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General Securities Representative Qualification ... - FINRA

2018 FINRA General Securities Representative Qualification Examination (Series 7) CONTENT OUTLINE Series 7 2 PURPOSE OF THE EXAM The Series 7 exam is designed to assess the competency of entry-level General Securities Representatives. The Series 7 exam seeks to measure the degree to which each candidate possesses the knowledge, skills and abilities needed to perform the critical functions of a General Securities Registered Representative . In order to obtain registration as a General Securities Representative , candidates must pass both the Series 7 exam and a General knowledge co-requisite, the Securities Industry Essentials (SIE) exam. For more information about the activities requiring registration as a General Securities Representative , see FINRA Rule 1220(b)(2). STRUCTURE OF THE EXAM The exam consists of 125 multiple-choice items, and each item consists of four answer choices.

2330 – Members’ Responsibilities Regarding Deferred Variable Annuities 2360 – Options SEC Rules and Regulations Securities Act of 1933 Section 5 – Prohibitions Relating to Interstate Commerce and the Mails 156 – Investment Company Sales Literature 482 – Advertising by an Investment Company as Satisfying Requirements of Section 10

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