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08/29/15 1:04 PM

#94710 RE: samsamsamiam #94709

Can you find if he was awarded custodian of CRGP? Also, he owns a broker dealer, whereby his firm and he is licensed with FINRA. He should be disclosing to FINRA his ownership and his officer and director positions. They should be reflecting on his license. However, they are not there. Buying and selling shells as a licensed broker could be a conflict of interest. Which is the reason for the disclosure requirements.