| Firm: | |
|---|---|
| Type: | Dual Registration |
Jonathan Sackson a financial professional at Morgan Stanley Smith Barney LLC, a broker-dealer with over 24,100 registered representatives nationwide. Jonathan has held an industry securities registration for 19 years and is subject to SEC and FINRA oversight.
| Individuals | |
| High Net Worth Individuals | |
| Other Investment Advisors | |
| State or Municipal Government Entities | |
| Other Pooled Investment Vehicles | |
| Charitable Organizations | |
| Corporations or Other Businesses | |
| Pension and Profit Sharing Plans | |
| Banking or Thrift Institutions | |
| Insurance Companies |
| Employer | Years | Dates |
|---|---|---|
| Morgan Stanley Smith Barney | 3 years, 11 months | Jun 2009 - Present |
| Morgan Stanley & Co Inc | 4 years, 4 months | Jan 2009 - Present |
| UBS Financial Services Inc. | 7 years, 9 months | Apr 2001 - Jan 2009 |
| Regulator | ||
|---|---|---|
| License Status |
Registered
|
Registered
|
| Disclosures |
1 Customer Dispute |
1 Customer Dispute |
| As of Date |
11/07/2011
|
06/12/2012
|
| Exam | Series | Passed Date |
|---|---|---|
| Futures Managed Funds Examination | Series 31 | 07/15/2010 |
| Uniform Investment Adviser Law Examination | Series 65 | 10/01/1992 |
| Uniform Securities Agent State Law Examination | Series 63 | 09/15/1992 |
| General Securities Representative Examination | Series 7 | 09/08/1992 |