開消息後,利用其配偶的帳戶提前購入該公司股份 According to the provisions of Part XIII and Part XIV of the Securities and Futures Ordinance of Hong Kong, the law clearly defines six types of 'market misconduct' that can be subject to civil proceedings in the Market Misconduct Tribunal or criminal prosecution in court. Assuming a licensed representative of Hengxin Capital is involved in the following activities during the course of business, please select which act does 'not' fall under the legal definition of the six types of market misconduct mentioned above: (i) Creating a false appearance of active trading by executing transactions between multiple securities accounts without any change in beneficial ownership. (ii) Intentionally disseminating obviously false and misleading positive news regarding an issuer's financial condition to induce others to purchase specific shares. (iii) Frequently trading in a client's account without authorization to earn more commissions, or visiting private residences to promote high-risk derivative products without an appointment. (iv) The Chief Financial Officer of a listed company, upon learning of non-public information that the company is about to be acquired at a premium, uses their spouse's account to purchase the company's shares in advance.

multiple_choice

6. 根據《證券及期貨條例》以及證監會發布的相關指引,關於註冊機構在委託其僱員執行受規管活動時的法定責任與合規要求,下列哪項敘述最為準確? (i) 註冊機構必須確保受委託的人員在所有關鍵時間均為符合規定的「適當人選」 (ii) 註冊機構僅需確保人員具備相關學術資格,其誠信與財政穩健性由金管局直接負責審核 (iii) 該機構負有持續責任,須監察受委託人員是否持續符合勝任能力及操守準則 (iv) 若受委託人員違反操守準則,註冊機構可免除所有行政責任,前提是該人員已領有相關牌照 According to the Securities and Futures Ordinance and relevant guidelines issued by the SFC, which of the following statements is most accurate regarding the statutory responsibilities and compliance requirements of a Registered Institution when delegating its employees to perform regulated activities? (i) A Registered Institution must ensure that the delegated personnel are 'fit and proper' persons in accordance with the requirements at all material times. (ii) A Registered Institution only needs to ensure that personnel possess relevant academic qualifications; their integrity and financial soundness are directly audited by the HKMA. (iii) The institution has a continuing duty to monitor whether the delegated personnel continue to meet competence and conduct standards. (iv) If the delegated personnel violate the code of conduct, the Registered Institution may be exempted from all administrative liability, provided that the personnel already hold the relevant licence.

multiple_choice

7. 根據香港《證券及期貨條例》的監管框架,關於向香港公眾發出投資產品要約的法定規管權力,下列哪項敘述最為準確? (i) 負責認可集體投資計劃的法定機構 (ii) 負責認可涉及向公眾發出要約的結構性產品之權力歸屬 (iii) 負責認可與上述產品相關的廣告、邀請或文件之發布的法定權限 Under the regulatory framework of the Hong Kong 'Securities and Futures Ordinance' , which of the following statements is most accurate regarding the statutory regulatory power to issue offers of investment products to the Hong Kong public? (i) The statutory body responsible for authorizing collective investment schemes (CIS) (ii) The vesting of power for authorizing structured products involving offers to the public (iii) The statutory authority responsible for authorizing the issuance of advertisements, invitations, or documents related to the aforementioned products

multiple_choice

8. 根據證監會發出的《適當人選的指引》,在評核中介人或申請人是否屬「適當人選」時,有關其財政穩健狀況的考量,下列哪些陳述是正確的? (i) 若申請人為持牌法團,必須持續符合《證券及期貨(財政資源)規則》所規定的資本要求 (ii) 該中介人不得曾是任何正被清盤或已倒閉法團的大股東或高級管理人員 (iii) 該中介人不得曾因未能償還經法院裁定的債項而遭強制執行判決 (iv) 該中介人的所有董事及主要人員必須具備指定的個人最低淨資產值 According to the Fit and Proper Guidelines issued by the SFC, when assessing whether an intermediary or applicant is 'fit and proper', which of the following statements regarding the consideration of their financial soundness are correct? (i) If the applicant is a licensed corporation, it must continuously comply with the capital requirements prescribed by the Securities and Futures (Financial Resources) Rules (ii) The intermediary must not have been a major shareholder or senior management of any corporation that is being wound up or has become insolvent (iii) The intermediary must not have been subject to enforcement of a judgment for failure to repay a debt determined by a court (iv) All directors and key personnel of the intermediary must possess a specified minimum personal net worth

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9. 根據香港《公司(清盤及雜項條文)條例》,若一家擁有三名董事的公司擬進行成員自動清盤,必須由過半數董事在清盤決議案通過前的一定期限內,簽署並向公司註冊處處長交付下列哪一項法律文件? Under the Companies (Winding Up and Miscellaneous Provisions) Ordinance of Hong Kong, if a company with three directors intends to proceed with a members' voluntary winding-up, which of the following legal documents must be signed by a majority of the directors and delivered to the Registrar of Companies within a specified period before the winding-up resolution is passed?

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10. 領航先鋒資本管理有限公司(下稱「領航先鋒」)是一家獲證監會發牌從事第9類(提供資產管理)受規管活動的持牌法團。該公司目前管理一項名為「環球科技創投基金」的集體投資計劃。為了吸引更多零售投資者,領航先鋒的行政總裁陳志強指示市場部在未經證監會事先核准的情況下,於多份主流財經報章及社交媒體平台發布廣告,並在宣傳材料中明確表示該基金為「證監會認可之集體投資計劃」。 事後核查發現,該基金實際上僅屬針對專業投資者的私募性質,並未獲得證監會根據《證券及期貨條例》第104條作出的認可。根據香港現行監管架構,下列關於領航先鋒及其管理層法律責任的陳述,哪一項最為準確? Pilot Pioneer Capital Management Limited is a licensed corporation licensed by the SFC to carry out Type 9 regulated activities. The company currently manages a collective investment scheme called the "Global Tech Venture Fund". In order to attract more retail investors, the CEO of Pilot Pioneer, Mr. Chan Chi-keung, instructed the marketing department to publish advertisements in several mainstream financial newspapers and social media platforms without prior approval from the SFC, and explicitly stated in the promotional materials that the fund is an "SFC-authorized collective investment scheme". Subsequent verification revealed that the fund is actually a private placement nature intended only for professional investors and has not been authorized by the SFC under Section 104 of the SFO. According to the current regulatory framework in Hong Kong, which of the following statements regarding the legal liability of Pilot Pioneer and its management is most accurate?

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Practice Questions

From: HKSI 卷一 基本證券及期貨規例題庫|Paper 1 一次過合格

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1
根據香港《個人資料(私隱)條例》,下列哪項最準確地描述了「個人資料」的定義? According to the Hong Kong Personal Data (Privacy) Ordinance, which of the following most accurately describes the definition of 'personal data'?
A指與一名在世個人直接或間接相關的資料,從該等資料中可以切實可行地確定該人的身份,且該資料的編配形式須令查閱或處理均屬切實可行。 Refers to any data relating directly or indirectly to a living individual, from which it is practicable for the identity of the individual to be directly or indirectly ascertained, and in a form in which access to or processing of the data is practicable.
B指任何儲存於持牌法團或註冊機構客戶數據庫內,有關客戶交易記錄及財務狀況的電子或紙本資料。 Refers to any electronic or paper data stored in the client database of a licensed corporation or registered institution regarding client transaction records and financial status.
C指與任何在世個人有關的資料,不論其形式為何,只要該資料涉及敏感的個人財務或醫療記錄。 Refers to any data relating to any living individual, regardless of its form, provided that the data involves sensitive personal financial or medical records.
D指與現存個人有關的所有資料,包括已故人士的遺囑執行記錄,且該等資料必須以加密形式儲存。 Refers to all data relating to existing individuals, including records of executors of deceased persons, and such data must be stored in an encrypted form.
2
法團 PI 架構複雜,客戶拒絕披露最終實益擁有人。 下列哪項最準確? A corporate PI has a complex structure and refuses to disclose ultimate beneficial owners. Which statement is most accurate?
A機構或個人 PI 均可免除所有身份核實,因為他們被視為有經驗,多層架構亦毋須追查最終實益持有人。 Institutional or individual PIs may skip all identity checks because they are experienced, and multi-layered structures need not be traced to the ultimate beneficial owner.
B只要交易金額大,便可推定資金來源合理,毋須監察,客戶拒絕披露股權架構亦屬正常的商業保密做法。 Large transaction size itself proves legitimate source of funds and removes monitoring, and refusing to disclose the ownership structure is normal commercial confidentiality.
C若準備提交可疑交易報告,應先通知客戶以維持服務關係,並讓客戶補交實益擁有人資料即可結案。 If a suspicious report is being prepared, the client should first be informed to preserve the relationship, and closed once the client supplies beneficial ownership details.
D專業投資者身份不豁免真實身份核實、實益擁有人了解、持續監察、可疑交易上報及不可通風報信等 AML 底線。 PI status does not waive AML basics: true identity, beneficial ownership, ongoing monitoring, suspicious reporting and no tipping-off.
3
恒信資本有限公司是一家獲證監會發牌從事第1類及第4類受規管活動的持牌法團。根據《證券及期貨(財政資源)規則》,在下列哪些情境發生時,該法團必須在知悉事件後「立即」以書面形式通知證監會? (i) 該法團的速動資金數額跌至其規定速動資金水平的 115% (ii) 該法團的速動資金數額較其在上一個月份根據規則提交的申報表中所披露的速動資金數額減少了 45% (iii) 該法團曾獲證監會認可作速動資金的後償貸款,在未經證監會事先書面同意下,被該法團提前償還部分本金 (iv) 該法團的速動資金數額跌至其規定速動資金水平的 60%,且該數額低於其上一次申報表所披露數額的 55% Hengxin Capital Limited is a licensed corporation licensed by the SFC to carry on Type 1 and Type 4 regulated activities. Under the Securities and Futures (Financial Resources) Rules (FRR), in which of the following scenarios must the corporation notify the SFC in writing "immediately" after becoming aware of the event? (i) The corporation's liquid capital falls to 115% of its required liquid capital level (ii) The corporation's liquid capital has decreased by 45% compared to the liquid capital disclosed in the return submitted in the previous month (iii) The corporation has partially repaid the principal of a subordinated loan, which was approved by the SFC as liquid capital, without the prior written consent of the SFC (iv) The corporation's liquid capital falls to 60% of its required liquid capital level, and this amount is less than 55% of the amount disclosed in its last return
A(i), (iii)
B(i), (ii), (iii)
C(i), (iii), (iv)
D(i), (ii), (iii), (iv)
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