FINRA SIE Practice Tests *2025-26* , Master the SIE Exam: 525 Top-Notch Practice Questions with Detailed Explanations Covering All Exam Domains *2025-2026*.
Course Description
Master the FINRA Securities Industry Essentials (SIE) Exam with 7 Full-Length Practice Tests and 525 Expert-Designed Questions!
Prepare to succeed in your journey toward a career in the regulated securities industry with our comprehensive SIE Exam practice resource. The SIE Exam is an essential first step for aspiring finance professionals. It provides foundational knowledge required to take advanced FINRA licensing exams such as the Series 7 (General Securities Representative) exam. Even for those not pursuing licensing, passing the SIE exam demonstrates expertise in the securities industry, boosting your appeal to potential employers.
Our preparation package includes 7 full-length practice exams with 525 expertly designed multiple-choice questions, mirroring the format, topics, and timing of the real SIE Exam. With detailed explanations for every answer, you will know what is correct and understand why—ensuring mastery of critical concepts.
Why Choose This Practice Series?
- Realistic Exam Format: Questions are structured and timed like the official exam.
- Comprehensive Coverage: Covers all key SIE exam topics, ensuring you’re fully prepared.
- Immediate Feedback: Get instant results with detailed explanations for every question to reinforce your knowledge.
- Repeat Until Perfect: Revisit incorrect answers and retake tests to ensure complete understanding.
The official SIE exam includes 75 multiple-choice questions, a 1 hour and 45-minute time limit, and requires a 70% passing score. Our practice tests replicate these conditions to help you gain confidence and ace the exam on your first attempt.
Please note: These practice questions are not official FINRA questions. They are original and designed to reflect the format and content of the actual exam. This resource has not been reviewed, approved, or endorsed by FINRA and claims no affiliation.
Start practicing today and take the first step toward your career in the securities industry!
Here are the chapters we cover in this course:
Chapter 1: Understanding Regulatory Entities and Market Participants
- Overview of the SEC, SROs, and other regulators
- Market participants: broker-dealers, investors, advisors, and more
Chapter 2: Exploring Market Structure
- Types of markets: primary, secondary, third, and fourth
- Economic factors affecting the markets
Chapter 3: The Federal Reserve and Economic Impact
- The role of monetary and fiscal policy
- Key economic indicators and business cycles
Chapter 4: Securities Offerings and Distribution
- Understanding public and private offerings, IPOs, and secondary offerings
- Regulatory requirements, including SEC filings and blue-sky laws
Chapter 5: Equity Securities – Stocks and Ownership
- Common and preferred stock, rights, warrants, and ADRs
- Key concepts: voting rights, order of liquidation, and restrictions
Chapter 6: Debt Securities – Bonds and Loans
- Treasury, corporate, and municipal bonds
- Interest, yield, maturities, and price relationships
Chapter 7: Options – Hedging and Speculation
- Types of options, including puts and calls
- Key concepts: expiration, strike price, and varying strategies
Chapter 8: Packaged Products and Municipal Fund Securities
- Mutual funds, ETFs, REITs, and more
- Understanding fees, NAV, breakpoints, and disclosures
Chapter 9: Investment Risks and Mitigation Strategies
- Identifying various types of risks (e.g., credit, interest rate)
- Diversification, portfolio rebalancing, and hedging techniques
Chapter 10: Trading and Settlement
- Trade types and order strategies (e.g., market, stop, limit)
- Corporate actions and their impact on securities prices
Chapter 11: Customer Accounts and Anti-Money Laundering (AML)
- Types of accounts: individual, joint, custodial, margin
- AML regulations and reporting requirements (e.g., SAR, CTR)
Chapter 12: Books, Records, and Privacy Requirements
- Record retention, account statements, and business continuity plans
- Privacy requirements under Regulation S-P
Chapter 13: Prohibited Activities and Insider Trading
- Market manipulation, insider trading, and penalties
- Restrictions on IPO participation and misuse of customer funds
Chapter 14: Overview of the Regulatory Framework
- SRO qualification, registration, and continuing education
- Employee conduct, reportable events, and political contributions
Here are the chapters we cover in this course:
Chapter 1: Understanding Regulatory Entities and Market Participants
- Overview of the SEC, SROs, and other regulators
- Market participants: broker-dealers, investors, advisors, and more
Chapter 2: Exploring Market Structure
- Types of markets: primary, secondary, third, and fourth
- Economic factors affecting the markets
Chapter 3: The Federal Reserve and Economic Impact
- The role of monetary and fiscal policy
- Key economic indicators and business cycles
Chapter 4: Securities Offerings and Distribution
- Understanding public and private offerings, IPOs, and secondary offerings
- Regulatory requirements, including SEC filings and blue-sky laws
Chapter 5: Equity Securities – Stocks and Ownership
- Common and preferred stock, rights, warrants, and ADRs
- Key concepts: voting rights, order of liquidation, and restrictions
Chapter 6: Debt Securities – Bonds and Loans
- Treasury, corporate, and municipal bonds
- Interest, yield, maturities, and price relationships
Chapter 7: Options – Hedging and Speculation
- Types of options, including puts and calls
- Key concepts: expiration, strike price, and varying strategies
Chapter 8: Packaged Products and Municipal Fund Securities
- Mutual funds, ETFs, REITs, and more
- Understanding fees, NAV, breakpoints, and disclosures
Chapter 9: Investment Risks and Mitigation Strategies
- Identifying various types of risks (e.g., credit, interest rate)
- Diversification, portfolio rebalancing, and hedging techniques
Chapter 10: Trading and Settlement
- Trade types and order strategies (e.g., market, stop, limit)
- Corporate actions and their impact on securities prices
Chapter 11: Customer Accounts and Anti-Money Laundering (AML)
- Types of accounts: individual, joint, custodial, margin
- AML regulations and reporting requirements (e.g., SAR, CTR)
Chapter 12: Retirement Plans and Statements
- Types of retirement accounts: IRAs, 401(k)s, Roth IRAs
- Contribution limits, tax implications, and distribution rules
- Understanding retirement account statements and performance metrics
Chapter 13: Books, Records, and Privacy Requirements
- Record retention, account statements, and business continuity plans
- Privacy requirements under Regulation S-P
Chapter 14: Prohibited Activities and Insider Trading
- Market manipulation, insider trading, and penalties
- Restrictions on IPO participation and misuse of customer funds
Chapter 15: Overview of the Regulatory Framework
- SRO qualification, registration, and continuing education
- Employee conduct, reportable events, and political contributions
Unlock your potential and ace the SIE exam with confidence. Enroll in SIE (Securities Industry Essentials) Practice Tests (2025-2026) today, and take the first step toward your successful career in the securities industry!
Who this course is for:
- This course prepares aspiring financial professionals, students, and industry practitioners for the SIE (Securities Industry Essentials) exam.