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Timothy Howard Quigley

BGC Financial, LP

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About Timothy Howard Quigley

Timothy Quigley is a registered representative with BGC Financial, LP, a firm with its main office in New York, NY. Timothy has been in the financial industry since January 10, 1993. Previously, Timothy worked at Garban LLC and Cantor Fitzgerald Securities. Timothy holds the Series 63, 72, and SIE licenses.

Firm Information

Timothy Quigley is currently registered with BGC Financial, LP. BGC Financial, LP is a Partnership that was formed on April 2, 2008. They are registered with the SEC and in all 50 states, as well as the District of Columbia, Puerto Rico, and the Virgin Islands. They have been involved in 36 Regulatory Events.

Not reported

Assets Under Management

Not reported

Total Clients

132

Total Financial Advisors

Services Offered

Advisors offer a broad range of advisory services designed to meet the unique needs of individuals, businesses, and investment companies. These services provide professional guidance and personalized strategies to help clients achieve their financial goals.

Fee Structure

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Timothy Quigley’s Registration & Firm History

NY

07/20/2004 - Present

BGC Financial, LP (NEW YORK NY)

NY

02/15/2002 - 03/09/2004

GARBAN LLC (NEW YORK NY)

NY

08/08/2001 - 01/25/2002

GARBAN LLC (NEW YORK NY)

NY

02/18/1992 - 02/12/2001

CANTOR FITZGERALD SECURITIES (NEW YORK NY)

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Licenses & Designations

BC

Issued 10/30/1991

Series 63 - Uniform Securities Agent State Law Examination

BC

Issued 01/02/2023

Series 72 - Government Securities Representative Examination

BC

Issued 10/01/2018

SIE - Securities Industry Essentials Examination

State Registrations

Active

Inactive

SRO Registrations

F

FINRA

Disclosures

There are no public disclosures for Timothy Howard Quigley.
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