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Series 6 Class

  • 100 Questions
  • Passing Score: 70%

The exam measures the degree to which each candidate possesses the knowledge needed to perform the critical functions of an investment company and variable contract products representative, including sales of mutual funds and variable annuities.

The FINRA Series 6 license is required for Reps to sell Mutual Funds, Variable Life Insurance and Variable Annuities. This class is taught by Pat Morton, CLU, ChFC, who has helped thousands of securities students pass these exams. Classes fill quickly – please enroll early. Morton Barber Learning Center offers several different training options to complete this course and to get certified. Continuing Education (CE) is also available for this course.

The FINRA Series 6 license is required for Reps to sell Mutual Funds, Variable Life and Variable Annuities.  While a class is not mandatory, many students find that a review of the concepts in a classroom format is extremely helpful in passing the exam.