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BrokerCheck Report
CHARLES GRAHAM
CRD# 5772842
Report #90135-81759, data current as of Sunday, February 03, 2013.




Section Title                             Page(s)
Report Summary                            1

Broker Qualifications                     2-3

Registration and Employment History       4-5
About BrokerCheck®

BrokerCheck offers information on all current-and many former-FINRA-registered securities brokers, and all current and
former FINRA-registered securities firms. FINRA strongly encourages investors to use BrokerCheck to check the
background of securities brokers and brokerage firms before deciding to conduct, or continue to conduct, business with
them.
    ·   What is included in a BrokerCheck report?
        BrokerCheck reports for individual brokers include information such as employment history, professional
        qualifications, disciplinary actions, criminal convictions, civil judgments and arbitration awards. BrokerCheck        Using this site/information means
        reports for brokerage firms include information on a firm’s profile, history, and operations, as well as many of the   that you accept the FINRA
        same disclosure events mentioned above.                                                                                BrokerCheck Terms and
        Please note that the information contained in a BrokerCheck report may include pending actions or allegations          Conditions. A complete list of
        that may be contested, unresolved or unproven. In the end, these actions or allegations may be resolved in favor       Terms and Conditions can be
        of the broker or brokerage firm, or concluded through a negotiated settlement with no admission or finding of          found at
        wrongdoing.                                                                                                            brokercheck.finra.org
    ·   Where did this information come from?
        The information contained in BrokerCheck comes from FINRA’s Central Registration Depository, or CRD® and is
        a combination of:
               o information FINRA and/or the Securities and Exchange Commission (SEC) require brokers and                     For additional information about
                 brokerage firms to submit as part of the registration and licensing process, and                              the contents of this report, please
               o information that regulators report regarding disciplinary actions or allegations against firms or brokers.    refer to the User Guidance or
    ·   How current is this information?                                                                                       www.finra.org/brokercheck. It
                                                                                                                               provides a glossary of terms and a
        Generally, active brokerage firms and brokers are required to update their professional and disciplinary
                                                                                                                               list of frequently asked questions,
        information in CRD within 30 days. Under most circumstances, information reported by brokerage firms, brokers
                                                                                                                               as well as additional resources.
        and regulators is available in BrokerCheck the next business day.
                                                                                                                               For more information about
    ·   What if I want to check the background of an investment adviser firm or investment adviser
                                                                                                                               FINRA, visit www.finra.org.
        representative?
        To check the background of an investment adviser firm or representative, you can search for the firm or individual
        in BrokerCheck. If your search is successful, click on the link provided to view the available licensing and
        registration information in the SEC's Investment Adviser Public Disclosure (IAPD) website at
        http://www.adviserinfo.sec.gov. In the alternative, you may search the IAPD website directly or contact your state
        securities regulator at http://www.nasaa.org.
    ·   Are there other resources I can use to check the background of investment professionals?
        FINRA recommends that you learn as much as possible about an investment professional before deciding to work
        with them. Your state securities regulator can help you research brokers and investment adviser representatives
        doing business in your state.

Thank you for using FINRA BrokerCheck.
www.finra.org/brokercheck                                                                                                                                                    User Guidance


 CHARLES GRAHAM                                                 Report Summary for this Broker
 CRD# 5772842
                                                                This report summary provides an overview of the broker's professional background and conduct. Additional
 This broker is not currently registered with FINRA.            information can be found in the detailed report.
                                                                Broker Qualifications
                                                                This broker is not currently registered with                  Disclosure Events
                                                                FINRA.                                                        Disclosure events are certain criminal matters;
                                                                                                                              regulatory actions; civil judicial proceedings; customer
                                                                                                                              complaints, arbitrations, or civil litigations;
                                                                                                                              employment terminations; and financial matters in
                                                                This broker has passed:                                       which the broker has been involved.
                                                                   0 Principal/Supervisory Exams
                                                                   1 General Industry/Product Exam                            Are there events disclosed about this broker? No
                                                                   1 State Securities Law Exam

                                                                Registration History
                                                                This broker was previously registered with FINRA at
                                                                the following brokerage firms:
                                                                SPARTAN CAPITAL SECURITIES, LLC
                                                                CRD# 146251
                                                                NEW YORK, NY
                                                                10/2010 - 11/2010
                                                                FORDHAM FINANCIAL MANAGEMENT, INC.
                                                                CRD# 20996
                                                                NEW YORK, NY
                                                                08/2010 - 09/2010
                                                                JOHN THOMAS FINANCIAL
                                                                CRD# 40982
                                                                NEW YORK, NY
                                                                04/2010 - 09/2010




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.                                                              1
www.finra.org/brokercheck                                                                                                     User Guidance


Broker Qualifications


 Registrations
 This section provides the self-regulatory organizations (SROs) and U.S. states/territories the broker is currently
 registered and licensed with, the category of each registration, and the date on which the registration became effective.
 This section also provides, for every brokerage firm with which the broker is currently employed, the address of each
 branch where the broker works.
 This broker is not currently registered with FINRA.




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.               2
www.finra.org/brokercheck                                                                                                                  User Guidance


Broker Qualifications


 Industry Exams this Broker has Passed
  This section includes all securities industry exams that the broker has passed. Under limited circumstances, a broker
  may attain a registration after receiving an exam waiver based on exams the broker has passed and/or qualifying work
  experience. Any exam waivers that the broker has received are not included below.
  This individual has passed 0 principal/supervisory exams, 1 general industry/product exam, and 1 state
  securities law exam.

  Principal/Supervisory Exams
  Exam                                                                                              Category                  Date
  No information reported.


  General Industry/Product Exams
  Exam                                                                                              Category                  Date
  General Securities Representative Examination                                                     Series 7                  04/06/2010


  State Securities Law Exams
  Exam                                                                                              Category                  Date
  Uniform Securities Agent State Law Examination                                                    Series 63                 04/20/2010


  Additional information about the above exams or other exams FINRA administers to brokers and other securities
  professionals can be found at www.finra.org/brokerqualifications/registeredrep/.




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.                            3
www.finra.org/brokercheck                                                                                                     User Guidance


 Registration and Employment History


 Registration History
 This broker previously was registered with FINRA at the following firms:

  Registration Dates         Firm Name                                               CRD#           Branch Location
  10/2010 - 11/2010         SPARTAN CAPITAL SECURITIES, LLC                          146251         NEW YORK, NY
  08/2010 - 09/2010         FORDHAM FINANCIAL MANAGEMENT, INC.                       20996          NEW YORK, NY
  04/2010 - 09/2010         JOHN THOMAS FINANCIAL                                    40982          NEW YORK, NY

 Employment History
 Below is the broker's employment history for up to the last 10 years.

 Please note that the broker is required to provide this information only while registered with FINRA and the
 information is not updated after the broker ceases to be registered. Therefore, an employment end date of
 "Present" may not reflect the broker's current employment status.

  Employment Dates Employer Name                                                                    Employer Location
  10/2010 - Present          SPARTAN CAPITAL SECURITIES, LLC.                                        NEW YORK, NY
  09/2010 - 10/2010          JOHN CARRIS INVESTMENTS                                                 NEW YORK, NY
  08/2010 - 09/2010          FORDHAM FINANCIAL MANAGEMENT INC.                                       NEW YORK, NY
  03/2010 - 08/2010          JOHN THOMAS FINANCIAL                                                   NY, NY
  09/2009 - 02/2010          UNEMPLOYED                                                              BLOOMFIELD, NJ
  05/2009 - 08/2009          CABLEVISION                                                             PISCATAWAY, NJ
  01/2009 - 05/2009          20/20 COMMUNICATION                                                     MAYWOOD, NJ
  09/2008 - 01/2009          MOBLIE SOLUTIONS                                                        WAYNE, NJ
  07/2008 - 09/2008          FRUNGILLO CATERING                                                      MOUNTAIN LAKES, NJ
  03/2008 - 06/2008          ACME                                                                    CLIFTON, NJ
  09/2006 - 02/2008          RUTGERS UNIVERSITY                                                      NEW BRUNSWICK, NJ
  01/2006 - 08/2006          ACME                                                                    CLIFTON, NJ
  09/2002 - 05/2006          BLOOMFIELD HIGH SCHOOL                                                  BLLOOMFIELD, NJ
  09/2005 - 01/2006          HICKER FARMS                                                            WAYNE, NJ




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.               4
www.finra.org/brokercheck                                                                                                       User Guidance

 Registration and Employment History


 Other Business Activities
 This section includes information, if any, as provided by the broker regarding other business activities the broker is
 currently engaged in either as a proprietor, partner, officer, director, employee, trustee, agent or otherwise. This section
 does not include non-investment related activity that is exclusively charitable, civic, religious or fraternal and is
 recognized as tax exempt.

 No information reported.




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.                 5
www.finra.org/brokercheck                                                                                                     User Guidance


                                                                                      End of Report




                                                                       This page is intentionally left blank.




©2013 FINRA. All rights reserved.   Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013.               6

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Charles grahamfinrabrokercheckreport

  • 1. BrokerCheck Report CHARLES GRAHAM CRD# 5772842 Report #90135-81759, data current as of Sunday, February 03, 2013. Section Title Page(s) Report Summary 1 Broker Qualifications 2-3 Registration and Employment History 4-5
  • 2. About BrokerCheck® BrokerCheck offers information on all current-and many former-FINRA-registered securities brokers, and all current and former FINRA-registered securities firms. FINRA strongly encourages investors to use BrokerCheck to check the background of securities brokers and brokerage firms before deciding to conduct, or continue to conduct, business with them. · What is included in a BrokerCheck report? BrokerCheck reports for individual brokers include information such as employment history, professional qualifications, disciplinary actions, criminal convictions, civil judgments and arbitration awards. BrokerCheck Using this site/information means reports for brokerage firms include information on a firm’s profile, history, and operations, as well as many of the that you accept the FINRA same disclosure events mentioned above. BrokerCheck Terms and Please note that the information contained in a BrokerCheck report may include pending actions or allegations Conditions. A complete list of that may be contested, unresolved or unproven. In the end, these actions or allegations may be resolved in favor Terms and Conditions can be of the broker or brokerage firm, or concluded through a negotiated settlement with no admission or finding of found at wrongdoing. brokercheck.finra.org · Where did this information come from? The information contained in BrokerCheck comes from FINRA’s Central Registration Depository, or CRD® and is a combination of: o information FINRA and/or the Securities and Exchange Commission (SEC) require brokers and For additional information about brokerage firms to submit as part of the registration and licensing process, and the contents of this report, please o information that regulators report regarding disciplinary actions or allegations against firms or brokers. refer to the User Guidance or · How current is this information? www.finra.org/brokercheck. It provides a glossary of terms and a Generally, active brokerage firms and brokers are required to update their professional and disciplinary list of frequently asked questions, information in CRD within 30 days. Under most circumstances, information reported by brokerage firms, brokers as well as additional resources. and regulators is available in BrokerCheck the next business day. For more information about · What if I want to check the background of an investment adviser firm or investment adviser FINRA, visit www.finra.org. representative? To check the background of an investment adviser firm or representative, you can search for the firm or individual in BrokerCheck. If your search is successful, click on the link provided to view the available licensing and registration information in the SEC's Investment Adviser Public Disclosure (IAPD) website at http://www.adviserinfo.sec.gov. In the alternative, you may search the IAPD website directly or contact your state securities regulator at http://www.nasaa.org. · Are there other resources I can use to check the background of investment professionals? FINRA recommends that you learn as much as possible about an investment professional before deciding to work with them. Your state securities regulator can help you research brokers and investment adviser representatives doing business in your state. Thank you for using FINRA BrokerCheck.
  • 3. www.finra.org/brokercheck User Guidance CHARLES GRAHAM Report Summary for this Broker CRD# 5772842 This report summary provides an overview of the broker's professional background and conduct. Additional This broker is not currently registered with FINRA. information can be found in the detailed report. Broker Qualifications This broker is not currently registered with Disclosure Events FINRA. Disclosure events are certain criminal matters; regulatory actions; civil judicial proceedings; customer complaints, arbitrations, or civil litigations; employment terminations; and financial matters in This broker has passed: which the broker has been involved. 0 Principal/Supervisory Exams 1 General Industry/Product Exam Are there events disclosed about this broker? No 1 State Securities Law Exam Registration History This broker was previously registered with FINRA at the following brokerage firms: SPARTAN CAPITAL SECURITIES, LLC CRD# 146251 NEW YORK, NY 10/2010 - 11/2010 FORDHAM FINANCIAL MANAGEMENT, INC. CRD# 20996 NEW YORK, NY 08/2010 - 09/2010 JOHN THOMAS FINANCIAL CRD# 40982 NEW YORK, NY 04/2010 - 09/2010 ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 1
  • 4. www.finra.org/brokercheck User Guidance Broker Qualifications Registrations This section provides the self-regulatory organizations (SROs) and U.S. states/territories the broker is currently registered and licensed with, the category of each registration, and the date on which the registration became effective. This section also provides, for every brokerage firm with which the broker is currently employed, the address of each branch where the broker works. This broker is not currently registered with FINRA. ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 2
  • 5. www.finra.org/brokercheck User Guidance Broker Qualifications Industry Exams this Broker has Passed This section includes all securities industry exams that the broker has passed. Under limited circumstances, a broker may attain a registration after receiving an exam waiver based on exams the broker has passed and/or qualifying work experience. Any exam waivers that the broker has received are not included below. This individual has passed 0 principal/supervisory exams, 1 general industry/product exam, and 1 state securities law exam. Principal/Supervisory Exams Exam Category Date No information reported. General Industry/Product Exams Exam Category Date General Securities Representative Examination Series 7 04/06/2010 State Securities Law Exams Exam Category Date Uniform Securities Agent State Law Examination Series 63 04/20/2010 Additional information about the above exams or other exams FINRA administers to brokers and other securities professionals can be found at www.finra.org/brokerqualifications/registeredrep/. ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 3
  • 6. www.finra.org/brokercheck User Guidance Registration and Employment History Registration History This broker previously was registered with FINRA at the following firms: Registration Dates Firm Name CRD# Branch Location 10/2010 - 11/2010 SPARTAN CAPITAL SECURITIES, LLC 146251 NEW YORK, NY 08/2010 - 09/2010 FORDHAM FINANCIAL MANAGEMENT, INC. 20996 NEW YORK, NY 04/2010 - 09/2010 JOHN THOMAS FINANCIAL 40982 NEW YORK, NY Employment History Below is the broker's employment history for up to the last 10 years. Please note that the broker is required to provide this information only while registered with FINRA and the information is not updated after the broker ceases to be registered. Therefore, an employment end date of "Present" may not reflect the broker's current employment status. Employment Dates Employer Name Employer Location 10/2010 - Present SPARTAN CAPITAL SECURITIES, LLC. NEW YORK, NY 09/2010 - 10/2010 JOHN CARRIS INVESTMENTS NEW YORK, NY 08/2010 - 09/2010 FORDHAM FINANCIAL MANAGEMENT INC. NEW YORK, NY 03/2010 - 08/2010 JOHN THOMAS FINANCIAL NY, NY 09/2009 - 02/2010 UNEMPLOYED BLOOMFIELD, NJ 05/2009 - 08/2009 CABLEVISION PISCATAWAY, NJ 01/2009 - 05/2009 20/20 COMMUNICATION MAYWOOD, NJ 09/2008 - 01/2009 MOBLIE SOLUTIONS WAYNE, NJ 07/2008 - 09/2008 FRUNGILLO CATERING MOUNTAIN LAKES, NJ 03/2008 - 06/2008 ACME CLIFTON, NJ 09/2006 - 02/2008 RUTGERS UNIVERSITY NEW BRUNSWICK, NJ 01/2006 - 08/2006 ACME CLIFTON, NJ 09/2002 - 05/2006 BLOOMFIELD HIGH SCHOOL BLLOOMFIELD, NJ 09/2005 - 01/2006 HICKER FARMS WAYNE, NJ ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 4
  • 7. www.finra.org/brokercheck User Guidance Registration and Employment History Other Business Activities This section includes information, if any, as provided by the broker regarding other business activities the broker is currently engaged in either as a proprietor, partner, officer, director, employee, trustee, agent or otherwise. This section does not include non-investment related activity that is exclusively charitable, civic, religious or fraternal and is recognized as tax exempt. No information reported. ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 5
  • 8. www.finra.org/brokercheck User Guidance End of Report This page is intentionally left blank. ©2013 FINRA. All rights reserved. Report# 90135-81759 about CHARLES GRAHAM. Data current as of Sunday, February 03, 2013. 6