FINRA SIE- Securities Industry Essentials Exam Mock Test

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Go to Course: https://www.udemy.com/course/finra-sie-securities-industry-essentials-exam-mock-test/

Introduction

The "FINRA SIE- Securities Industry Essentials Exam Mock Test" available on Coursera is a comprehensive and highly detailed course designed to prepare individuals for the FINRA Securities Industry Essentials (SIE) Exam. This course is tailored for aspiring financial professionals seeking to gain a solid understanding of the core concepts necessary for licensing and working within the securities industry. **Course Overview:** This course includes a robust question bank of over 1,400 carefully crafted questions covering all key areas outlined by FINRA for the SIE Exam. These questions are complemented by detailed answer explanations, making it an excellent resource for both practice and deep comprehension. The course is divided into four essential units: 1. **Knowledge of Capital Markets:** Covering primary and secondary markets, regulatory authorities, economic indicators, and industry fundamentals. 2. **Understanding Products and Their Risks:** Detailing stocks, bonds, derivatives, mutual funds, ETFs, and other investment products, along with their associated risks. 3. **Understanding Trading, Customer Accounts, and Prohibited Activities:** Focusing on order types, trading strategies, account types, and compliance regulations. 4. **Overview of the Regulatory Framework:** Covering regulatory bodies, compliance rules, and ethical considerations vital for industry professionals. **Review:** This mock test course stands out for its extensive coverage and meticulous attention to the exam’s scope. The questions reflect real exam conditions and test various knowledge areas, ensuring that learners not only memorize facts but also understand their application. The detailed answer explanations enhance learning by clarifying complex topics and common misconceptions. The course’s structure facilitates targeted studying, allowing learners to focus on weaker areas. Additionally, the option to access a large question bank from a printed book version makes this course versatile, whether you prefer digital practice or traditional study materials. **Recommendation:** I highly recommend this course for anyone preparing for the FINRA SIE Exam. Its vast question bank and comprehensive explanations make it an invaluable resource for self-study or supplementing classroom learning. Whether you’re a beginner or someone looking to reinforce your knowledge, this course provides the necessary tools to boost confidence and improve your chances of passing. Furthermore, this course is suitable for a wide audience, including aspiring financial advisors, brokerage representatives, and compliance professionals, thanks to its thorough coverage of industry fundamentals and regulatory requirements. **Final Verdict:** For its in-depth content, realistic mock tests, and coverage of all exam objectives, the "FINRA SIE- Securities Industry Essentials Exam Mock Test" course on Coursera is a top-tier choice for exam prep. It is an investment that can significantly enhance your understanding and readiness for the SIE Exam, setting you on the path to a successful career in the securities industry.

Overview

FINRA SIE PrepPro- Mastering FINRA SIE: Your Comprehensive Exam Prep Guide with 1400+ Questions Bank & Detailed Answer Explanations for the Securities Industry Essentials (SIE) ExamUnlock your success in the Securities Industry Essentials (SIE) Exam with the "FINRA SIE Exam Preparation Guide: 1400+ Questions Bank." This comprehensive resource is your ultimate interactive learning companion, offering a vast array of questions and answers to master the intricacies of the financial world. With over 1400+ questions, meticulously crafted to cover each learning outcome, this learning resource ensures a thorough understanding of the exam content. Divided into four units, it navigates through the essential domains: Knowledge of Capital Market, Understanding Products and Their Risks, Trading, Customer Accounts, & Prohibited Activities, and Overview of the Regulatory Framework.This online mock test is part of our Printed Book with 3000+ Question Bank: SIE Exam Preparation Guide: Mastering FINRA SIE: Your Comprehensive Exam Prep Guide with 3000+ Questions Bank & Detailed Answer Explanations for the Securities Industry Essentials (SIE) Exam NOTE- You can avail the printed book from all major eCom platform like Amazon etc.There are 6 Mock Test provided on this learning resource covering each test objective outlined by FINRA for respective unit.Knowledge of Capital Markets (250 Questions)Understanding Products and Their Risks (500 Questions)Understanding Trading, Customer Accounts and Prohibited Activities (500 Questions)Overview of Regulatory Framework (165 Questions)Learning Outcome, Test Objectives & Knowledge Area Covered on this Online Mock TestUNIT 1 - Knowledge of Capital MarketPurpose of the primary marketsTypes of primary market offeringsParticipants in the primary marketProcess for offering a nonexempt issueDefine shelf offerings and green shoe offeringsTypes of exempt issues and issuersTypes of disclosure documentsPurpose of the secondary marketsParticipants in the secondary marketsExchanges and the OTC marketRole and authority of the Securities Exchange CommissionName the branches of the Treasury that have regulatory authority over the securities industry.Role of the Federal Reserve BankDetermine the protection provided by the FDICDefine the state administrators and NASAAScope of authority of the Financial Industry Regulatory AuthorityMSRB scope of authority and enforcement powers.Recognize the Exchange's regulatory authorityDefine GDP, CPI, and GNP leading, coincident, or lagging indicatorsinflation, deflation, stagnation, and hyperinflationPut the five phases of the business cycle in proper order.Define recession and depressionDefine the purpose of the Federal ReserveDefine the measures of money supply and their useActive measures used by the Federal ReserveFour prominent interest ratesDefine the purpose of fiscal policyDifferentiate demand- and supply-side theoriesImpact of exchange rates on trade and prices.Classify industries by type (cyclical, noncyclical, countercyclical, growth).Impact of the business cycle on different industriesRecognize the components and uses of a balance sheetComponents and uses of an income statementUNIT2- Understanding Products and Their RisksCharacteristics of common stockDefine a securityDividends from common stockBenefits of owning common stockRIGHTS, WARRANTSRule 144 Restricted stock and control personsCharacteristics of American depositary receiptsCharacteristics of preferred stockBasic characteristics of bondsRelate yields and interest ratesRatings -Safety and volatility in bondsFeatures of a zero-coupon bondFeatures of bondsTypes of corporate debt and order of liquidationBenefits and risks associated with debt securitiesDifferentiate general obligation and revenue bonds & Tax AspectsTraits of T-bills, T-notes, and T-bondsSTRIPS & TIPSFeatures of GNMA, FNMA, and FHLMC certificatesMoney market securityMortgage and asset-backed securitiesDefine a derivativeDefine premiumINTRINSIC VALUE, TIME VALUE, AND THE OPTION PREMIUMDifferentiate equity, currency, and index optionsCalculate break even, maximum gain and maximum loss on an individual option contract.Determine how to best hedge risk with long optionsDetermine the correct steps for adding options trading to a brokerage account.Indicate how to generate premium income by sellingRole of the Options Clearing CorporationClassify the types of investment companiesOpen- and closed-end management companiesDefine variable annuity contractsDifferentiate A, B, C, and no-load share classesBreakpoints, letters of intent, rights of accumulation, combination, and exchange privileges.Define forward pricing, Calculate NAV & expense ratioName the four types of mutual fund prospectusDifferentiate 529 college savings and prepaid tuition plansUse of local government investment plansStructure of a general partnershipTypes of limited partnershipsDPP SUITABILITY AND TAXATIONThree types of REITS.Suitability and risk issues of investing in a hedge fundDefine ETFs and ETNsAdvantages and disadvantages of ETFs & risks of ETNs.Define systematic risk.Define nonsystematic riskWays to mitigate systematic and nonsystematic riskUNIT3: Understanding Trading, Customer Accounts, and Prohibited ActivitiesDefine bullish and bearish sentimentDifferentiate market and limit ordersDefine a stop orderIdentify specialized, day, and GTC instructionsDefine bid, ask, and sizeAssociate buying and selling long.Recognize a solicited or unsolicited tradeSettlement & DeliveryDifferentiate cash dividends from stocks and mutual funds.Ordinary income, investment income, and capital gains.Identify security benchmarks and indicesCalculate cost basis and share price adjustments for stock dividends and stock splits.Define M & A and spin-off / buy back and a tender offerTax consequences & Notification requirements for corporate actionsDefine proxy votingDifferentiate individual and joint registrationsTransfer on death and power of attorney instructionsDefine the different types of business accountsDifferentiate living, revocable, and irrevocable trustsDefine custodial accountsDifferentiate ESAs and 529 plansContribution and distribution rules for traditional and Roth IRA AccountsDefined benefit and defined contribution plansCASH ACCOUNTS, FEE-BASED ACCOUNTS, AND MARGIN ACCOUNTSForms for a margin accountCalculate initial deposit requirementsDefine money launderingRequirement for an AML officer under the BSAKnow your customer ruleInvestment recommendationGeneral rules for communication with the publicCold call rules of the TCPA of 1991Identify the expectations under Regulation S-PWhat records are kept for the life of the firmWhat records are kept for the life of the firmDefine insider tradingTypes of market manipulationRestricted persons under Rule 5130Define improper use of customer assetsSpecial concerns and expectations when serving senior clientsDocument handling rulesUNIT 4: Overview of the Regulatory FrameworkU4 InformationLimitations on nonregistered personnel.Information on Form U-5.Continuing EducationDefine selling awayLimitations and rules regarding political contribution

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