Comprehensive Securities Licensing Exam Preparation
- Learn with live and on-demand virtual classes, practice exams and flashcards
- Trusted by the world's top banks and broker dealers
- 95% of STC students pass on the first try
Get Started in the Securities Industry
We offer the entire range of Registered Representative licensing exams to start you on the path to success.
- Securities Industry Essentials SIE
LICENSE DESCRIPTION
Securities Industry Essentials SIE
The SIE is a FINRA exam and pre-requisite to working within the financial services industry and is taken in combination with the following exams: Series 6, 7, 52, 57, 79, 86, 87 or 99. Individuals are not required to be an employee of a sponsoring firm in order to take the SIE exam.Starting at $124
View Packages - Series 3
LICENSE DESCRIPTION
Series 3
Series 3 is a National Futures Association licensing exam required for commodities and futures professionals, who solicit orders, or supervise individuals on behalf of a Futures Commission Merchant , Introducing Broker, Commodity Trading Advisor, or Commodity Pool Operator.Starting at $271
View Packages - Series 6
LICENSE DESCRIPTION
Series 6
Series 6 is a FINRA licensing exam required for registered representatives who sell investment companies, variable annuities and life insurance contracts. Individuals are required to pass both the Series 6 as well as the SIE exam in order to register as a representative.Starting at $130
View Packages - Series 7
LICENSE DESCRIPTION
Series 7
Series 7 is a FINRA licensing exam required for registered representatives who sell the broadest range of securities including corporate securities, municipal securities, and options. Individuals are required to pass both the Series 7 and the SIE exam in order to register as a representative.Starting at $235
View Packages - Series 31
LICENSE DESCRIPTION
Series 31
Series 31 is a National Futures Association licensing exam required for individuals who sell commodity pools.Starting at $62
View Packages - Series 32
LICENSE DESCRIPTION
Series 32
Series 32 is a National Futures Association licensing exam required for individuals who are currently registered in the United Kingdom as general representatives for futures and options.Starting at $62
View Packages - Series 50
LICENSE DESCRIPTION
Series 50
Series 50 is a MSRB licensing exam required for municipal financial professionals who offer advice to municipal entities relating to investments or the issuance of municipal debt.Starting at $203
View Packages - Series 52
LICENSE DESCRIPTION
Series 52
Series 52 is a MSRB licensing exam required for individuals engaged in the sale or underwriting of municipal securities. Individuals are required to pass both the Series 52 Exam and the SIE qualification exam in order to register as a representative.Starting at $339
View Packages - Series 57
LICENSE DESCRIPTION
Series 57
Series 57 is a FINRA licensing exam required for an Equity Trader or Proprietary Trader. Individuals are required to pass both the Series 57 Exam and the SIE qualification exam in order to register as a representative.Starting at $256
View Packages - Series 63
LICENSE DESCRIPTION
Series 63
Series 63 is a NASAA licensing exam required for individuals seeking to register and meet their state licensing requirement. This exam is frequently combined with the SIE, Series 6, 7, 79.Starting at $88
View Packages - Series 65
LICENSE DESCRIPTION
Series 65
Series 65 is a NASAA licensing exam required for individuals seeking to register and meet their state investment adviser representative licensing requirement and provide advisory services. This exam is frequently combined with the SIE, Series 6 and 7.Starting at $193
View Packages - Series 66
LICENSE DESCRIPTION
Series 66
Series 66 is a NASAA licensing exam, required for individuals seeking to register and meet their state investment advisor representative licensing requirement and provide advisory services. Series 7 is a pre-requisite for this exams and financial advisors often combine it with SIE and Series 7.Starting at $141
View Packages - Series 79
LICENSE DESCRIPTION
Series 79
Series 79 is a FINRA licensing exam required for individuals who are seeking to work in the capital markets as an investment banker. Individuals are required to pass both the SIE and Series 79 exam in order to register as a representative. This exam is frequently combined with the SIE and Series 63.Starting at $386
View Packages - Series 86
LICENSE DESCRIPTION
Series 86
Series 86 is a FINRA licensing exam required for research analysts and other individuals who produce research reports. Individuals are required to pass both the Series 86 and 87 in order to register as a research analyst. This exam is frequently purchased with the Series 86.Starting at $287
View Packages - Series 87
LICENSE DESCRIPTION
Series 87
Series 87 is a FINRA licensing exam required for research analysts and other individuals who produce research reports. Individuals are required to pass both the Series 86 and 87 in order to register as a research analyst. This exam is frequently purchased with the Series 86.Starting at $130
View Packages - Series 99
LICENSE DESCRIPTION
Series 99
Series 99 is a FINRA licensing exam required for "covered persons" responsible for certain broker dealer back-office or operational functions. Individuals are required to pass both the Series 99 Exam and SIE exam in order to register as an operations professional. This exam is frequently combined with the SIE.Starting at $130
View Packages
Take Your Career to the Next Level
As a Manager or Principal we have the right licensing exams to help transition your career.
- Series 4
LICENSE DESCRIPTION
Series 4
Series 4 is a FINRA exam required for individuals responsible for the supervision of a broker dealer's options accounts, trading, and sales personnel. A current SIE and Series 7 registration are co-requisites.Starting at $287
View Packages - Series 9
LICENSE DESCRIPTION
Series 9
Series 9 is a FINRA exam required for individuals responsible for sales management or branch office supervision that includes options. Series 9 is typically taken along with the Series 10 by individuals who have a supervisory role at a broker dealer. A current SIE and Series 7 registration are co-requisites.Starting at $219
View Packages - Series 10
LICENSE DESCRIPTION
Series 10
Series 10 is a FINRA exam required for individuals responsible for sales management or branch office supervision. Series 10 is typically taken along with the Series 9 by individuals who have a supervisory role at a broker dealer. A current SIE and Series 7 registration are co-requisites.Starting at $339
View Packages - Series 14
LICENSE DESCRIPTION
Series 14
Series 14 is a FINRA exam required for chief compliance officers and those who supervise ten or more people engaged in compliance activities at New York Stock Exchange member firms.Starting at $245
View Packages - Series 16
LICENSE DESCRIPTION
Series 16
Series 16 exam is an FINRA exam required for Supervisory Analysts who prepare or approve research reports. Passing any part of the CFA examination makes you eligible to have Part II waived. This course can be ordered separately and has two parts; Part I covers regulations Part II covers Securities Analysis.Starting at $266
View Packages - Series 24
LICENSE DESCRIPTION
Series 24
Series 24 is a FINRA exam required for individuals who act as a principal / general securities supervisor. In addition to the Series 24 exam, candidates must pass the SIE Exam and the appropriate representative-level qualification exam. A current SIE and Series 7 registration are co-requisites.Starting at $287
View Packages - Series 26
LICENSE DESCRIPTION
Series 26
Series 26 is a FINRA exam required for individuals who supervise or manage representatives who sell investment company and variable insurance products. A current SIE and Series 6 or Series 7 registration are co-requisites.Starting at $156
View Packages - Series 27
LICENSE DESCRIPTION
Series 27
Series 27 is a FINRA exam required for individuals who manage back office operations, prepare and maintain a broker dealers books and records, and manage a firm's adherence to financial and operational regulations.Starting at $365
View Packages - Series 30
LICENSE DESCRIPTION
Series 30
Series 30 is a National Futures Association exam required for individuals who will function as branch managers. A current Series 3 registration is a co-requisite.Starting at $99
View Packages - Series 51
LICENSE DESCRIPTION
Series 51
Series 51 is an National Futures Association exam for individuals who supervise municipal securities activities of the dealer and its associated persons limited to municipal fund securities. A current Series 24 or Series 26 registration is a co-requisite.Starting at $99
View Packages - Series 53
LICENSE DESCRIPTION
Series 53
Series 53 is a MSRB exam required for individuals who will supervise a broker dealers municipal securities activities. A current SIE and Series 52 registration are co-requisites.Starting at $261
View Packages - Series 54
LICENSE DESCRIPTION
Series 54
Series 54 is an MSRB exam for individuals who engage in the management or supervision of municipal advisory activities. A current Series 50 registration is a co-requisite.Starting at $412
View Packages
Combination Package Options to Fit Your Career Path
Combination packages to meet your licensing requirements, and save you time and money.
- Series 6, SIE & 63
LICENSE DESCRIPTION
Series 6, SIE & 63
If you are starting your career in the financial services industry and require a Series 6 License, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $309
View Package - Series 7 & SIE & 63
LICENSE DESCRIPTION
Series 7 & SIE & 63
If you are starting your career in the financial services industry and require a Series 7 but will not be engaged in advisory services, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $403
View Package - Series 7 & SIE & 66
LICENSE DESCRIPTION
Series 7 & SIE & 66
If you are starting your career in the financial services industry and require a Series 7 & 66 License, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save10% off retail prices by purchasing the combination package.Starting at $450
View Package - Series 9 & 10
LICENSE DESCRIPTION
Series 9 & 10
If you are becoming an principal and are responsible for supervising your firm's options and general securities activities, this combination of package will put you on a path to become a fully registered sales prinicipal with FINRA. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $503
View Package - Series 16 Part 1 & 2
LICENSE DESCRIPTION
Series 16 Part 1 & 2
If you are becoming an principal and are responsible for supervising your firm's research reports, this combination of package will put you on a path to become a fully registered supervisory analyst with FINRA. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $266
View Package - Series 57 & SIE
LICENSE DESCRIPTION
Series 57 & SIE
If you are starting your career as a trader and require a Series 57 License, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $339
View Package - Series 79 & SIE
LICENSE DESCRIPTION
Series 79 & SIE
If you are starting your career in the capital markets industry and require a Series 79 license, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $459
View Package - Series 79 , SIE & 63
LICENSE DESCRIPTION
Series 79 , SIE & 63
If you are starting your career in the capital markets industry and require a Series 79 license, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $539
View Package - Series 86 & SIE
LICENSE DESCRIPTION
Series 86 & SIE
If you are starting your career in research and require the Series 86 license only due to an exemption, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $370
View Package - Series 86, Series 87 & SIE
LICENSE DESCRIPTION
Series 86, Series 87 & SIE
If you are starting your career in research and require a Series 86 & 87 license, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $488
View Package - Series 99 & SIE
LICENSE DESCRIPTION
Series 99 & SIE
If you are starting your career in operations and require a Series 99 license, this combination of packages is specifically designed to help you prepare, and pass your required FINRA exams. Take the next step, start training today and save 10% off retail prices by purchasing the combination package.Starting at $229
View Packages
The Widest Range of Products in the Industry
Every course you need to pursue your career goals.
- Securities Industry Essentials SIE
LICENSE DESCRIPTION
Securities Industry Essentials SIE
The SIE is a FINRA exam and pre-requisite to working within the financial services industry and is taken in combination with the following exams: Series 6, 7, 52, 57, 79, 86, 87 or 99. Individuals are not required to be an employee of a sponsoring firm in order to take the SIE exam.Starting at $124
View Packages - Series 3
LICENSE DESCRIPTION
Series 3
Series 3 is a National Futures Association licensing exam required for commodities and futures professionals, who solicit orders, or supervise individuals on behalf of a Futures Commission Merchant , Introducing Broker, Commodity Trading Advisor, or Commodity Pool Operator.Starting at $271
View Packages - Series 4
LICENSE DESCRIPTION
Series 4
Series 4 is a FINRA exam required for individuals responsible for the supervision of a broker dealer's options accounts, trading, and sales personnel. A current SIE and Series 7 registration are co-requisites.Starting at $287
View Packages - Series 6
LICENSE DESCRIPTION
Series 6
Series 6 is a FINRA licensing exam required for registered representatives who sell investment companies, variable annuities and life insurance contracts. Individuals are required to pass both the Series 6 as well as the SIE exam in order to register as a representative.Starting at $130
View Packages - Series 7
LICENSE DESCRIPTION
Series 7
Series 7 is a FINRA licensing exam required for registered representatives who sell the broadest range of securities including corporate securities, municipal securities, and options. Individuals are required to pass both the Series 7 and the SIE exam in order to register as a representative.Starting at $235
View Packages- Series 9
LICENSE DESCRIPTIONSeries 9
Series 9 is a FINRA exam required for individuals responsible for sales management or branch office supervision that includes options. Series 9 is typically taken along with the Series 10 by individuals who have a supervisory role at a broker dealer. A current SIE and Series 7 registration are co-requisites.Starting at $219
View Packages- Series 10
LICENSE DESCRIPTIONSeries 10
Series 10 is a FINRA exam required for individuals responsible for sales management or branch office supervision. Series 10 is typically taken along with the Series 9 by individuals who have a supervisory role at a broker dealer. A current SIE and Series 7 registration are co-requisites.Starting at $339
View Packages- Series 14
LICENSE DESCRIPTIONSeries 14
Series 14 is a FINRA exam required for chief compliance officers and those who supervise ten or more people engaged in compliance activities at New York Stock Exchange member firms.Starting at $245
View Packages- Series 16
LICENSE DESCRIPTIONSeries 16
Series 16 exam is an FINRA exam required for Supervisory Analysts who prepare or approve research reports. Passing any part of the CFA examination makes you eligible to have Part II waived. This course can be ordered separately and has two parts; Part I covers regulations Part II covers Securities Analysis.Starting at $266
View Packages- Series 24
LICENSE DESCRIPTIONSeries 24
Series 24 is a FINRA exam required for individuals who act as a principal / general securities supervisor. In addition to the Series 24 exam, candidates must pass the SIE Exam and the appropriate representative-level qualification exam. A current SIE and Series 7 registration are co-requisites.Starting at $287
View Packages- Series 26
LICENSE DESCRIPTIONSeries 26
Series 26 is a FINRA exam required for individuals who supervise or manage representatives who sell investment company and variable insurance products. A current SIE and Series 6 or Series 7 registration are co-requisites.Starting at $156
View Packages- Series 27
LICENSE DESCRIPTIONSeries 27
Series 27 is a FINRA exam required for individuals who manage back office operations, prepare and maintain a broker dealers books and records, and manage a firm's adherence to financial and operational regulations.Starting at $365
View Packages- Series 30
LICENSE DESCRIPTIONSeries 30
Series 30 is a National Futures Association exam required for individuals who will function as branch managers. A current Series 3 registration is a co-requisite.Starting at $99
View Packages- Series 31
LICENSE DESCRIPTIONSeries 31
Series 31 is a National Futures Association licensing exam required for individuals who sell commodity pools.Starting at $62
View Packages- Series 32
LICENSE DESCRIPTIONSeries 32
Series 32 is a National Futures Association licensing exam required for individuals who are currently registered in the United Kingdom as general representatives for futures and options.Starting at $62
View Packages- Series 50
LICENSE DESCRIPTIONSeries 50
Series 50 is a MSRB licensing exam required for municipal financial professionals who offer advice to municipal entities relating to investments or the issuance of municipal debt.Starting at $203
View Packages- Series 51
LICENSE DESCRIPTIONSeries 51
Series 51 is an National Futures Association exam for individuals who supervise municipal securities activities of the dealer and its associated persons limited to municipal fund securities. A current Series 24 or Series 26 registration is a co-requisite.Starting at $99
View Packages- Series 52
LICENSE DESCRIPTIONSeries 52
Series 52 is a MSRB licensing exam required for individuals engaged in the sale or underwriting of municipal securities. Individuals are required to pass both the Series 52 Exam and the SIE qualification exam in order to register as a representative.Starting at $339
View Packages- Series 53
LICENSE DESCRIPTIONSeries 53
Series 53 is a MSRB exam required for individuals who will supervise a broker dealers municipal securities activities. A current SIE and Series 52 registration are co-requisites.Starting at $261
View Packages- Series 54
LICENSE DESCRIPTIONSeries 54
Series 54 is an MSRB exam for individuals who engage in the management or supervision of municipal advisory activities. A current Series 50 registration is a co-requisite.Starting at $412
View Packages- Series 57
LICENSE DESCRIPTIONSeries 57
Series 57 is a FINRA licensing exam required for an Equity Trader or Proprietary Trader. Individuals are required to pass both the Series 57 Exam and the SIE qualification exam in order to register as a representative.Starting at $256
View Packages- Series 63
LICENSE DESCRIPTIONSeries 63
Series 63 is a NASAA licensing exam required for individuals seeking to register and meet their state licensing requirement. This exam is frequently combined with the SIE, Series 6, 7, 79.Starting at $88
View Packages- Series 65
LICENSE DESCRIPTIONSeries 65
Series 65 is a NASAA licensing exam required for individuals seeking to register and meet their state investment adviser representative licensing requirement and provide advisory services. This exam is frequently combined with the SIE, Series 6 and 7.Starting at $193
View Packages- Series 66
LICENSE DESCRIPTIONSeries 66
Series 66 is a NASAA licensing exam, required for individuals seeking to register and meet their state investment advisor representative licensing requirement and provide advisory services. Series 7 is a pre-requisite for this exams and financial advisors often combine it with SIE and Series 7.Starting at $141
View Packages- Series 79
LICENSE DESCRIPTIONSeries 79
Series 79 is a FINRA licensing exam required for individuals who are seeking to work in the capital markets as an investment banker. Individuals are required to pass both the SIE and Series 79 exam in order to register as a representative. This exam is frequently combined with the SIE and Series 63.Starting at $386
View Packages- Series 86
LICENSE DESCRIPTIONSeries 86
Series 86 is a FINRA licensing exam required for research analysts and other individuals who produce research reports. Individuals are required to pass both the Series 86 and 87 in order to register as a research analyst. This exam is frequently purchased with the Series 86.Starting at $287
View Packages- Series 87
LICENSE DESCRIPTIONSeries 87
Series 87 is a FINRA licensing exam required for research analysts and other individuals who produce research reports. Individuals are required to pass both the Series 86 and 87 in order to register as a research analyst. This exam is frequently purchased with the Series 86.Starting at $130
View Packages- Series 99
LICENSE DESCRIPTIONSeries 99
Series 99 is a FINRA licensing exam required for "covered persons" responsible for certain broker dealer back-office or operational functions. Individuals are required to pass both the Series 99 Exam and SIE exam in order to register as an operations professional. This exam is frequently combined with the SIE.Starting at $130
View Packages23 - Series 9
This is the best and most challenging course I have taken. The course was informative and helped me understand Series 7 concepts.
– Verified Student
Marshall University
The Path to Your Securities Exam Success
Everyone learns differently. STC students have access to a variety of learning tools that best fit their personal learning style. When students are enabled to chose their learning styles, they are more likely to enjoy their training and are more successful when sitting for their exam.
On-Demand Lectures
Hours of engaging and interactive content that’s accessible anytime you want. Watch and re-watch as many times as you need.
Live Virtual Classes
Learn from best-in-class instructors and subject matter experts with a live virtual classroom.
Study Aids
Various tools including crunch time facts, online and printed manuals and flashcards – all designed to help drive retention and better prepare students for their exam.
Practice Exams
Various exam formats ensure you are ready to pass your securities exam, on the first try. Create your own exams based on what you need to learn.