Understand the Securities Industry Essentials (SIE) Exam, a corequisite for the Series 6 license. Learn about its purpose, topics, and how it prepares you for a career in the securities industry.
Explore the comprehensive guide to Secondary Market Regulation under the Securities Exchange Act of 1934, focusing on oversight, registration requirements, and obligations of broker-dealers and exchanges.
Explore the comprehensive role of FINRA in regulating the securities industry, including oversight responsibilities, enforcement of rules, and administration of qualification exams.
Explore the comprehensive arbitration procedures administered by FINRA, including mandatory arbitration clauses and the step-by-step process from filing to award issuance.
Explore the intricacies of FINRA Rule 2210 governing communications with the public. Understand the categories, content standards, approval processes, and recordkeeping requirements to excel in the SIE Exam.
Explore the intricate world of FINRA rules and bylaws, essential for mastering the SIE Exam. Understand FINRA's structure, authority, and key regulations that govern U.S. broker-dealers, ensuring market integrity and investor protection.
Understand the frequency and content requirements for customer account statements in the securities industry, including regulatory guidelines and best practices.