Licensing Exam Prep Designed to Help You Pass the First Time
- 95% First-Time Pass Rates
- Over 1,500,000 Financial Professionals Trained the Past 50 Years
- Trusted by the Top 35 Banks and Broker-Dealers and 3,500 Corporate Clients Worldwide
- Learn From the Industry’s Best-In-Class Instructors with Over 300 Years of Combined Experience
Good Afternoon Dave, I took your class this week and let me again say thank you. It was very clear to me how much you love your job and that you truly care about all of us passing, which I’m not sure I can say about some of the other testing companies I’ve previously used. Again, thank you for your hard work this week and I look forward to speaking to you soon to tell you I passed. I promise you will be third on my list of people to tell when I pass, just behind my girlfriend and dad, I’ll even do it before my manager!
- Evan R., FINANCIAL ADVISER, Chicago Illinois
I passed the series 24 yesterday. I started off using Kaplan, took the test, and failed. Then I switched to STC. I wish I would have used STC from the beginning and following the program from the beginning. What I’ve learned is the FiNRA test is like learning a different language. You need to be able to identify what the question is asking and what FiNRA is looking for. The STC test bank prepares you for that. I felt the actual test was not as difficult as the practice and green light exams. The series 24 material is extremely dry and Michael Simon has a very practical, yet dynamic approach in the way he teaches the material in the virtual class. STC is also extremely responsive and available for questions. It helped to speak with someone live and get a brief explanation to help grasp the material. There was a rhythm to it.
- Bill W., FINANCIAL ADVISER, St. Louis Missouri
I passed! Thank you so much, Elizabeth! I have long way to go…After series 7 I have to get 24, 65. Because of your excellent service and customer care, I want to stay with STC. Have a great day!!
- Ben B., FINANCIAL ADVISER, New York New York
I took the Series 24 yesterday and passed with flying colors. I felt very confident as I was going through the exam. Thank you for the great review course and tips.
- John C., FINANCIAL ADVISER, Charlottesville North Carolina
I passed my LAH exam with an 86%. Thanks again for all your help!
- Thomas C., FINANCIAL ADVISOR, Binghampton New York
Success Starts Here
Whether you are looking to start a career in financial services or insurance, we have a wide range of study products designed to prepare you to pass your qualifying exam.
SIE
The SIE (Securities Industry Essentials) Exam is a FINRA sponsored exam that is a prerequisite to working within the financial services industry and launching your Financial Services career. Individuals do not need to be associated with a member firm to take the SIE. Follow our proven study best practices and we guarantee you’ll pass.
Series 7
Passing the FINRA Series 7 Exam is the next step in launching your career in the securities industry. This exam, along with the SIE Exam, is required to be able to sell a broad range of securities. To benefit from STC’s technology solutions and up-to-date curriculum, choose one of our three different Prep Packages based on your learning needs and prepare to pass the first time.
Insurance
Life, Accident and Health Pre-licensing courses are required in order to act as an insurance agent. Our program is comprehensive and tailored to each state’s law, so that you get the information that you need to pass on the first try. We offer the most effective, exam-focused training solution in the industry.
College Program
In collaboration with some of our top corporate clients, we are sponsoring more than 15 different courses (and periodic webinars) at over 35 universities nationwide. Our General Securities College program allows students to learn practical and essential knowledge of the securities industry that will make them more marketable to prospective employers.
Why Choose STC?
STC was founded over 50 years ago with one purpose in mind - to help you pass your licensing exam and begin to achieve your professional goals. At our core, we are here to change lives and help you realize your dreams.
We also understand that people learn differently. That’s why we’ve spent thousands of hours perfecting our study materials and proven learning methodology. In addition to offering the widest variety of study options, STC offers live and virtual classes and ON-Demand lectures which put you in control of your training experience. Our study manual is available in online and print formats, plus our mobile app for IOS lets students conveniently synch with their STCI Homeroom from their mobile device.
Whenever and wherever you prefer to prepare for your exam, we have the tools to help you succeed on your professional path to success.
Highest
Pass Rates
95% of our students pass their first time.
State of the Art Technology
Analytics, diagnostic exams, student tracking, and a focused exam bank.
Our platform is mobile friendly and puts you in control. Study, Learn, Pass.
Learn
Your Way
Our platform is flexible and adaptable to meet your learning preferences: Videos, flashcards, online classes, and the strongest exam bank in the industry. However you learn best, we have you covered.
Over 50 Years of Experience
Over 3,500 satisfied corporate clients trust us to get you through your exam on the first try.
News & Trending Topics
Videos
Todd Talks Remote Testing – Ability to Review and Change Questions
As of September 28th, 2020 FINRA Remote Testing now allows you to review and change questions. Watch, listen and learn more…
Articles
What Is the SIE Exam and Why Did FINRA Establish It?
The SIE Exam is a FINRA-administered exam that’s required for any person who’s interested in starting a career in the securities industry. Passing the SIE alone doesn’t qualify a person for registration with a FINRA member firm or qualify them to engage in securities...
Podcasts
The New Definition of Accredited Investor
In this episode of our podcast, Chief Learning Officer, Todd Rosenfeld discusses the changes in the definition of Accredited Investor and how it impacts your business. Did you know that if you have a Series 7 or Series 65 registration you are now included in the new definition of an accredited investor under Regulation D? We cover this and more.