I'm Jeremy Perry Blaine

I'm a Stock Trader.

I'm Regulated by FINRA.

Welcome

based in Chesterfield, Missouri.

Contact Me

About Me

Know Me More

Hi, I'm Jeremy Perry Blaine, a regulated trader with over 20 years of experience in the financial markets.

My journey to becoming a full-time trader began in the summer of 2002. The majority of my father's inheritance had been lost by 2004, and I had accumulated significant credit card debt. After studying my past trades, I discovered a strategy that was generating nice profits, and at that point I became a more disciplined trader. In my current role, I work with beginner traders and have been using my strategy on different accounts for a number of years..

In the course of my journey, I searched for a trading room in which I could interact with other traders and learn from their experiences. It surprised me to learn that this resource did not exist. Therefore, I decided to create one.

Contact Me

Services

What I Do?

Summary

Resume

My Principal Examinations

2002 - 2005

Principal/Supervisory Exam

FINRA

The Series 24 exam, also known as the General Securities Principal Examination, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States.

2005 - 2023

General Industry/Products Exam

FINRA

The General Industry/Products Exam, also known as the Series 6 exam, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States. The exam is designed to test the knowledge and skills required to sell investment company securities, variable annuities, and insurance products, such as life, health, and long-term care insurance. It is intended for individuals who want to become investment company and variable contracts products representatives, or those who are already registered with FINRA as a general securities representative (Series 7).

2014

State Securities Law Exam

FINRA

The Series 66 exam, also known as the Uniform Combined State Law Examination, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States. The exam is designed to test the knowledge and skills required to become an investment adviser representative and a securities agent. It covers topics related to both federal and state securities laws and regulations. It is intended for individuals who want to provide investment advice or sell securities products, including mutual funds, variable annuities, and direct participation programs.

My Professional Examinations

2023

Series 99TO - Operations Professional Examination

FINRA

The Series 99TO exam, also known as the Operations Professional Examination, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States. The exam is designed to test the knowledge and skills required to perform back-office operational functions in the securities industry. It covers topics related to regulatory requirements, trade clearance and settlement, account and record maintenance, and customer service. It is intended for individuals who work in operations or support roles in the securities industry.

2005

Series 10 - General Securities Sales Supervisor - General Module Examination

FINRA

The Series 10 exam, also known as the General Securities Sales Supervisor - General Module Examination, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States. The exam is designed to test the knowledge and skills required to supervise and manage the activities of general securities sales personnel. It covers topics related to securities products, securities markets, customer accounts, and regulatory requirements. It is intended for individuals who want to become general securities sales supervisors or who are already registered with FINRA as general securities sales representatives (Series 7).

2005

Series 9 - General Securities Sales Supervisor - Options Module Examination

FINRA

The Series 9 exam, also known as the General Securities Sales Supervisor - Options Module Examination, is a securities license exam administered by the Financial Industry Regulatory Authority (FINRA) in the United States. The exam is designed to test the knowledge and skills required to supervise and manage the activities of options sales personnel. It covers topics related to options products, options markets, customer accounts, and regulatory requirements. It is intended for individuals who want to become options sales supervisors or who are already registered with FINRA as options sales representatives (Series 7).

Testimonial

Client Speak

Contact

Get in Touch

Address

1850 Craigshire RD Suite 308, ST Louis, MO 63146.

(959) 210 3274

chat@jeremysignals.com

Follow Me

Send us a note