Denial, Suspension, Revocation, and Cancellation of Agent Registration
Chapters in this video
- 0:00 The two-pron rule foundation
- 1:37 Felonies, misdemeanors, and insolvency traps
- 3:48 Grounds that wear disguises: willful violations, filing fees, failure to supervise
- 5:10 Domestic 10-year versus foreign 5-year look-back
- 5:56 Mandatory notice, hearing, findings sequence
- 6:36 Summary suspension and the 15-day rule
- 7:47 Cancellation versus revocation: non-punitive versus punitive
- 8:22 Withdrawal traps: 30 days, pending proceedings, one-year jurisdiction
- 9:37 The 90-day anti-sandbagging rule and its limits
- 10:55 Rapid-fire exam recap
What this video covers
- Why every disciplinary action requires both a public-interest finding and a specific statutory ground, and why neither prong alone is ever enough
- Which crimes count as statutory grounds: any felony versus only securities-related misdemeanors, and the 10-year look-back period for domestic issues
- Why insolvency of an individual agent is a valid ground against the agent but cannot be used against the employing broker-dealer firm
- The difference between cancellation (non-punitive housekeeping: death, disappearance, mental incompetence) and revocation (punitive, two-prong required, permanent record stain)
- The mandatory three-step sequence before standard discipline: notice, opportunity for hearing, then written findings of fact and conclusions of law
- How summary suspension flips the order (discipline before hearing), and the 15-day rule that governs when the Administrator must schedule the hearing after a written request
- Why an agent cannot withdraw to escape a pending proceeding, the 30-day withdrawal window, and how the Administrator retains jurisdiction for one year after effective withdrawal
- The 90-day anti-sandbagging rule: its limits to initial registration only, final orders only, and why it never applies to annual renewals
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