SIE

Securities Industry Essentials

The Securities Industry Essentials (SIE) exam is a foundational-level exam that assesses a candidate's knowledge of the securities industry. It covers key concepts including types of products and their risks, the structure of the securities industry markets, regulatory agencies and their functions, and prohibited practices. The SIE is open to anyone aged 18 or older and is a co-requisite for most FINRA representative and principal-level registration exams.

Overall Progress 0%

Chapters

1

Knowledge of Capital Markets

Regulatory agencies, market structure, economic factors, and the IPO process

2

Equity Securities

Common stock, preferred stock, rights, warrants, and American Depositary Receipts

3

Debt Securities

Bond fundamentals, types of bonds, yields, pricing, and interest rate risk

4

Options Basics

Calls, puts, option strategies, premiums, and the Options Clearing Corporation

5

Packaged Products

Mutual funds, ETFs, variable annuities, UITs, and closed-end funds

6

Alternative Investments

REITs, DPPs, hedge funds, private equity, and structured products

7

Investment Risks

Systematic and unsystematic risks, risk assessment, portfolio diversification, and suitability

8

Customer Accounts

Account types, registration, documentation requirements, and fiduciary responsibilities

9

Trading & Settlement

Order types, trade execution, settlement procedures, and market mechanics

10

Prohibited Activities

Insider trading, market manipulation, churning, unauthorized trading, and ethical obligations

11

Regulatory Framework

SROs, SEC oversight, securities legislation, registration requirements, and compliance