FINRA Revises the Series 4 Examination Program

FINRA periodically reviews the content of qualification examinations to determine whether revisions are necessary or appropriate in view of changes—including changes to the laws, rules and regulations—pertaining to the subject matter the examinations cover. Based on this review process, FINRA has revised the Registered Options Principal (Series 4) examination program. The changes are reflected in … Continue reading FINRA Revises the Series 4 Examination Program

FINRA to Restructure Continuing Education Requirements and Qualification Exams

Proposed Rule Change to Adopt Consolidated FINRA Registration Rules, Restructure the Representative-Level Qualification Examination Program and Amend the Continuing Education Requirements Financial Industry Regulatory Authority, Inc. (“FINRA”) is filing with the Securities and Exchange Commission (“SEC” or “Commission”) a  proposed rule change to adopt with amendments the NASD and Incorporated NYSE rules relating to qualification … Continue reading FINRA to Restructure Continuing Education Requirements and Qualification Exams

Copyright© 2024 The LeGaye Law Firm P.C.