Series 24

(redirected from Series 24 License)

Series 24

A license issued by FINRA enabling the holder to manage and administer a branch of a brokerage. In order to qualify for a Series 24, one must already possess a Series 7 and pass an exam covering a variety of subjects, notably regulation, trading, securities, and real estate investment trusts.
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Despite him being registered by the firm as a general securities principal, he did not get his Series 24 license until nearly a year after joining the firm in a supervisory capacity.
He has held an NASD Series 7 and Series 24 license since 1969.