📅 When to Start Studying Before Your FINRA Exam Preparing for a FINRA exam like Series 6, 7, 63, or 65 isn’t something to leave to the last minute. These exams test your knowledge of complex financial concepts, products, and regulations — and a clear study plan is essential. So, when should you start studying? […]
If you’re in the United States and looking to take a FINRA exam—such as the SIE, Series 7, or Series 24—you can schedule your test at one of the many Prometric test centers nationwide. Prometric is FINRA’s official testing partner, offering secure and standardized exam environments across the country. 🗺️ How to Find a Test […]
📊 Series 6 Exam Pass Rate: What You Need to Know The Series 6 exam, also known as the Investment Company and Variable Contracts Products Representative Exam, has a pass rate of approximately 58% to 59%. This means nearly 4 out of 10 candidates do not pass on their first attempt — making preparation a […]
🧭 When to Choose Series 66 Over Series 63 + 65 If you’re aiming for a career that involves both selling securities and providing investment advice, you’ll likely need state registration. That usually means passing either Series 66 or the combination of Series 63 and Series 65. But which one is right for you? Here’s […]
🧾 What’s the Difference Between Series 63 and Series 66?📘 Understanding Two Key Exams for State-Level Securities Licensing Both the Series 63 and Series 66 exams are designed to qualify financial professionals to operate legally at the state level, but they serve different purposes and are required in different career paths. Here’s a clear breakdown […]
🟦 What’s the Dress Code for FINRA Exam Centers? If you’re preparing for a FINRA exam—such as the Series 7, Series 66, or Series 24—at a Prometric test center, you might wonder what to wear on exam day. While there’s no formal dress code, comfort, simplicity, and compliance with security rules are key. 👕 What […]
🎯 What’s the Best Way to Prepare for the Series 65? The Series 65 exam isn’t just a test—it’s the gateway to becoming a licensed Investment Adviser Representative (IAR). With 130 questions across four key topics and a 72% passing score, you need a smart, structured approach to succeed. 📘 Step 1: Understand the Exam […]
🟦 What Topics Are on the Series 66 Exam? The Series 66 exam, also known as the Uniform Combined State Law Exam, is designed to qualify individuals as both securities agents and investment adviser representatives (IARs). It’s typically taken in combination with the Series 7 to meet state registration requirements for fee-based advisory roles. The […]
💼 What You Can Do with a Series 6 License The Series 6 license, officially known as the Investment Company and Variable Contracts Products Representative Exam, allows you to sell a specific set of financial products—primarily packaged investment products. It’s often chosen by professionals who work in insurance, mutual funds, and retirement planning. 🛠️ What […]
🧾 What You Can Do with a Series 66 in 2025💼 Your Gateway to Dual Registration in the Financial Industry In 2025, the Series 66 license remains a powerful qualification that allows financial professionals to offer both investment advice and execute securities transactions, provided it’s paired with a Series 7 license. It’s designed for those […]