Series 7 Exam Prep
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Becoming a Licensed Securities Professional – Series 7
A Series 7 license is essential for professionals who want to offer a wide variety of investment products, including corporate and municipal securities, options, mutual funds, direct participation programs, and variable insurance products (when properly licensed). This designation is ideal for those pursuing a comprehensive role in securities sales and investment advising, providing clients with diverse financial solutions.
To obtain a Series 7 license, candidates must pass FINRA’s General Securities Representative Qualification Exam, which assesses their understanding of investment products, risk management, trading regulations, and client interactions. This course is designed to equip you with the knowledge and preparation needed to successfully pass the exam and establish a career as a general securities representative.

Key Exam Topics:

SEC & FINRA rules

Investment objectives

Suitable recommendations

Tax considerations

Equity & debt securities

Options & ETFs

Municipal securities

Customer & margin accounts

Prohibited activities

Arbitration & penalties
Innovative Course Tools Designed for Your Success

Pre-Licensing Lessons

Exam-Style Quizzes

State-Aligned Curriculum

Interactive Course Tools

Video Learning Modules

Auto-Tracked Progress

Practice Test Mode

Flashcard Reviews

Avatar Video Lessons

Simulated Exam