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License Finder
SECURITIES AGENT
License Description
SECURITIES AGENT
An individual who represents a broker-dealer in effecting or attempting to effect purchases or sales of securities from, in, or into this state.
REQUIREMENTS:
1. A Form U4 and all information and exhibits required by such form;
2. The appropriate application fee as set forth by the Act;
3. Satisfactory evidence of a passing score by the applicant on the appropriate examinations; and
4. Such other information as the Division may request of a particular applicant to determine eligibility for registration.
EXAMINATION REQUIREMENTS:
1. An examination administered by FINRA or the SEC which tests the applicant's general knowledge of securities principles; and
2. The Uniform Securities Agent State Law Examination (USASLE/Series 63) or the Uniform Combined State Law Examination (UCSLE/Series 66) as either is administered by FINRA.
RENEWAL REQUIREMENTS:
Every registration expires annually, unless timely renewed, on December 31 of each year. All agents who are eligible must apply for renewal of registration in Tennessee through the CRD System by complying with the requirements of the CRD System. Applications for renewal of all other agents must be submitted directly to the Division and must contain the following:
1. The appropriate renewal form as received from the Division and all information and exhibits required by such form; and
2. The appropriate fee as set forth in the Act.
Licensing Agency
Department of Commerce and Insurance
Securities Division
Davy Crockett Tower, 8th Floor, 500 James Robertson Parkway
Nashville, TN 37243
(615) 741 3187
Active Status
Active
Criminal Record
No criminal record prohibitions
Exam
Third-party exam required
License Type
Register with licensing agency
License Updated
08/10/2023
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Occupational license information is from the
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