Investment Company and Variable Contracts Representative
- Product Code: series 6
- Exam Questions: 347
- Vendor: finra
$9.99
$12.99- Updated At: Nov 14, 2024
Variable Contracts Representative (VCR) - Investment Company
This certification is designed to assess the knowledge and abilities of professionals working with investment companies and variable contracts.
Focus
The Investment Company and Variable Contracts Representative certification focuses on Investment Companies and Variable Contracts
Exam Duration
The Investment Company and Variable Contracts Representative exam duration is 150 minutes
Num of Question
The exam contains a total of 100
Exam Fee
The exam fee is $295.
Exam Validity
The CCRN-Pediatric certification is valid for 2 years.
Prior Certification
- Finra Series 7, or series 6 and Series 63
Exam Format
The Investment Company and Variable Contracts Representative exam is a Multiple Choice Questions (MCQs) and case studies/ reading comprehension questions
Passing Conditions
To pass Investment Company and Variable Contracts Representative exam, applicants must achieve a minimum score of Pass by a minimum of 72.5% in two sections, each taken separately
Who Should Take
Individuals working in the investment industry, particularly those working with investment companies and variable contracts, who want to demonstrate their knowledge and expertise in these areas.
- Investment Representative
- Branch Manager
Prerequisites
No work experience is required for this certification, but having some experience in the investment industry would be beneficial.
Or can substitute with certifications:
- Series 7 and Series 66 (Uniform Combined State Law Examination)
Certification Process
- Register with Finra for the exam
- Study for and pass the exam
- Maintain Continuing Education (CE) requirements for certification renewal
Domains with Weights
- Knowledge of Investment Companies (40%): Candidates should understand the concepts of investment companies, including variable contracts, unit investment trusts (UITs), and real estate investment trusts (REITs). They should also be familiar with the organizational structure and management of investment companies, as well as the role of investment company boards and management committees.
- Knowledge of Variable Contracts (30%): Candidates should understand the concepts of variable contracts, including the structure and operation of variable contracts, the role of the registered representative, and the distribution of variable contract values between shareholders and the insurance company.
- Ethics and Professional Conduct (15%): Candidates should understand the ethical standards and professional conduct expected of investment professionals, including compliance with securities laws and regulations, confidentiality, and the duty to disclose material information to customers.
- Sales and Trading Practices (15%): Candidates should understand the sales and trading practices related to investment companies and variable contracts, including the distribution of products, compliance with prospectuses and product literature, and the suitability standards for sales and trading activities.
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