Series 65 Exam Prep

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Becoming a Licensed Securities Professional – Series 65

The Series 65 license is a key requirement for professionals who want to provide investment advice and charge fees as an Investment Adviser Representative (IAR). Most state securities administrators require individuals to pass the Uniform Investment Adviser Law Exam, commonly known as the Series 65, before they can offer advisory services. This exam, developed by the North American Securities Administrators Association (NASAA) and administered by FINRA, ensures that candidates understand the regulations and responsibilities associated with managing client investments.

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