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Series 26 is a license and exam that is administered by the Financial Industry Regulation Authority, or FINRA. It is also called the Investment Company and Variable Contracts Products Principal Exam. Individuals who pass the exam can become limited principals and are able to supervise and manage sales activities for investments companies and annuities. If you're interested in one of the positions that a Series 26 license qualifies you for, scoring well enough on the exam to pass is essential.

The Series 26 Exam takes two-hours-and-thirty minutes to complete. It is comprised of 110 multiple-choice questions, of which at least 70% must be answered correctly. The exam is split into three broad categories; personnel management activities and registration of the broker-dealer, supervision of associated persons and sales practices, and overseeing compliance and business processes of a broker-dealer and their offices. Within these categories, you can expect to find questions on topics like the Securities Act of 1933, registration, underwriter requirements and procedures, annuities types and valuations, and FINRA conduct rules.

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