This exam is administered by The Financial Industry Regulatory Authority (FINRA) and provides an individual with the qualifications necessary to conduct business in most types of corporate securities, It is also one of the steps necessary in order for a member firm associate to register with FINRA. The Series 62 exam may be passed in order to take many other principal exams offered by FINRA.
$90 US. Note that this is the examination enrollment fee ONLY--other fees may also apply.
You must be sponsored by a FINRA member firm.
Number of Questions:
| Types & Characteristics of Securities & Investments
| The Market for Corporate Securities
| Evaluation of Securities & Investments
| Handling Customer Accounts & Securities Industry Regulations
Each candidate will be allowed 150 minutes to complete the examination. This time limit has been designed to provide enough time for all
candidates to complete the exam. A score of 70% or higher is required to pass the series 62 exam.
The examination is conducted as a closed book test. Upon completion of the examination, the score for each section and the overall
test score will immediately be made available to the candidate.
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