Registered User Currently Offline
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Posts: 3
Join Date: Jul 2007
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If anyone would volunteer to answer the following questions, I would be most appreciative.
Please correct me if I'm wrong in any assumption/question:
1) What was Warrens position at Graham/Newman? (Analyst, Gopher or stockbroker)?
2) Did Warren need to obtain his series 7 in order to practice at his fathers firm? (after Graham/Newman).
3) Does the SEC require someone to have special credentials in order to start an investment partnership, such as "Buffett and Associates"?
Any thoughts, comments, or suggestions are surely appreciated!
-Best to all.
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