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FINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY
Live/Registered
REGISTERED

on 16 Jul 2024

Last Applicant/ Owned by

1700 K Street NW, 12th Floor

Washington

DC

20006

Serial Number

88948503 filed on 04th Jun 2020

Registration Number

7451139 registered on 16th Jul 2024

in the Principal Register

Correspondent Address

Aaron D. Hendelman

Aaron D. Hendelman WILSON SONSINI GOODRICH & ROSATI

PALO ALTO, CA 94304-1050

United States

Filing Basis

1. intent to use

2. use application currently

Disclaimer

NO DATA

FINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY

Arbitration, mediation and dispute resolution services Providing services to regulate the securities industry in order to maintain the integrity of the marketplace for the benefit and protection of investors, namely, providing and maintaining a registry of member firms and their employees, investment advisors and individuals and entities within the securities and investment industry; promoting th Read More

Classification Information


Class [045]
Personal & Legal & Social Services


Arbitration, mediation and dispute resolution services


First Use Date in General

30th Jul 2007

First Use Date in Commerce

30th Jul 2007

Class [041]
Education and Entertainment Services


Educational services, namely, conducting seminars, conferences and workshops in the fields of securities regulation and compliance, investor education, and providing continuing education programs for securities industry professionals


First Use Date in General

30th Jul 2007

First Use Date in Commerce

30th Jul 2007

Class [036]
Insurance & Financial Services


Financial consulting services for others, namely, providing analysis of securities market regulations, management and operations, providing advice regarding the structure and regulation of securities markets; providing an on-line computer database of information in the field of securities and equities trading, corporate bond transactions, securities regulation, financial investments, namely, securities, securities firms, broker/dealers and investment advisors, grants, investor protection, and rules to govern securities day-trading activities; providing an on-line computer database with information regarding pricing and quotes for bonds, equities and securities, reports on bonds, equities and securities trades, and comparisons of bonds, equities and securities trades


First Use Date in General

30th Jul 2007

First Use Date in Commerce

30th Jul 2007

Class [035]
Advertising, Business & Retail Services


Providing services to regulate the securities industry in order to maintain the integrity of the marketplace for the benefit and protection of investors, namely, providing and maintaining a registry of member firms and their employees, investment advisors and individuals and entities within the securities and investment industry; promoting the services of others, namely, advertising and marketing a series of discounted insurance, mail delivery and telecommunications services to members; on-line retail store services featuring booklets and manuals dealing with the securities and investment industry, and featuring clothing, hats, bags, office supplies and accessories, watches, paper goods, umbrellas, and coffee mugs; business services for others, namely, providing an online database featuring employment and disciplinary information regarding professionals in the securities and investment advisor industries; providing for others an on-line computer database with information regarding the professional background, business practices and conduct of registered financial brokerage firms and their registered employees and investment advisors; providing for others information regarding the professional background, business practices and conduct of registered financial brokerage firms and their registered employees in response to telephone and email inquiries; providing for others monitoring and information concerning securities markets around the world to determine compliance with regulations; association services, namely, creating and enforcing rules that govern the conduct of securities investment firms and their employees; regulating the securities and investment industries, namely, enforcement of securities regulations and securities trade rules, investigation to evaluate compliance with securities regulations and securities trade rules, disciplining securities firms and individuals who violate securities rules and laws, and investigation of investor complaints regarding the business conduct of an investment firm or professional; testing and examination to determine professional competency of brokerage firms and their employees


First Use Date in General

30th Jul 2007

First Use Date in Commerce

30th Jul 2007

Specimens


FINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY specimenFINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY specimenFINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY specimenFINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY specimenFINRA FINANCIAL INDUSTRY REGULATORY AUTHORITY specimen

Mark Details


Serial Number

No 88948503

Mark Type

No Service Mark

Attorney Docket Number

No 18110-TM1052

44D Filed

No

44D Current

No

44E filed

No

44E Current

No

66A Filed

No

66A Current

No

Current Basis

No

No Basis

No

Legal History


Show more

Status DateAction Taken
16th Jul 2024NOTICE OF REGISTRATION CONFIRMATION EMAILED
16th Jul 2024REGISTERED-PRINCIPAL REGISTER
14th Mar 2024TEAS CHANGE OF CORRESPONDENCE RECEIVED
14th Mar 2024ATTORNEY/DOM.REP.REVOKED AND/OR APPOINTED
14th Mar 2024TEAS CHANGE OF OWNER ADDRESS RECEIVED
14th Mar 2024TEAS REVOKE/APP/CHANGE ADDR OF ATTY/DOM REP RECEIVED
14th Mar 2024APPLICANT/CORRESPONDENCE CHANGES (NON-RESPONSIVE) ENTERED
16th Feb 2024ON HOLD - ELECTRONIC RECORD REVIEW REQUIRED
13th Feb 2024NOTICE OF ACCEPTANCE OF STATEMENT OF USE E-MAILED
11th Feb 2024ALLOWED PRINCIPAL REGISTER - SOU ACCEPTED