FINRA Series7 : General Securities Representative Examination (GS)

Series7 real exams

Exam Code: Series7

Exam Name: General Securities Representative Examination (GS)

Updated: Aug 25, 2026

Q & A: 400 Questions and Answers

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About FINRA Series7 Exam

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FINRA Series7 Exam Syllabus Topics:

SectionWeightObjectives
Provides Customers with Information about Investments, Makes Suitable Recommendations, Transfers Assets and Maintains Appropriate Records73%- Debt securities and government obligations
- Recordkeeping and regulatory reporting
- Options and derivative products
- Margin accounts and taxation
- Investment companies, ETFs, and variable annuities
- Equity securities
- Direct participation programs
- Municipal securities
Seeks Business for the Broker-Dealer from Customers and Potential Customers7%- Product-specific disclosures and regulatory requirements
- Standards for advertising and public communications
- Customer communication and solicitation rules
Opens Accounts after Obtaining and Evaluating Customers’ Financial Profile and Investment Objectives9%- Account types and documentation requirements
- Suitability rules and regulatory compliance
- Financial profile, risk tolerance, and investment objectives
Obtains and Verifies Customers’ Purchase and Sales Instructions; Processes, Completes and Confirms Transactions11%- Regulatory requirements for transaction processing
- Order types and execution procedures
- Trade settlement and confirmation rules

FINRA General Securities Representative Examination (GS) Sample Questions:

Question 1

Bubba want to buy a CMO. In general, how often should he expect to receive interest payments?

A. every month
B. every year
C. every week
D. at maturity


Question 2

Bubba buys "double-barreled" municipal bonds. What is the source of guaranteed repayment on these
bonds?

A. a specific municipal project plus a federal subsidy
B. all projects of the issuing municipality
C. one specific municipal project plus the full financial strength of the issuer
D. two specific municipal projects


Question 3

The Bubba Corporation has 900,000 of common outstanding and holds 100,000 shares as treasury stock.
At the end of the third quarter $450,000 is distributed as a dividend on the common. How much is the
dividend per share?

A. $0.50
B. $2.22
C. $2.00
D. $0.45


Question 4

The term "secondary market" refers to:

A. trading in outstanding issues
B. issues that banks are not permitted to underwrite
C. private placements
D. trading in issues of low quality


Question 5

The price an investor pays for a listed option is called the

A. spread
B. exercise price
C. premium
D. strike price


Solutions:

Question 1
Answer: A
Question 2
Answer: C
Question 3
Answer: D
Question 4
Answer: A
Question 5
Answer: C

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