I'm a financial services professional with 30 years experience with FINRA broker/dealers, investment advisors and CBOE option firms. I've held the following licenses; series #4,ROP, #7 RR, #24GSP, #27FINOP, #53MUNI, #63ST, #65ADV, #66LAW. |
I have helped numerous people pass the various FINRA exams including the Series #6, #7, #63, #65 and #66. |