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Master Finra Series 7 - General Securities Representative
Published 11/2024
MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz
Language: English | Size: 1.16 GB | Duration: 1h 53m
Ace FINRA Series 7: Ultimate Guide to Investment and Securities, Path to Series 7 Success, Preparation and Strategies.
What you'll learn
The purpose and responsibilities of the Series 7 license for General Securities Representatives.
Key characteristics of investment products such as stocks, bonds, mutual funds, ETFs, and options.
The fundamentals of trading, including different types of orders and market participants.
Important regulations, including SEC and FINRA rules, compliance requirements, and ethical standards.
How to conduct fundamental and technical analysis of securities.
Portfolio management principles, including risk assessment, diversification, and asset allocation.
Key concepts in taxation for securities, including tax-advantaged accounts like IRAs and 401(k)s.
The workings of margin accounts, different customer account types, and required account documentation.
Retirement and estate planning essentials.
Risk management strategies, including hedging techniques to mitigate investment risks.
and much more
Requirements
Willingness or Interest to learn about FINRA Series 7 and Preparation for the Series 7 Exam for Success.
Description
Unofficial Course || IMPORTANT before enrolling:This course is designed to complement your preparation for certification exams, but it is not a substitute for official vendor materials. It is not endorsed by the certification vendor, and you will not receive the official certification study material or a voucher as part of this course.This comprehensive FINRA Series 7 course is designed to prepare aspiring General Securities Representatives for success in the Series 7 exam. Covering all the essential topics, the course will equip you with the knowledge and skills needed to understand investment products, trading, regulations, and market structures.You will begin with an introduction to the Series 7 license, its purpose, and the responsibilities of a General Securities Representative. From there, you'll dive deep into various investment products, including equities, bonds, mutual funds, ETFs, and options, gaining an understanding of their features, risks, and benefits. The course also covers annuities and insurance products, providing a solid foundation for securities professionals.A key part of the course focuses on trading and market structures, where you'll learn about different types of orders, market participants, and the regulatory environment governed by the SEC and FINRA. You'll also explore securities analysis through both fundamental and technical approaches, and learn the basics of portfolio management, risk assessment, and asset allocation.Regulatory knowledge is critical for passing the Series 7 exam, so we've included detailed lessons on anti-money laundering (AML) rules, Know Your Customer (KYC) requirements, and suitability standards. You'll also explore ethical considerations, professional conduct, and the importance of compliance in the securities industry.Additionally, the course covers the tax implications of various securities, including dividend and capital gains taxation, along with an overview of tax-advantaged accounts like IRAs and 401(k)s. Understanding margin accounts, customer account types, and account documentation requirements will also be essential for the exam, and these topics are explained in-depth to prepare you for client interactions.Finally, the course will address the critical areas of retirement and estate planning, along with the different types of investment risks that clients face. You'll learn about key risk mitigation and hedging strategies, equipping you with the practical knowledge to provide well-rounded advice to your clients.Whether you're just starting your career in the financial industry or seeking to deepen your understanding of securities, this course provides everything you need to confidently tackle the Series 7 exam and advance in your role as a General Securities Representative.Thank you
Overview
Section 1: Introduction to FINRA Series 7
Lecture 1 Overview of the Series 7 License
Section 2: Understanding Investment Products
Lecture 2 Equities - Common and Preferred Stocks
Lecture 3 Bonds and Fixed-Income Securities
Lecture 4 Mutual Funds and Exchange-Traded Funds (ETFs)
Lecture 5 Options - Basics and Terminology
Lecture 6 Annuities and Insurance Products
Section 3: Trading and Market Structures
Lecture 7 Types of Orders and Order Management
Lecture 8 Market Participants and Trading Venues
Lecture 9 Market Regulations and Compliance
Section 4: Securities Analysis and Portfolio Management
Lecture 10 Fundamental Analysis - Key Concepts
Lecture 11 Technical Analysis - Basic Principles
Lecture 12 Portfolio Management Theories
Lecture 13 Economic Factors Affecting Investments
Section 5: Regulations and Ethics
Lecture 14 Anti-Money Laundering (AML) and Know Your Customer (KYC)
Lecture 15 Suitability and Client Recommendations
Lecture 16 Code of Ethics and Professional Conduct
Section 6: Taxation and Financial Reporting
Lecture 17 Basics of Securities Taxation
Lecture 18 Tax-Advantaged Accounts
Lecture 19 Financial Statements and Reporting Requirements
Section 7: Margin and Account Management
Lecture 20 Margin Accounts - Overview and Regulations
Lecture 21 Types of Customer Accounts
Lecture 22 Customer Account Documentation and Privacy
Section 8: Retirement and Estate Planning
Lecture 23 Retirement Plans Overview
Lecture 24 Estate Planning Essentials
Section 9: Risks and Strategic Considerations
Lecture 25 Types of Investment Risks
Lecture 26 Hedging Strategies and Risk Mitigation
Aspiring General Securities Representatives preparing for the FINRA Series 7 exam.,Finance professionals looking to expand their knowledge of securities, investment products, and market regulations.,Individuals seeking to enter the financial services industry and work in roles involving the sale of securities.,Existing professionals in the financial industry who want to strengthen their understanding of trading, compliance, and portfolio management.,Anyone interested in a comprehensive guide to the Series 7 exam and securities regulations.,Whether you're starting a career or enhancing your expertise, this course will help you succeed in the Series 7 exam and beyond.
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Published 11/2024
MP4 | Video: h264, 1920x1080 | Audio: AAC, 44.1 KHz
Language: English | Size: 1.16 GB | Duration: 1h 53m
Ace FINRA Series 7: Ultimate Guide to Investment and Securities, Path to Series 7 Success, Preparation and Strategies.
What you'll learn
The purpose and responsibilities of the Series 7 license for General Securities Representatives.
Key characteristics of investment products such as stocks, bonds, mutual funds, ETFs, and options.
The fundamentals of trading, including different types of orders and market participants.
Important regulations, including SEC and FINRA rules, compliance requirements, and ethical standards.
How to conduct fundamental and technical analysis of securities.
Portfolio management principles, including risk assessment, diversification, and asset allocation.
Key concepts in taxation for securities, including tax-advantaged accounts like IRAs and 401(k)s.
The workings of margin accounts, different customer account types, and required account documentation.
Retirement and estate planning essentials.
Risk management strategies, including hedging techniques to mitigate investment risks.
and much more
Requirements
Willingness or Interest to learn about FINRA Series 7 and Preparation for the Series 7 Exam for Success.
Description
Unofficial Course || IMPORTANT before enrolling:This course is designed to complement your preparation for certification exams, but it is not a substitute for official vendor materials. It is not endorsed by the certification vendor, and you will not receive the official certification study material or a voucher as part of this course.This comprehensive FINRA Series 7 course is designed to prepare aspiring General Securities Representatives for success in the Series 7 exam. Covering all the essential topics, the course will equip you with the knowledge and skills needed to understand investment products, trading, regulations, and market structures.You will begin with an introduction to the Series 7 license, its purpose, and the responsibilities of a General Securities Representative. From there, you'll dive deep into various investment products, including equities, bonds, mutual funds, ETFs, and options, gaining an understanding of their features, risks, and benefits. The course also covers annuities and insurance products, providing a solid foundation for securities professionals.A key part of the course focuses on trading and market structures, where you'll learn about different types of orders, market participants, and the regulatory environment governed by the SEC and FINRA. You'll also explore securities analysis through both fundamental and technical approaches, and learn the basics of portfolio management, risk assessment, and asset allocation.Regulatory knowledge is critical for passing the Series 7 exam, so we've included detailed lessons on anti-money laundering (AML) rules, Know Your Customer (KYC) requirements, and suitability standards. You'll also explore ethical considerations, professional conduct, and the importance of compliance in the securities industry.Additionally, the course covers the tax implications of various securities, including dividend and capital gains taxation, along with an overview of tax-advantaged accounts like IRAs and 401(k)s. Understanding margin accounts, customer account types, and account documentation requirements will also be essential for the exam, and these topics are explained in-depth to prepare you for client interactions.Finally, the course will address the critical areas of retirement and estate planning, along with the different types of investment risks that clients face. You'll learn about key risk mitigation and hedging strategies, equipping you with the practical knowledge to provide well-rounded advice to your clients.Whether you're just starting your career in the financial industry or seeking to deepen your understanding of securities, this course provides everything you need to confidently tackle the Series 7 exam and advance in your role as a General Securities Representative.Thank you
Overview
Section 1: Introduction to FINRA Series 7
Lecture 1 Overview of the Series 7 License
Section 2: Understanding Investment Products
Lecture 2 Equities - Common and Preferred Stocks
Lecture 3 Bonds and Fixed-Income Securities
Lecture 4 Mutual Funds and Exchange-Traded Funds (ETFs)
Lecture 5 Options - Basics and Terminology
Lecture 6 Annuities and Insurance Products
Section 3: Trading and Market Structures
Lecture 7 Types of Orders and Order Management
Lecture 8 Market Participants and Trading Venues
Lecture 9 Market Regulations and Compliance
Section 4: Securities Analysis and Portfolio Management
Lecture 10 Fundamental Analysis - Key Concepts
Lecture 11 Technical Analysis - Basic Principles
Lecture 12 Portfolio Management Theories
Lecture 13 Economic Factors Affecting Investments
Section 5: Regulations and Ethics
Lecture 14 Anti-Money Laundering (AML) and Know Your Customer (KYC)
Lecture 15 Suitability and Client Recommendations
Lecture 16 Code of Ethics and Professional Conduct
Section 6: Taxation and Financial Reporting
Lecture 17 Basics of Securities Taxation
Lecture 18 Tax-Advantaged Accounts
Lecture 19 Financial Statements and Reporting Requirements
Section 7: Margin and Account Management
Lecture 20 Margin Accounts - Overview and Regulations
Lecture 21 Types of Customer Accounts
Lecture 22 Customer Account Documentation and Privacy
Section 8: Retirement and Estate Planning
Lecture 23 Retirement Plans Overview
Lecture 24 Estate Planning Essentials
Section 9: Risks and Strategic Considerations
Lecture 25 Types of Investment Risks
Lecture 26 Hedging Strategies and Risk Mitigation
Aspiring General Securities Representatives preparing for the FINRA Series 7 exam.,Finance professionals looking to expand their knowledge of securities, investment products, and market regulations.,Individuals seeking to enter the financial services industry and work in roles involving the sale of securities.,Existing professionals in the financial industry who want to strengthen their understanding of trading, compliance, and portfolio management.,Anyone interested in a comprehensive guide to the Series 7 exam and securities regulations.,Whether you're starting a career or enhancing your expertise, this course will help you succeed in the Series 7 exam and beyond.
Screenshots
Say "Thank You"
rapidgator.net:
https://rapidgator.net/file/52312405a2cc...1.rar.html
https://rapidgator.net/file/837ebdd0cc94...2.rar.html
k2s.cc:
https://k2s.cc/file/93035142d278f/rccjg.....part1.rar
https://k2s.cc/file/7e807d99af6a0/rccjg.....part2.rar