Safet MusovicCRD Number: 5499059
Current Firm: Capital One Advisors, LLC
Safet Musovic (CRD# 5499059) is an Investment Advisor Representative working at Capital One Advisors, LLC in New York, NY and has over 7 years of experience in the finance industry.
Legacy Care Wealth, LLC
Altium Wealth Management LLC
Axa Advisors, LLC
|Capital One Investing, LLC||Brooklyn, NY||May 2015 - Current||1|
|Santander Securities LLC||Guaynabo, PR||Sep 2012 - May 2015||2|
|Sovereign Bank||New York, NY||May 2012 - May 2015||3|
|Lpl||New York, NY||May 2012 - Sep 2012||< 1|
|Chase Investment Services||New York, NY||May 2010 - Apr 2012||1|
|Jpmorgan Chase Bank||New York, NY||May 2010 - Apr 2012||1|
|Executive Cellular Phones||Staten Island, NY||Mar 2010 - May 2010||< 1|
|Sansone Auto Mall||Adenel, NJ||Jan 2010 - Mar 2010||< 1|
|Unemployed||Staten Island, NY||Nov 2009 - Jan 2010||< 1|
|J P Turner & Company LLC||Staten Island, NY||May 2009 - Nov 2009||< 1|
|Unemployed||Staten Island, NY||Apr 2009 - May 2009||< 1|
|St John's Unibersity||Staten Island, NY||Aug 2005 - May 2009||3|
|Champion Learning Center||New York, NY||Jan 2009 - Apr 2009||< 1|
|Unemployed||New York, NY||Dec 2008 - Jan 2009||< 1|
|Hilton Hotel||Staten Island, NY||Sep 2008 - Dec 2008||< 1|
|Vanderbelt||Staten Island, NY||Aug 2008 - Sep 2008||< 1|
|Unemployed||Staten Island, NY||Jul 2008 - Aug 2008||< 1|
|Ubs||Jersey City, NJ||Feb 2008 - Jul 2008||< 1|
|Unemployed||Staten Island, NY||Dec 2007 - Feb 2008||< 1|
|Honda||Staten Island, NY||Oct 2007 - Dec 2007||< 1|
|Supreme Valet||Staten Island, NY||Aug 2006 - Oct 2007||1|
|Zorco Companies||Staten Island, NY||Apr 2006 - Aug 2006||< 1|
|Exam Code||Name||Passed Date|
|S63||Uniform Securities State Law Examination||Sep 2009|
|S65||NASAA Investment Advisors Law Examination||Jan 2013|
Financial Advisors are obligated to disclose any events that may influence their professional conduct or ability to advise their clients. Disclosure events are certain criminal matters, regulatory actions, civil judicial proceedings, customer complaints, arbitrations, or civil litigations, employment terminations, and financial matters in which the advisor has been involved. On the most recent filing submitted to FINRA, this advisor had a disclosure event.Reported Disclosure Event:
- Customer Dispute
Total Assets Under Management0MILLIONS
Total Number of Accounts12ACCOUNTS
Average Account Value$1,343
- A percentage of assets under your management
- Fixed fees (other than subscription fees)
- Portfolio management for individuals and/or small businesses
- Pension consulting services
- Selection of other advisers (including private fund managers)
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