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SR-FINRA-2013-045

Proposed Rule Change to Revise the Series 6 Examination Program

Financial Industry Regulatory Authority, Inc. ("FINRA") is filing with the Securities and Exchange Commission ("SEC" or "Commission") revisions to the content outline and selection specifications for the Investment Company and Variable Contracts Products Representative (Series 6) examination program. The proposed revisions update the material to reflect changes to the laws, rules and regulations covered by the examination and to incorporate the functions and associated tasks currently performed by an Investment Company and Variable Contracts Products Representative. In addition, FINRA is proposing to make changes to the format of the content outline. FINRA is not proposing any textual changes to the By-Laws, Schedules to the By-Laws or Rules of FINRA.

Title Format - Size Status
Text of Proposed Rule Change PDF - 828.66 KB
Notice of Filing and Immediate Effectiveness PDF - 210.19 KB