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Timothy Mullins

CRD# 1591930·Registered 1986 - 2016
Previously Registered: Being a previously registered professional could mean that Timothy is no longer operating under the supervision of the SEC or FINRA. That means that the Securities and Exchange Commission may not be able to oversee the services that this specific professional is providing.

Professional Summary

Timothy Mullins, who also goes by Tim Mullins, Timothy Paul Mullins, was a registered financial advisor. Timothy was a previously registered financial professional and started their career in finance 1986 - 2016. Timothy had worked at 12 firms and has passed the Series 63, SIE, Series 55, Series 7 and Series 24 exams.

At a Glance

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Fiduciary Standard

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Fee Structure

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Account Minimum

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Active Clients

Fiduciary Standard

Fee Structure

Account Minimum

Active Clients

Other Aliases

Tim Mullins, Timothy Paul Mullins

Blog Corner

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Videos & Posts

This advisor has not added any videos or posts yet.

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Contact Information

No current employment

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Disclosures are events reported to regulators, such as customer disputes, regulatory actions, employment separations, or financial events. Some are resolved, denied, or contested — a disclosure is not a verdict. We recommend asking an advisor directly about any disclosure on their record.

Disclosures on record.

Disclosures can be potential red flags, including customer disputes, regulatory fines, employer terminations, bankruptcies, judgments, liens, or certain criminal activities. Check for any disclosures as part of your thorough research when choosing an advisor.

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Years of Experience

40 years in the financial services industry

Current & Past Employments

WELLS FARGO PRIME SERVICES, LLC·CRD# 133068
BD
San Francisco, CA
January 24, 2013 - April 28, 2016
WELLS FARGO BROKERAGE SERVICES, L.L.C.·CRD# 16100
BD
Minneapolis, MN
August 24, 2009 - November 6, 2009
WELLS FARGO INSTITUTIONAL SECURITIES, LLC·CRD# 5958
BD
San Francisco, CA
August 24, 2009 - May 27, 2015
WELLS FARGO SECURITIES, LLC·CRD# 126292
BD
San Francisco, CA
July 1, 2003 - April 28, 2016
WELLS FARGO CLEARING SERVICES, LLC·CRD# 19616
BD
St. Louis, MO
April 29, 2002 - July 1, 2003
HSBC SECURITIES (USA) INC.·CRD# 19585
BD
New York City, NY
May 19, 1999 - April 30, 2002
J.P. MORGAN SECURITIES LLC·CRD# 79
BD
New York, NY
November 2, 1994 - April 14, 1999
CREDIT SUISSE SECURITIES (USA) LLC·CRD# 816
BD
New York, NY
October 11, 1992 - September 30, 1994
NATIONAL PLANNING CORPORATION·CRD# 29604
BD
Los Angeles, CA
September 25, 1992 - October 23, 1992
NORTHSTAR DISTRIBUTORS, INC.·CRD# 20863
BD
Stamford, CT
February 14, 1990 - September 13, 1990
BROUNOFF, CLAIRE & CO., INC.·CRD# 1325
BD
January 20, 1987 - November 15, 1989
THE STUART-JAMES COMPANY, INCORPORATED·CRD# 11691
BD
November 18, 1986 - November 19, 1987

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Current Firm

WF
WELLS FARGO PRIME SERVICES, LLC

MERLIN SECURITIES, LLC | WELLS FARGO PRIME SERVICES, LLC | WELLS FARGO CORPORATE AND/& INVESTMENT BANKING

CRD#: 133068 / SEC#: 8-66677
BD
Broker-Dealer Firm Regulated by FINRA (New York district office)

Contact Information

Main Address

500 W 33rd Street, New York, NY 10001

Mailing Address

30 Hudson Yards 14th Floor, New York, NY 10001-2170

Phone Number

(212) 822-4800

Established

Delaware since 02/26/2004

Firm Type

Limited Liability Company

Fiscal Year End

December

Firm Size

Small

FINRA licenses (51 States and Territories)

Registered to provide investment advisory services in 0 US states and territories.

Documents

Direct owners and executive officers

NamePositionCRD#
EVEREN CAPITAL CORPORATIONOWNER—
CONNOR, TIMOTHY MICHAELPRINCIPAL FINANCIAL OFFICER8157713
HALL, JEFFREYCHIEF OPERATIONS OFFICER5292396
KEARNS, WILLIAM JMANAGER2127701
LANGIS, DARREN JOSEPHINTERIM PRESIDENT AND CEO, MANAGER2781108
RILEY, MICHAEL FRANCISMANAGER4165280
YI, SCOTT HUNCHIEF COMPLIANCE OFFICER3152646

Disclosures

Regulatory Event

4

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Other business activities

Outside business activity is any business or activity undertaken by an advisor that is outside the scope of their relationship with their firm (e.g., consulting services, real estate, freelance work, teaching, etc.). Investors should stay informed about these activities to ensure no conflicts of interest.

The advisor shows no other business activity.

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State Registrations and Notice Filings

Listed states reflect where the advisor is authorized to serve clients under state regulations.
This advisor is not registered in any state.

Exams

Financial professionals may take different exams throughout their careers based on the types of services they provide and roles they perform.

Series 63 — Uniform Securities Agent State Law Examination

Passed Dec 1986About the Series 63 exam

SIE — Securities Industry Essentials Examination

Passed Apr 2016About the SIE exam

Series 55 — Limited Representative-Equity Trader Exam

Passed Jun 2006

Series 7 — General Securities Representative Examination

Passed Nov 1986About the Series 7 exam

Series 24 — General Securities Principal Examination

Passed Apr 2003About the Series 24 exam

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CRS (Client Relationship Summary)

The CRS(Customer Relationship Summary) document is not provided.

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