Wiley FINRA Series
This series includes the following titles:
Wiley Series 3 Exam Review 2016 + Test Bank: National Commodities Futures Examination
Wiley Series 4 Exam Review 2016 + Test Bank: The Registered Options Principal Examination
Wiley Series 6 Exam Review 2016 + Test Bank: The Investment Company and Variable Contracts Products Representative Examination
Wiley Series 7 Exam Review 2016 + Test Bank: The General Securities Representative Examination
Wiley Series 9 Exam Review 2016 + Test Bank: The General Securities Sales Supervisor ExaminationOption Module
Wiley Series 10 Exam Review 2016 + Test Bank: The General Securities Sales Supervisor ExaminationGeneral Module
Wiley Series 24 Exam Review 2016 + Test Bank: The General Securities Principal Examination
Wiley Series 26 Exam Review 2016 + Test Bank: The Investment Company and Variable Contracts Products Principal Examination
Wiley Series 55 Exam Review 2016 + Test Bank: The Equity Trader Examination
Wiley Series 62 Exam Review 2016 + Test Bank: The Corporate Securities Representative Examination
Wiley Series 63 Exam Review 2016 + Test Bank: The Uniform Securities State Law Examination
Wiley Series 65 Exam Review 2016 + Test Bank: The Uniform Investment Adviser Law Examination
Wiley Series 66 Exam Review 2016 + Test Bank: The Uniform Combined State Law Examination
Wiley Series 99 Exam Review 2016 + Test Bank: The Operations Professional Examination
For more on this series, visit the website at www.wileysecuritieslicensing.com.
WILEY SERIES 7
EXAM REVIEW 2016
The General Securities
Representative Examination
The Securities Institute of America, Inc.
Cover Design: Wiley
Cover Image: iStockphoto.com / LuisB
Copyright 2016 by The Securities Institute of America, Inc. All rights reserved.
Published by John Wiley & Sons, Inc., Hoboken, New Jersey.
Previous editions published by The Securities Institute of America, Inc.
Published simultaneously in Canada.
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ISBN 978-1-119-13866-2 (ePub)
About the Series 7 Exam
Congratulations! You are on your way to becoming a registered representative licensed to conduct business in all general securities. The Series 7 exam will be presented in a 250-question, multiple-choice format. The test will be divided into two three-hour sessions. Each candidate will have a total of six hours in which to complete the exam. A score of 72 percent or higher is required to pass. Once the first three-hour 125-question session is completed, the candidate must take at least a 30-minute break and will not have the opportunity to go back and review the questions from the first session.
The Series 7 is as much a knowledge test as it is a reading test. The writers and instructors at The Securities Institute have developed the Series 7 textbook, exam prep software, and videos to ensure that you have the knowledge required to pass the test and to make sure that you are confident in the application of the knowledge during the exam.
Important
Exam NoteThe Series 7 exam may use the term specialist, designated market maker (DMM), or both to describe a member of the NYSE responsible for maintaining a fair and orderly market in a security. Test-takers are advised to be aware of this and to treat the two terms as interchangeable.
Taking the Series 7 Exam
The Series 7 exam is presented in multiple-choice format on a touch screen computer known as the PROCTOR system. No computer skills are required, and candidates will find that the test screen works in the same way as an ordinary ATM machine. Each test is made up of 250 questions that are randomly chosen from a test bank of thousands of questions. Each Series 7 exam will have several practice questions that do not count towards the final score. The test has a time limit of six hours and is designed to provide enough time for all candidates to complete the exam. Each Series 7 exam contains questions that focus on five critical job functions performed by Series 7 registered representatives. In order to successfully complete the Series 7 exam, you will need a full understanding of the activities and knowledge required to perform these job functions as well as a complete understanding of the rules that regulate these job functions. The Series 7 exam will be made up of questions from the following areas:
Seeks business for the broker-dealer through customers and potential customers | 68 questions | 27% |
Evaluates customers' other security holdings, financial situation and needs, financial status, tax status, and investment objectives | 27 questions | 11% |
Opens accounts, transfers assets, and maintains appropriate account records | 27 questions | 11% |
Provides customers with information on investments and makes suitable recommendations |
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