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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In addition, with Christina having earned her FINRA Series 24 license, she brings a whole host of new skills and opportunities to Lindsey and Lindsey.
The Series 24 license gives Christina, and Lindsey and Lindsey by extension, the ability to supervise and manage branch activities.
He has held an NASD Series 7 and Series 24 license since 1969.
The Series 24 license confirms that our advisors are abreast of the continually changing rules and regulations in today's fluctuating economy," said Betty Moon, national sales manager for Retail Investments.
He is in the process of obtaining a series 24 license, with a series 7 license soon to follow.
He has held a Series 7, Series 3 and Series 24 license and was a Registered Investment Advisor, Commodity Trading Advisor and Commodity Pool Operator.
He has held several professional licenses over the course of his career Series 7, Series 63, Series 66, Series 24 licenses.
He holds Series 7, Series 63 and Series 24 licenses.