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Series 7 License Exam Prep Study Guide

Includes Practice Test With Hundreds of Questions Series 7 Manual

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Series 7 License Exam Prep Study Guide

By: Ronald Pyland
Narrated by: Donavan Price, Melissa Wise
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You are probably very busy with a lot of things that are going on in your life. So it is going to be challenging to find the time to study for the series 7 exam.

That is why the author Ronald Pyland, a securities professional, developed the Series 7 Study Guide ! This edition is a practice questions and complete review edition . It covers all categories on the exam. It contains hundreds of practice test questions. You can listen to or read it wherever life takes you! Its sections include:

  • Overview of the FINRA Series 7 exam, its purpose, structure, and scoring
  • Importance and significance of the Series 7 designation within the financial industry
  • Understanding exam format, question distribution, content areas, and testing environment
  • Strategies for seeking business as a broker-dealer
  • Identifying prospects, demographic targeting, networking, referral building, and lead-generation methods
  • Gathering, verifying, and assessing customer financial information
  • Evaluating client goals, personal data, investment objectives, and risk tolerance
  • Understanding different types of customer accounts
  • Recordkeeping requirements and regulatory documentation
  • In-depth understanding of various investment and securities products
  • Characteristics, risks, tax treatment, suitability, and use-cases for financial instruments
  • Strategies for making suitable investment recommendations aligned with client needs
  • Portfolio construction, suitability assessment, and balancing risk vs reward
  • Processes for transferring assets and maintaining accurate, compliant records
  • Understanding order types and how securities transactions are executed
  • Trade reporting, clearing, settlement procedures, and execution best practices
  • Procedures for processing and confirming customer instructions
  • Ensuring accuracy, compliance, and adherence to regulatory standards
  • Ethical and professional responsibilities of registered representatives
  • Integrating financial products into comprehensive financial plan
©2026 Robert Ayala (P)2026 Robert Ayala
Analysis & Strategy Investing & Trading Taxation
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