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Series 7 Exam: Module 2 - Debt Securities
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Curriculum
Series 7 Exam: Module 2 - Debt Securities
Introduction
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Introduction to Bonds
3 min
Characteristics of Bonds
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Issuers
3 min
Preview
Interest
3 min
Maturities
3 min
Term Maturity
3 min
Serial Maturity
3 min
Balloon Maturity
3 min
Series Issues
3 min
Bond Certificate
3 min
Registration of Bonds
3 min
Coupon (Bearer) Bonds
3 min
Registered Bonds
3 min
Book-Entry Bonds
3 min
Denominations
3 min
PRICING
0/3
Par
3 min
Premium
3 min
Discount
3 min
RATING AND ANALYZING BONDS
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RATING AND ANALYZING BONDS
3 min
Basis for Bond Ratings
3 min
Relationship of Rating to Yield
3 min
Comparative Safety of Debt Securities
3 min
Liquidity
3 min
DEBT RETIREMENT
3 min
Redemption
3 min
Sinking Fund
3 min
Calling Bonds
3 min
Call Premium
3 min
Advantages of a Call to the Issuer
3 min
Call Protection
3 min
Effects of a Call on Trading
3 min
Refunding Bonds
3 min
Pre-refunding
3 min
Crossover Refunding
3 min
Tender Offers
3 min
Putable Bonds (Bonds with Put Options)
3 min
BOND YIELDS
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A bond’s yield
3 min
Comparing Yields
3 min
Nominal Yield
3 min
Current Yield
3 min
Yield to Maturity
3 min
Yield to Call
3 min
Yield Curve
3 min
Rate Changes and Bond Prices
3 min
CORPORATE BONDS
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Corporate bonds
3 min
SECURED BONDS
3 min
Mortgage Bonds
3 min
Collateral Trust Bonds
3 min
Equipment Trust Certificates
3 min
UNSECURED BONDS
3 min
Debentures
3 min
Subordinated Debentures
3 min
Liquidation
3 min
Guaranteed Bonds
3 min
Income Bonds
3 min
Zero-coupon bonds
3 min
Advantages and Disadvantages
3 min
Taxation of Zero-Coupon Bonds
3 min
THE TRUST INDENTURE
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The Trust Indenture
3 min
The Trustee
3 min
Exemptions
3 min
Protective Covenants
3 min
TRADING CORPORATE BONDS
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NYSE-LISTED BONDS
3 min
CONVERTIBLE BONDS
3 min
Advantages of Convertible Securities to the Issuer
3 min
Disadvantages of Convertible Securities to the Issuer
3 min
The Market for Convertible Securities
3 min
Conversion Price and Conversion Ratio
3 min
Calculating Conversion Parity
3 min
Antidilution Covenant
3 min
Forced Conversion
3 min
Reverse Convertibles
3 min
U.S. GOVERNMENT AND AGENCY SECURITIES
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U.S. GOVERNMENT AND AGENCY SECURITIES
3 min
MARKETABLE GOVERNMENT SECURITIES
3 min
Treasury Bills (T-Bills)
3 min
Treasury Notes (T-Notes)
3 min
Treasury Bonds (T-Bonds)
3 min
Treasury Receipts
3 min
STRIPS
3 min
Treasury Inflation Protection Securities (TIPS)
3 min
AGENCY ISSUES
3 min
AGENCY Yields and Maturities
3 min
Taxation
3 min
Government National Mortgage Association (Ginnie Mae)
3 min
Farm Credit System
3 min
Federal Home Loan Mortgage Corporation (Freddie Mac)
3 min
Federal National Mortgage Association (Fannie Mae)
3 min
Sallie Mae
3 min
ISSUANCE OF GOVERNMENT SECURITIES
3 min
ACCRUED INTEREST CALCULATIONS
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ACCRUED INTEREST CALCULATIONS
3 min
ACCRUED INTEREST AND THE DATED DATE
3 min
CORPORATE AND MUNICIPAL BONDS
3 min
Accrued Interest Calculations
3 min
Accrued Interest Calculation: 360-Day Year
3 min
Accrued Interest Calculation: 365-Day Year
3 min
COLLATERALIZED MORTGAGE OBLIGATIONS (CMOs)
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CLASSES OF CMOs
3 min
Principal-Only CMOs (POs)
3 min
Interest-Only CMOs (IOs)
3 min
Planned Amortization Class CMOs (PACs)
3 min
Targeted Amortization Class CMOs (TACs)
3 min
Zero-Tranche CMO (Z-Tranche)
3 min
Inverse Floater CMO
3 min
CMO CHARACTERISTICS
3 min
Yields
3 min
Taxation
3 min
Liquidity
3 min
Denominations
3 min
Suitability
3 min
COLLATERALIZED DEBT OBLIGATIONS (CDOS)
3 min
NONMARKETABLE U.S. GOVERNMENT SECURITIES
0/3
NONMARKETABLE U.S. GOVERNMENT SECURITIES
3 min
SERIES EE BONDS
3 min
SERIES I BONDS
3 min
MONEY MARKET SECURITIES AND INTEREST RATES
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THE MONEY MARKET
3 min
Liquidity and Safety
3 min
MONEY MARKET INSTRUMENTS
3 min
Repurchase Agreements
3 min
Reverse Repurchase Agreements
3 min
Banker’s Acceptances
3 min
Commercial Paper
3 min
Certificates of Deposit (CDs)
3 min
INTEREST RATES
3 min
Federal Funds Rate
3 min
Prime Rate
3 min
Discount Rate
3 min
Broker Loan Rate
3 min
Interest Rate Summary
3 min
EURODOLLARS AND THE FOREIGN CURRENCY MARKETS
3 min
Eurodollars
3 min
Eurobonds and Eurodollar Bonds
3 min
Interbank Market
3 min
Exchange Rates
3 min
Speculating in Foreign Currencies
3 min
Sovereign Debt
3 min
TRACKING DEBT SECURITIES
0/5
CORPORATE BONDS
3 min
Trade Reporting and Compliance Engine (TRACE)
3 min
TRACKING U.S. GOVERNMENT SECURITIES
3 min
Treasury Bonds and Notes
3 min
Treasury Bills
3 min
OTHER DEBT SECURITIES
0/2
EQUITY-LINKED NOTES (ELNs)
3 min
Principal Protected Notes (PPNs)
3 min
Debt Strategies and Suitability
0/2
Debt Strategies and Suitability
3 min
BOND LADDERING
3 min
UNIT TEST
0/1
UNIT TEST
3 min
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0/1
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