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FINRA Securities Industry Essentials (SIE) Practice Test 2026 - Free SIE Practice Questions and Study Guide course image
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  • What document must be prepared by an issuer when selling restricted securities under Rule 144A?
  • Which type of debt is paid first in a bankruptcy liquidation process?
  • What is a "forward-looking statement" in a company's financial disclosure?
  • Which best describes "market risk"?
  • What factor is typically NOT assessed when determining margin requirements for a margin account?
  • What is a 'sinking fund'?
  • What typically happens to the price of a bond when interest rates rise?
  • What is the primary purpose of the Securities Act of 1933?
  • What does a stop-loss order help limit?
  • How do market makers contribute to the efficiency of the securities market?
  • How can investors reduce "systematic risk"?
  • What does the term 'liquidity' refer to in the context of securities?
  • Which agency is responsible for enforcing federal securities laws?
  • What is a 'proxy' in corporate governance?
  • What is meant by the term 'equity' in the investing world?
  • Which of the following risks is typically lower than market risk in investments?
  • The computation of dollar prices and accrued interest on municipal bonds is normally on what calendar basis?
  • Which financial document would detail a company's revenues over a fiscal period?
  • What type of investment is generally used in smart beta strategies?
  • What is an ETF?
  • After a 1-for-2 reverse stock split, how many shares does an investor have if they initially owned 100 shares?
  • Define 'initial public offering (IPO)'.
  • What characterizes an exchange-traded fund (ETF)?
  • What does the term 'yield to maturity' refer to?
  • What action must a firm take when receiving cash in excess of $10,000 from a single customer in one business day?
  • How does volatility impact the price of an option?
  • What is one possible outcome for the writer of a covered call option?
  • What does 'amortization' refer to in finance?
  • What is the primary goal of asset allocation?
  • What is the primary function of a syndicate desk in an equity offering?
  • Which type of distribution typically involves a sale of existing shares by shareholders?
  • What does 'regulatory compliance' refer to?
  • Who is eligible to take the SIE exam?
  • In a UTMA account, under whose tax ID is the account opened?
  • What does the term "margin call" refer to?
  • Which type of investment is typically considered the least risky?
  • What is a characteristic of common stock?
  • Why is diversification important in investment?
  • How are bonds generally considered in terms of risk compared to stocks?
  • What is an underwriter's main role in a public offering?
  • What is a significant feature of a 401(k) plan compared to an IRA?
  • Which of the following risks applies to both foreign and domestic debt instruments?
  • When does stability in a debt portfolio tend to be greatest?
  • What distinguishes a private placement from a public offering?
  • What is the definition of 'interest rate risk'?
  • If a company declares a 20% stock dividend and a customer holds 1,000 shares valued at $50.00, what will be the new number of shares and price per share after the dividend is paid?
  • What distinguishes a limit order from other types of orders?
  • Which investment strategy involves dividing a portfolio among different asset categories?
  • What characteristic is true of all U.S. government agency issues?
  • What are smart beta strategies designed to achieve?
  • A registered representative is reviewing a portfolio primarily composed of energy and health care companies along with an ETF. Which of the following risks is inherent in this portfolio?
  • What is the significance of a bond's duration?
  • What does it mean to "short sell" a stock?
  • What is the primary purpose of the Securities Investor Protection Corporation (SIPC)?
  • Define 'regulation' in the context of the financial services industry.
  • Regarding a customer account held as tenants in common, which statement is accurate?
  • FinCEN accomplishes its mission to safeguard the financial system by enforcing which act?
  • What do blue sky laws aim to accomplish?
  • What characterizes a "self-directed" account?
  • What is a corporate bond?
  • What is the effective date in securities registration?
  • Which of the following communications with the public is considered misleading?
  • To offer its shareholders a privilege to obtain its shares at a fixed price, which of the following does a corporate issue?
  • Which type of risk involves the potential loss due to an issuer's inability to make future payments?
  • What is the result of a stock split?
  • What does a 'bond' represent in investments?
  • How does "insider trading" affect market integrity?
  • If a market maker posts a quote of 10.00 - 10.10 [25x10], what does this indicate about their intentions?
  • In the over-the-counter market, what does the term "spread" refer to?
  • A member of a stock exchange responsible for providing liquidity in a security by being willing to buy and sell at all times is known as...
  • What is the significance of underwriting in capital markets?
  • What is a common outcome for an investor who uses a covered call strategy?
  • Which of the following best describes a stock's par value?
  • When a broker-dealer charges a commission on a securities transaction, what role has it played?
  • The redemption value of an open-end investment company's shares is based on what?
  • When is it appropriate for a customer to consider the interest rate in their currency exchange?
  • Which type of investment company is known for providing a diversified portfolio of stocks and bonds?
  • Which statement best describes mutual funds in the SIE exam context?
  • What does the term "bull market" signify?
  • What type of products does the SIE exam cover?
  • Which can lead to operational risk in a financial context?
  • What does the term 'liquidity risk' refer to?
  • What does a client’s investment objective typically focus on?
  • What key function does the Securities and Exchange Commission (SEC) perform?
  • What is the primary role of a financial advisor?
  • What is a significant characteristic of a 'stop-limit order'?
  • What does 'financial risk' mean?
  • What is the cash deposit requirement for an initial purchase of $3,000 of common stock in a margin account?
  • A savings account at a bank is guaranteed by which of the following entities?
  • In a tender offer, if the maximum shares the company intends to buy exceeds the tendered share amount, how are the purchased shares allocated?
  • What does SRO stand for in the context of FINRA regulations?
  • What is the purpose of the "Federal Reserve" in the U.S. financial system?
  • Which of the following represents an impact of market risk?
  • What are financial intermediaries?
  • Which statement accurately describes the nature of an annuity contract?
  • Blue-sky laws are regulated by which of the following entities?
  • Which of the following responses describes an advantage of index funds?
  • Which of the following is a characteristic of preferred stock?
  • What distinguishes the 'primary market' from the 'secondary market'?
  • In which scenario is a public company employee allowed to trade on insider information without violating laws?
  • How does a cash balance influence the frequency of account statements sent to customers?
  • Which financial product is most negatively affected by a downgrade in the issuer's credit rating?
  • What defines an "accredited investor"?
  • What is the primary purpose of an income statement in finance?
  • Which of the following best describes a market order?
  • Under the Securities Acts of 1933, registration is required for which of the following securities?
  • What does 'operational risk' refer to?
  • Which of the following is a type of financial liability?
  • What is the underwriting process in finance?
  • What does "dividend yield" represent for an investment?
  • How does an "initial public offering" (IPO) benefit a company?
  • In the context of investments, what does the term "market risk" refer to?
  • What occurs when a customer opens and closes the same stock position without full payment in a cash account within 90 days?
  • Under FINRA rules, which of the following activities by a registered representative requires written notification to her firm?
  • What is the primary purpose of the Securities Industry Essentials (SIE) exam?
  • How does diversification benefit an investment portfolio?
  • Which type of account is typically used for retirement savings?
  • What does a credit rating assess?
  • What is a "blue chip" stock?
  • What qualifies a married couple as an accredited investor under SEC guidelines?
  • In finance, what does the term 'issuer' refer to?
  • Under a system of statutory voting, how many votes does a common stockholder have for each vacancy on the board of directors?
  • What are "credit ratings" significant for?
  • In finance, what does the term 'profits' typically refer to?
  • What type of voting system allows shareholders to allocate their votes among multiple candidates for the board of directors?
  • What is the definition of 'market risk'?
  • How is credit risk defined?
  • What is the purpose of anti-money laundering (AML) regulations?
  • What type of financial risk does market risk encompass?
  • How is 'capital gain' defined?
  • What does an 'income statement' primarily indicate?
  • What is the primary role of the SEC?
  • Which security type offers investors a stated maturity date, a floating interest rate, and the option to put it back to a financial intermediary?
  • What role does a 'clearinghouse' play in trading?
  • What is the key difference between an ETF and a mutual fund?
  • What is the role of a registered representative?
  • In investment terms, what does "leverage" refer to?
  • In a Chapter 11 proceeding, which group has the highest priority claim?
  • Explain 'passive management' in investing.
  • What does "volatility" refer to in financial markets?
  • What is a primary market?
  • Which type of securities are primarily traded based on their average life?
  • What is the cost basis of an inherited mutual fund?
  • A transaction in which a writer covers a position by purchasing an option is called?
  • What does the investment objective of a client refer to?
  • What is a common tool used to mitigate risk in an investment strategy?
  • What is "regulation T" primarily associated with?
  • At the time of issuance, which of the following securities typically has the longest period of expiration?
  • In the context of financial derivatives, what is a "call option"?
  • What is the primary purpose of FINRA's Rule 2111?
  • How does a rising interest rate environment affect call protection for bond owners?
  • No-load mutual funds may have lower expense ratios than load mutual funds for which of the following reasons?
  • What is a "warrant" in the context of securities?
  • Which of the following Form U4 reportable events leads to a statutory disqualification?
  • What does a covered call option strategy generally entail for investors?
  • What is the main function of a mutual fund?
  • How many shares will be purchased from an investor who tenders 1,000 shares when only 900,000 shares are tendered in a tender offer for 1 million shares?
  • Which statement about municipal finance professionals contributing to political campaigns is true?
  • Which of the following best defines the term 'capital gain'?
  • What is meant by 'liability' in finance?
  • What is the purpose of a prospectus in securities offerings?
  • What primarily determines how much counter currency a customer receives when exchanging a base currency?
  • What does 'return on investment' (ROI) measure?
  • What do direct participation programs (DDPs) primarily provide investors?
  • Which of the following investment risks is considered the greatest risk in a variable life insurance policy?
  • What does the term "market maker" refer to?
  • A firm participating in a public offering agrees to repurchase shares at no less than the original sales price. Such agreements are?
  • How is a bull market defined?
  • What is the role of a broker-dealer in the securities industry?
  • Which of the following is NOT a type of order that can be placed in the stock market?
  • What does the term "liquidity" refer to in finance?
  • In a period of low inflation and economic recession, the Federal Reserve is expected to take which of the following actions?
  • Under Rule 144A, restricted stock can be sold to which group of investors?
  • When recommending a 529 college savings plan, what should a registered representative explain regarding contributions?
  • What best describes the essential difference between a primary distribution and a secondary distribution?
  • Which of the following is considered inside information if disclosed by an officer of a company?
  • What is meant by the "cost basis" of an investment?
  • What does "quantitative easing" involve?
  • Which of the following best describes a 'stop-loss order'?
  • What is generally considered a benefit of Direct Participation Programs (DDPs)?
  • How would you define 'mutual funds'?
  • What does diversification in an investment portfolio aim to achieve?
  • In a variable annuity, what impact does the selection of an investment option have?
  • What is "interest rate risk" in bond investing?
  • How often must a firm send account statements to a customer with no transactions for 18 months and a cash balance?
  • What characterizes a 'margin account'?
  • What is the purpose of a limit order?
  • What is the role of a "rating agency" in financial markets?
  • What is described by the 'risk-return tradeoff' principle?
  • When is call protection most valuable to a bond owner?
  • What is a 'wash sale'?
  • According to FINRA rules, which types of noncash compensation are permissible in the sale of variable contracts?
  • In which market condition would you expect to see high investor confidence?
  • What does "KYC" stand for and what is its main goal?
  • What is the function of an underwriter in a securities offering?
  • In a corporate context, what does "liability" refer to?
  • Which of the following best explains the functionality of a margin account?
  • What is the key difference between common stock and preferred stock?
  • What does the term "liquidity" refer to in finance?
  • An employee can contribute an additional amount to a mayor's re-election campaign without affecting his firm's municipal securities business. What is the maximum amount he can contribute?
  • What does the term 'dividend' mean?
  • What is the regular way settlement period for Treasury bonds?
  • What is the purpose of the SEC's EDGAR database?
  • What is meant by 'systematic risk' in the financial market?
  • Which term describes a risk management strategy that incorporates various investments to limit exposure?
  • What is a 'systematic investment plan (SIP)'?
  • What does 'yield' refer to in the context of fixed-income securities?
  • What is a 'prospectus'?
  • Under SEC Regulation S-P (Consumer Privacy), which of the following information must a firm include in its customer privacy and opt-out notices?
  • What does 'certificate of deposit' (CD) refer to?
  • What is a 'market maker'?
  • What are the two main types of securities?
  • What is the significance of an "on-the-run" Treasury security?
  • In bond investing, what does 'duration' indicate?
  • Which debt securities mature in one year or less at issuance?
  • A decline in the gross domestic product (GDP) must last for at least how many quarters to be considered a recession?
  • What is a key feature shared by both Roth 401(k) and Roth IRA plans?
  • What constitutes 'insider trading'?
  • When is a broker-dealer allowed to accept payment for a new issue from a customer?
  • Which of the following is NOT a requirement for FINRA's anti-money laundering programs?
  • What is a key feature of asset-backed securities that distinguishes them from other securities?
  • What type of account allows for the purchase of securities on margin?
  • Which type of investment company calculates its share price based on the NAV after receiving an order?
  • What is the primary reason for a company to conduct a tender offer?
  • Which of the following actions violates FINRA rules regarding selling away?
  • What is short selling?
  • What is the function of the Financial Industry Regulatory Authority (FINRA)?
  • Which type of investor would be considered as holding inside information?
  • What aspect does diversification specifically aim to address?
  • Who is primarily responsible for making sure that securities firms comply with regulatory requirements?
  • What does a higher credit rating indicate about a borrower?
  • What does a market maker's quote signify in terms of liquidity provided to the market?
  • What are "derivatives" in the context of financial investments?
  • Which type of security represents ownership in a company?
  • An associated person who is not a registered representative is permitted to do which of the following?
  • The last transaction in XYZ 5.50s 2030 was at 102. This bond is selling at?
  • What is an "exchange-traded fund" (ETF)?
  • In a 529 college savings plan, what primary benefit should contributors be aware of?
  • What does FINRA stand for?
  • Under Federal Reserve Regulation T, a 90-day restriction applies to which of the following situations?
  • What is a potential downside of short selling?
  • How long is a customer's letter of intent valid for a mutual fund purchase?
  • What is the primary purpose of a prospectus in a securities offering?
  • What does the term "market cap" refer to in the context of stock dividends?
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