Series 3
A securities license entitling the holder to sell commodities or futures contracts.
The Series 3 exam is administered by the Financial Industry Regulatory Athority (FINRA) and covers topics such as options, futures, hedging, margin requirements, and regulations.
The Series 3 exam is administered by the Financial Industry Regulatory Athority (FINRA) and covers topics such as options, futures, hedging, margin requirements, and regulations.
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