FINRA’s SIE exam prep
About Lesson

Course Outline for FINRA SIE Exam Prep

Module 1: Introduction to Capital Markets

  • Lesson 1.1: Overview of Capital Markets
    • Definition and purpose of capital markets
    • Key regulatory entities and their roles
  • Lesson 1.2: Market Participants
    • Types and roles of investors
    • Roles of broker-dealers, investment advisors, and other participants
  • Lesson 1.3: Market Structures
    • Primary, secondary, third, and fourth markets
    • Electronic and over-the-counter markets
  • Lesson 1.4: Economic Factors
    • Impact of Federal Reserve policies
    • Economic indicators and their effects

Module 2: Understanding Securities and Risks

  • Lesson 2.1: Equity Securities
    • Types of equity securities and their characteristics
    • Voting rights and dividend payments
  • Lesson 2.2: Debt Instruments
    • Types of bonds and their features
    • Yield, coupon rate, and maturity considerations
  • Lesson 2.3: Options and Packaged Products
    • Basics of options and trading strategies
    • Overview of mutual funds, ETFs, and other investment products
  • Lesson 2.4: Investment Risks
    • Types of investment risks
    • Strategies for risk mitigation

Module 3: Securities Offerings

  • Lesson 3.1: Types of Securities Offerings
    • Public vs. private offerings
    • Initial and secondary offerings
  • Lesson 3.2: Offering Documents and Regulations
    • Key offering documents and their purposes
    • Regulatory filing requirements and exemptions

Module 4: Trading and Settlement

  • Lesson 4.1: Trading Orders and Strategies
    • Types of trading orders and their uses
    • Trade capacities and market roles
  • Lesson 4.2: Settlement Processes
    • Trade settlement timeframes and methods
    • Understanding corporate actions and their impacts
  • Lesson 4.3: Investment Returns
    • Components of investment returns
    • Calculating yield and total return

Module 5: Customer Accounts and Compliance

  • Lesson 5.1: Types of Customer Accounts
    • Cash, margin, and retirement accounts
    • Account registration and characteristics
  • Lesson 5.2: Compliance and Anti-Money Laundering
    • AML compliance programs and reporting
    • Privacy and data protection requirements

Module 6: Regulatory Framework

  • Lesson 6.1: Registration and Continuing Education
    • Requirements for registration and continuing education
    • Permitted activities and restrictions for registered persons
  • Lesson 6.2: Employee Conduct and Reportable Events
    • Requirements for employee conduct and reporting
    • Consequences for failing to comply with regulations

Module 7: Prohibited Activities and Ethical Standards

  • Lesson 7.1: Market Manipulation and Insider Trading
    • Definitions and examples of market manipulation
    • Understanding insider trading and penalties
  • Lesson 7.2: Other Prohibited Activities
    • Restrictions on IPO participation and improper use of customer funds
    • Prohibited activities related to records and customer interactions

Module 8: Review and Exam Preparation

  • Lesson 8.1: Comprehensive Review of Key Concepts
    • Summary of key topics from each module
    • Practice questions and review exercises
  • Lesson 8.2: Exam Strategies and Tips
    • Test-taking strategies for the SIE exam
    • Time management and stress reduction techniques
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