Compliance / Interview Question

Hi All,

Hope you guys and gals can provide some insight for me. I just started an internship at a bank in sell-side equity research, and have an interview for a full-time asset management job in the next few weeks. Seems likely that I'll give a stock pitch or two through the recruitment process, yet I'm wondering if its against FINRA to give a pitch for a company that my firm covers. What's the general procedure for this? Don't want to ask my compliance team because I started my current internship really recently and don't want to burn any bridges. TIA

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