Tuesday, November 29, 2011

If Gary THOMAS Bowen, aka Gary W Bowen is such an upstanding man, why then will he not answer these simple questions and why is it that his "companies" are not registered with the FINRA?

I am wondering, as are others, when exactly did you pass your commodities broker exam, which company was willing, who was registered with the Financial Regulatory Authority (FINRA), because US Energy Markets nor Oil Trading Floor are registered with them, which the FINRA has been alerted to, to sponsor your application to even take the exam, when did you pass the Series 3 National Commodities Futures Examination and finally, with your criminal background, how were you even able to pass their extensive background check to even be approved to take the exam? So many of us are waiting with baited breath for your answers Gary.

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