The Guam Bar Exam is distinct in its structure, incorporating a Guam-specific local question alongside all Uniform Bar Exam (UBE®) components: The Multistate Bar Exam (MBE®), Multistate Essay Exam (MEE®), and Multistate Performance Test (MPT®).
Guam Bar Exam Structure
The Guam Bar Exam includes all UBE components but does not qualify as a UBE jurisdiction because The Guam Board of Law Examiners (BOLE) requires a local question and omits 1 MPT task. Due to this, the exam schedule varies slightly from the UBE, with the first day consisting of the single MPT task, the local question, and 6 essay questions, followed by the 200-question MBE on the second day.
The exam includes a local question to evaluate your knowledge of Guam's unique legal principles. It may be in essay, multiple-choice, or true/false format.
The MPT section features one 90-minute task, testing your ability to apply legal knowledge to practical tasks, mirroring real-life lawyering skills.
The MEE consists of 6 essay questions administered over 3 hours, assessing your ability to analyze legal issues and communicate their answers effectively in writing.
You’ll have 6 hours to complete the MBE's 200 multiple-choice questions, which cover a wide range of legal topics pertinent across the United States.
Guam Bar Exam Dates, Requirements, and Scheduling
Bar Exam Dates | February 2025 |
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Timely Filing | December 1, 2024 |
Late Filing | January 1, 2025 |
*2025 Guam Bar Exam dates are TBD, and deadlines are subject to change.
To sit for the Guam Bar Exam, you must have at least 2 years of college experience and a Juris Doctorate (JD) or a Bachelor of Laws (LLB) from a law school accredited by the American Bar Association (ABA).
Follow these steps to schedule your Guam Bar Exam:
- Ensure you meet all the eligibility requirements (Rule 3.01).
- Complete the Registration Form and Standard-07 Application (Character & Fitness Request prepared by the NCBE).
- Gather required documents, such as proof of law degree, certificates of good standing, and other specified materials.
- Submit your completed application and documents, and pay all fees by the deadline.
- Await confirmation and further instructions on the exam schedule and location.
Address |
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GUAM BOARD OF LAW EXAMINERS c/o Clerk, Supreme Court of Guam Suite 300, Guam Judicial Center 120 West O'Brien Drive Hagåtña, Guam 96910 |
Guam Bar Exam Costs and Fees
Application Fees | |
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Regular Filing | $800 |
Repeat Taker | $800 |
Attorneys Exam Timely Filing | $1,250 |
Late Filing Fee | $250 |
Character & Fitness Request | $250 |
Fee for Typing the Exam | $100 |
Fingerprint Card | $10 |
Payment policies
The Guam Bar Exam payment policies include:
- Fees must be made by check or money order payable to the Board.
- Fees must accompany the application submission and are non-refundable.
- A returned check results in the application not being considered filed until a cashier's check or money order, including any returned check fees, is received.
Cost-saving options
- The Guam Bar Association (GBA) offers mentorships and scholarships, and the Western Interstate Commission for Higher Education (WICHE) offers reduced tuition rates for Guam Students.
- Check out the American Bar Association's (ABA) website, which offers 100+ opportunities and programs for young lawyers and law students.
- Join a study group and split the cost of bar exam preparation materials among group members.
- Research free or low-cost study online study materials like past bar exam questions and answers to supplement commercial study aids.
- Some bar exam prep companies offer discounts or promotions to students who register early or refer friends to their program.
Guam Bar Exam Subjects and Topics
The Guam Bar Exam tests a candidate's legal knowledge, analytical skills, and competence to practice law. It covers a range of subjects, from Constitutional Law and Contracts to Criminal Law and Guam-specific regulations.
Candidates will be assessed by their ability to apply legal principles, draft legal documents, and effectively solve problems to ensure they can competently represent clients and complete entry-level legal tasks.
The local question may vary from essay, true/false, or multiple-choice questions. The question covers local statutes, procedural norms, and case law central to practicing law in Guam. To prepare, you should study Guam's statutes, landmark case law, and legal publications dedicated to the region's legal system.
MEE Subjects
Some MEE subjects may be tested together. Others may not be tested at all. For example, Civil Procedure has been tested on almost every MEE for the past 10 years, while Criminal Law has only appeared a few times.
MEE Subjects | |
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Business Associations | Evidence |
Civil Procedure | Family Law |
Conflicts of Law | Real Property |
Constitutional Law | Secured Transactions |
Contracts | Torts |
Criminal Law & Procedure | Trusts & Estates |
Learn More
MPT Task
The Guam Bar Exam features 1 MPT task, unlike the UBE, which features 2. MPT tasks are designed to test your "lawyering skills" using only the materials provided. These tasks are conducted in a closed-universe, fictional jurisdiction called "Franklin." The laws of the real world do not apply, so your critical thinking skills and understanding of fundamental legal principles are key.
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MBE Subjects
The MBE contains 200 multiple-choice questions divided evenly over 7 subjects. You'll notice that 7 x 25 does not equal 200. That's because 25 MBE questions are unscored questions that act as field tests for future exams.
MBE Subjects | |
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Civil Procedure | Constitutional Law |
Contracts | Criminal Law and Procedure |
Evidence | Real Property |
Torts |
Learn More
UWorld MBE Sample Questions
Quality speaks for itself. Try some of our free MBE sample questions below.
[These sample questions can be presented in the below format for easy navigation from question to question]
A husband and wife were married in State A and lived there for 10 years before separating. One month later, the wife permanently moved to State B and immediately filed for divorce in a federal court in State B. The wife claims that she is entitled to $300,000 in alimony. The husband appeared in the action and has filed a motion to dismiss for lack of subject-matter jurisdiction.
Should the court grant the motion?
- No, because the court has diversity jurisdiction over the case.
- No, because the husband waived a subject-matter jurisdiction challenge by appearing in the case.
- Yes, because state courts have exclusive jurisdiction over this type of action.
- Yes, because the wife did not establish a domicile in State B.
Explanation:
Federal diversity jurisdiction exceptions |
Federal courts cannot exercise diversity jurisdiction over cases involving:
|
A federal court must possess subject-matter jurisdiction to hear the merits of a case before it. Subject-matter jurisdiction can be established through either:
- federal-question jurisdiction – when a claim arises under the U.S. Constitution, a treaty, or federal law (not seen here) or
- diversity jurisdiction – when the amount in controversy exceeds $75,000 and the opposing parties are citizens of different states.
Here, diversity jurisdiction is established since the wife claims that she is entitled to $300,000 and the parties are citizens of different states (States A and B). However, federal courts cannot exercise diversity jurisdiction over cases involving probate matters or domestic relations. Instead, state courts have exclusive jurisdiction over these types of actions (Choice A).* Therefore, the husband's motion to dismiss should be granted.
(Choice B) A challenge to subject-matter jurisdiction is never waived. However, a challenge to personal jurisdiction is waived if the defendant has voluntarily appeared in the case, unless it was a special appearance for the express purpose of objecting to personal jurisdiction.
(Choice D) An individual is a citizen of the state where he/she is domiciled—ie, physically present with the intent to remain indefinitely. Since the wife permanently moved to State B, she has established her domicile there.
Educational objective:
Federal courts cannot exercise diversity
jurisdiction over cases involving probate matters or domestic relations. Instead, state courts
have exclusive jurisdiction over these types of cases.
Bluebook Citations :
- Ankenbrandt v. Richards, 504 U.S. 689, 703–04 (1992) (explaining the domestic-relations exception to diversity jurisdiction).
A congressional committee investigated the pharmaceutical industry and found that the high cost of prescription drugs purchased and sold in the United States negatively impacted the nation's economy and the health of its citizens. In response, Congress passed a statute that regulates "the retail prices of every purchase or sale of prescription drugs in the United States."
A group of pharmaceutical companies challenged the constitutionality of this statute in federal court.
What is the strongest argument in support of the constitutionality of this statute?
- Congress may enact statutes for the general welfare.
- Congress may regulate the prices of all domestic purchases and sales of goods.
- The Constitution grants Congress the power to regulate the interstate transportation of prescription drugs.
- The purchases and sales of prescription drugs in the United States substantially impact interstate commerce in the aggregate.
Explanation:
The commerce clause gives Congress broad power to regulate interstate and foreign commerce. This includes:
- the channels of interstate and foreign commerce (eg, roadways)
- the instrumentalities of interstate and foreign commerce (eg, vehicles)
- persons and things moving in interstate or foreign commerce (eg, goods and services) and
- in-state activities that, singly or in the aggregate, substantially impact interstate or foreign commerce.
Since Congress's commerce power is broad, federal statutes are constitutional if there is any rational basis for concluding that the regulated activity substantially affects interstate or foreign commerce. This can be shown through express congressional findings.
Here, the federal statute regulates the retail prices of prescription drugs in the United States. Congress has the authority to regulate such products' interstate transportation, but this statute also regulates in-state purchases and sales (Choice C). Since the congressional committee found that the high cost of prescription drugs negatively impacted the nation's economy, it is rational to conclude that their aggregated in-state purchases and sales substantially impact interstate commerce. Therefore, this is the strongest argument to support this statute.
(Choice A) The taxing and spending clause empowers Congress to tax and spend for the general welfare. But regulating prices is not equivalent to taxing or spending.
(Choice B) Congress cannot regulate the prices of every domestic purchase and sale of goods since it cannot regulate purely in-state sales that do not substantially affect interstate commerce.
Educational objective:
The commerce clause empowers Congress to regulate (1)
channels and instrumentalities of, (2) persons and things moving in, and (3) in-state activities
that—singly or in the aggregate—substantially affect interstate or foreign commerce.
Bluebook Citations :
- Gonzales v. Raich, 545 U.S. 1, 17 (2005) (explaining Congress's broad authority under the commerce clause).
The owner of a new office building contracted with a well-known landscaper to design and install landscaping around the building for $30,000. The agreement was memorialized in writing, was signed by both parties, and called for a budget of $5,000 for trees, shrubs, sod, and materials. The contract required the landscaper to complete the work within six months. Due to an unexpected increase in the price of trees and shrubs, the landscaper abandoned the project and never completed any of the work.
Three years after the landscaper's deadline, the building owner sued the landscaper for breach of contract. In the jurisdiction, the statute of limitations for breach of a services contract is two years after the breach, and the statute of limitations for breach of a sale-of-goods contract is four years.
Can the owner recover damages from the landscaper?
- No, because the contract is divisible with respect to the services and goods, and the landscaper's breach is therefore subject to the two-year statute of limitations.
- No, because the contract primarily calls for services, and the landscaper's breach is therefore subject to the two-year statute of limitations.
- Yes, because the landscaper's breach was a result of an increase in the price of goods, and his breach is therefore subject to the four-year statute of limitations.
- Yes, because the landscaper's breach was willful, and he is therefore estopped from denying that his breach is subject to the four-year statute of limitations.
Contracts for the sale of goods are governed by Article 2 of the Uniform Commercial Code (UCC), while contracts for services are governed by common law. However, some contracts involve the sale of goods and the rendering of services. To determine which law applies to a "mixed" or "hybrid" contract, courts ask whether its predominant purpose was the sale of goods or the rendering of services. The following factors are relevant to this determination:
- The contract's language
- The nature of the supplier's business (ie, whether it typically provides goods or services)
- The relative value of the goods and services
- The nature of the final product (ie, whether it can be described as a good or service)
Here, the building owner contracted to buy goods (eg, trees, shrubs, sod) and services (ie, designing and installing the landscaping). The owner likely hired the well-known landscaper due to his skill in performing landscaping services, and the $5,000 budget for goods was just one-sixth of the $30,000 contract price. Therefore, the contract primarily calls for services and is subject to the jurisdiction's two-year statute of limitations. And since the owner sued three years after the breach, the owner cannot recover damages from the landscaper.
(Choice A) The predominant-purpose test is unnecessary when a contract is divisible—ie, when the payment for goods can easily be separated from the payment for services. But here, the contract is likely indivisible since it combined the sale of the trees, shrubs, and sod with their installation.
(Choices C & D) The predominant-purpose test focuses on the parties' reason for entering the contract—not for breaching it. Therefore, it is irrelevant that the landscaper's breach was (1) a result of an increase in the price of goods or (2) willful.
Educational objective:
Sale-of-goods contracts are governed by the UCC,
while services contracts are governed by common law. When a contract calls for the sale of goods
AND the rendering of services, the contract's primary purpose determines whether the UCC or
common law applies.
Bluebook Citations :
- Bonebrake v. Cox, 499 F.2d 951, 960 (8th Cir. 1974) (applying the predominant-purpose test to determine which statute of limitations applies to a mixed contract for goods and services).
- Princess Cruises, Inc. v. Gen. Elec. Co., 143 F.3d 828, 833 (4th Cir. 1998) (listing factors that courts consider when applying the predominant-purpose test).
A man and a woman dated for several weeks. During that time, the man repeatedly asked the woman to have sex. Each time, the woman responded that she would not have sex with the man unless they were married. One evening, the man promised the woman that they would elope the following weekend if she would agree to have sex. The woman agreed and the couple had sex. The following weekend, the man told the woman that he had no intention of eloping and only made that promise to get the woman's consent. The woman reported the man to the police, who later arrested and charged the man with rape.
Is the man guilty of rape?
- No, because fraud in factum did not negate the woman's consent.
- No, because fraud in the inducement did not negate the woman's consent.
- Yes, because the woman's consent was obtained by fraud in factum.
- Yes, because the woman's consent was obtained by fraud in the inducement.
Explanation:
Consent to sexual intercourse obtained by fraud | ||
Type of fraud | Definition | Effect |
In factum |
|
Negates victim's consent |
In inducement |
|
Does not negate victim's consent |
In most modern jurisdictions, rape is defined as sexual intercourse with another without that person's consent.* This means that rape did not occur if the victim consented to sexual intercourse. However, a victim's consent may be ineffective if it was obtained by fraud. There are two types of fraud:
- Fraud in factum – when consent is obtained by fraud regarding the nature of the act itself, leaving the victim unaware that he/she consented to sexual intercourse and negating the victim's consent
- Fraud in the inducement – when consent is obtained by fraud regarding what the victim knows is an act of sexual intercourse, which does not negate the victim's consent
As a result, consent obtained by fraud in factum is not a valid defense to rape, but consent obtained by fraud in the inducement is a valid defense.
Here, the man falsely promised the woman that they would elope if she agreed to have sex with him. Since the woman knew that the act to which she consented was sexual intercourse, her consent was obtained by fraud in the inducement (Choices A & C). This type of fraud did not negate the woman's consent, so the man is not guilty of rape (Choice D).
Educational objective:
Fraud in factum occurs when the fraud pertains to the nature of the act itself and negates a rape victim's consent. In contrast, fraud in the inducement occurs when fraud is used to gain consent to what the victim knows is an act of sexual intercourse and does not negate the victim's consent.
A plaintiff sued a defendant for negligence to recover damages that the plaintiff suffered as a result of a crash between the two parties. At trial, the plaintiff's attorney called the plaintiff's wife to testify as to what she witnessed on the day of the crash. On cross-examination of the wife, the defendant's lawyer elicited several responses that tended to show that the plaintiff's actions constituted contributory negligence. The plaintiff's attorney seeks to ask the wife several questions on redirect examination, but the defendant's attorney objected.
What is the strongest argument that the court must allow redirect examination of the wife?
- The plaintiff's attorney failed to provide all significant information on direct examination.
- The plaintiff's attorney seeks to reiterate the necessary elements of the claim.
- The plaintiff's attorney seeks to reply to all matters raised on cross-examination.
- The plaintiff's attorney seeks to reply to significant new matters raised on cross-examination.
Explanation:
Federal Rule of Evidence 611 gives trial courts the authority to exercise reasonable control over the mode and order of examining witnesses at trial. This includes the discretion to determine whether—and to what extent—redirect examination of witnesses should be permitted. But when a party raises a significant new matter while cross-examining a witness, the court must allow the opposing party to address that matter through redirect examination.
Therefore, the strongest argument for allowing redirect examination of the plaintiff's wife is that the plaintiff's attorney seeks to reply to significant new matters that were raised on cross-examination.
(Choice A) A party is expected to elicit all significant information during direct examination of a witness. Therefore, a court need not permit redirect examination to allow the party to provide information inadvertently omitted on direct examination.
(Choices B & C) Redirect examination is generally limited to significant new matters raised on cross-examination. Therefore, a party is not entitled to redirect examination to (1) reiterate information like the necessary elements of the claim or (2) reply to all matters addressed in cross-examination.
Educational objective:
When a party raises a significant new matter on cross-examination of a witness, the court must allow redirect examination by the opposing party to address that matter.
Bluebook Citations :
- Fed. R. Evid. 611 (explaining the mode and order of examining witnesses).
Twenty years ago, a man who owned a 20-acre ranch agreed to sell all of his mineral rights to his neighbor. The man executed a warranty deed conveying the mineral estate to the neighbor, who failed to record the deed.
The following year, a woman moved her mobile home onto an undeveloped five-acre portion of the man's ranch. After the woman had lived on the property for 10 years, a local drilling company began operations on a nearby tract to drill a natural gas well. Believing that the woman owned the property, the drilling company approached the woman about leasing the mineral rights on her property and requested that the woman sign a lease of her mineral rights. The woman signed the lease as requested, and it was promptly and properly recorded. The drilling operations were successful, and the drilling company prepared to distribute profits from royalties. However, a dispute arose between the neighbor and the woman, as both parties claim ownership of the minerals.
The period of time to acquire title by adverse possession in the jurisdiction is 10 years.
In an action to determine title, is the court likely to award title to the mineral estate to the woman?
- No, because the woman actually possessed only the surface estate that had previously been severed from the mineral estate.
- No, because the woman did not actually possess the mineral estate until she signed the lease of the mineral rights.
- Yes, because the neighbor failed to record the warranty deed conveying the mineral estate.
- Yes, because the woman adversely possessed both the surface estate and the mineral estate for the statutory period.
Explanation:
An adverse possessor can acquire title to land owned by another if his/her possession of the land is:
- Open and notorious – apparent or visible to a reasonable owner
- Continuous – uninterrupted for the statutory period
- Exclusive – not shared with the owner
- Actual – physical presence on the land and
- Nonpermissive – hostile and adverse to the owner.
If the surface and mineral estates are owned by the same party, then the adverse possessor will acquire title to both estates—even if only one estate is actually possessed. But if the mineral estate has been severed from the surface estate (ie, the surface and mineral estates are owned by different parties), then the adverse possessor will only acquire title to the estate that is actually possessed. The mineral estate is actually possessed when the adverse possessor mines or drills wells on the land.
Here, the neighbor purchased the mineral estate from the man, thereby severing the mineral estate from the surface estate. And since the woman merely lived on the property for the 10-year statutory period—she did not attempt to mine or drill a well on the mineral estate—she actually possessed only the surface estate during that time (Choice D). This means that the woman did not adversely possess the mineral estate, and the court is not likely to award her title to that estate.
(Choice B) Adverse possession of a mineral estate requires the commencement of drilling or mining operations. Merely signing a lease of the mineral rights is not enough.
(Choice C) A deed need not be recorded to be valid, so the neighbor's failure to record has no impact on whether the woman adversely possessed the mineral estate.
Educational objective:
If a mineral estate has previously been severed from the surface estate (ie, surface and minerals owned by different persons), then an adverse possessor can only acquire title to the mineral estate by actually possessing the minerals (eg, by mining or drilling wells).
A teenager was riding a bicycle when she saw a classmate walking toward her. The teenager rode quickly toward the classmate, knowing that he would think she would run into him on her current trajectory. The teenager was not purposefully trying to harm or touch him. The classmate saw the teenager riding toward him and yelled at her to stop. The teenager swerved at the last moment and avoided hitting him. The classmate had a panic attack because he thought that the teenager would hit him.
Is the classmate likely to succeed if he sues the teenager for assault?
- No, because the teenager did not make contact with the classmate.
- No, because the teenager did not purposefully try to harm or touch the classmate.
- Yes, because the teenager acted with the requisite intent.
- Yes, because the teenager's conduct was extreme and outrageous.
Explanation:
Assault occurs when (1) a defendant intends to cause the plaintiff to anticipate an imminent, and harmful or offensive, contact with the plaintiff's person and (2) the defendant's affirmative conduct causes the plaintiff to anticipate such contact. The intent requirement is met when the defendant acts with either:
- purpose – the desire to cause anticipation of an imminent harmful or offensive contact or
- knowledge – the substantial certainty that the plaintiff will suffer such anticipation.
Here, the teenager rode her bicycle directly at her classmate, causing him to think that she would hit him (anticipation of imminent contact). And since the teenager knew with substantial certainty that the classmate would think she would run into him, she acted with the requisite intent. As a result, the classmate is likely to succeed in a suit against the teenager for assault.
(Choice A) Assault merely requires that the plaintiff be placed in anticipation of imminent contact. Actual bodily contact is not required. Therefore, the fact that the teenager did not make contact with the classmate is irrelevant.
(Choice B) The intent to make contact with the plaintiff is a requirement for battery, but assault merely requires the intent to cause the plaintiff to anticipate imminent contact. Therefore, the fact that the teenager did not purposefully try to harm or touch the classmate does not absolve her of liability for assault.
(Choice D) Extreme and outrageous conduct (i.e., conduct that is unacceptable in civilized society) is an element of intentional infliction of emotional distress—not assault, which only requires intentional conduct.
Educational objective:
For assault, intent exists when a defendant acts with the purpose (desire) or knowledge (substantial certainty) that his/her conduct will cause the plaintiff to anticipate an imminent, and harmful or offensive, contact.
- Restatement (Third) of Torts: Intentional Torts to Persons § 105 (Am. L. Inst., Tentative Draft No. 1, 2015) (providing the elements for assault).
Take a look at a typical competitor sample question. Their practice questions might parody the exam, but ours consistently meet or exceed exam-level difficulty. Their limited explanations address the correct answer choice but do not go the extra mile to explain the wrong choices – so you don’t make the same mistakes on exam day.
A mother gave her land to her two kids, a son, and a daughter, as joint tenants. The son built two adjoining homes on the land. He lived in one house and rented the other. The daughter lived out of the country and never visited the land. The daughter needed money, so she sold her interest in the land to her ex-boyfriend. Her ex-boyfriend immediately hired a developer to build a third home on the land. Soon after the daughter had sold her interest in the land, she was killed in a motorcycle accident. The ex-boyfriend is now asking the court for a judicial partition of the land. The son contends that upon his sister's death, he was now the sole owner of the land.
How should the court rule?
- For the ex-boyfriend, because he plans to live on the land.
- For the ex-boyfriend, because he paid for the son’s interest in the land.
- For the son, because he has the right of survivorship.
- For the son, because he has the sole position of the land.
Explanation:
Correct answer: B
Guam MPRE® Requirements
Guam's minimum passing score for the Multistate Professional Responsibility Examination (MPRE®) is 80. The MPRE is a 2-hour, 60-multiple-choice question exam that assesses an examinee's knowledge of the ABA Model Rules of Professional Conduct.
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Applicants must achieve a passing score on the MPRE within 1 year after passing the Guam Bar Exam. Results from other jurisdictions are accepted if the MPRE was taken within 2 years of passing the Guam Bar. Failure to meet this timeline requires retaking and passing the Guam Bar to qualify for admission.
Guam Bar Exam Scoring, Results and Pass Rates
Guam employs scaled scoring to ensure fairness across exam versions. Scaled scoring accounts for the fact that one exam administration may be more or less difficult than another administration. For example, February's exam may be more difficult than July's. It wouldn't be fair if you failed because you just happened to receive a harder exam version.
To solve this, your raw scores are transformed into scaled scores through an equating statistical method. Unfortunately, Guam does not release data on its calculations to determine scaled scores.
MBE and Essay/MPT exam scores are combined, and the passing score is 132.50. While individual section scores are important, the overall cumulative score reaching or exceeding 132.50 is essential for passing the exam.
Guam Bar Exam results and pass rates
Guam Bar Exam results are typically released 6-8 weeks following an exam administration. You'll notice that The Guam Bar Exam's repeater pass rates often jump between 0% to 40-50%. This is due to the small number of examinees each year.
Exam | Overall Pass Rate | First-Timer Pass Rate | Repeater Pass Rate | Results Release Date |
---|---|---|---|---|
July 2023 | 57% | 80% | 0% | * |
Feb 2023 | 33% | 67% | 0% | May 2 |
*The release date for the July 2023 Guam Bar Exam pass rates is not listed.
Here are the annual pass rates for the Guam Bar Exam since 2017, divided into first-time examinees and repeaters:
Exam | First Timers | Repeaters | Overall | |||
---|---|---|---|---|---|---|
Year | No Of Candidates | Pass Rate | No Of Candidates | Pass Rate | No Of Candidates | Pass Rate |
2022 | 11 | 64% | 5 | 40% | 16 | 56% |
2021 | 6 | 67% | 10 | 40% | 16 | 50% |
2020 | 5 | 80% | 3 | 0% | 8 | 50% |
2019 | 8 | 50% | 2 | 50% | 10 | 50% |
2018 | 6 | 50% | 6 | 50% | 12 | 50% |
2017 | 13 | 85% | 5 | 40% | 18 | 72% |
Guam Bar Exam for Foreigners
Foreign-trained lawyers cannot sit for the Guam Bar Exam unless they:
- Get their law degree assessed for equivalence to a JD from an ABA-accredited school.
- Achieve at least an 80 on the MPRE.
- Undergo a character and fitness review with comprehensive documentation.
Guam Bar Exam Reciprocity
Guam does not offer bar admission through comity or reciprocity. All applicants must typically pass the full 2-day bar exam unless they qualify for the Attorney's Exam. However, attorneys in good standing from other US jurisdictions can become temporary active members of the Guam Bar for a $500 fee. This allows them to practice law in Guam for up to 5 years, exclusively for the government of Guam or certain legal service organizations.
What Makes the Guam Bar Exam Unique?
The Guam Bar Exam stands out due to its incorporation of a local question, directly testing candidates on Guam-specific laws and regulations. This feature emphasizes the importance of Guam's jurisdictional knowledge alongside general legal expertise.
Contact details of the Guam state bar
Virginia Board of Bar Examiners Contact Information | |
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Phone | (671) 475-3120 |
Fax | (671) 475-3140 |
[email protected] [email protected] |
|
Mailing Address | BOARD OF LAW EXAMINERS Suite 300 Guam Judicial Center 120 W O’Brien Dr. Hagåtña, GU 96910 |
Guam Bar Exam FAQs
How long is the bar exam in Guam?
Can anyone take the bar exam in Guam?
How hard is the Guam Bar Exam?
What are Guam bar exam application deadlines and fees?
The February Guam Bar Exam application deadline is December 1.The regular filing fee is $800, which increases to $1,150 if filed late.