CANACCORD GENUITY WEALTH MANAGEMENT (USA) INC.

CANACCORD GENUITY WEALTH MANAGEMENT (USA) INC. of VANCOUVER, BC is an SEC-registered investment adviser (CRD 7449). Regulatory assets under management: $135.5M.

Registration

Business model

Compensation: % of AUM.

Clients served: High net worth.

Officers, owners & control persons (10)

NameRoleLocation
Donald Duncan MacfaydenCFO, FINANCIAL PRINCIPAL; OPERATIONS PRINCIPAL
Thomas William Jr CoxPRESIDENT
Selim BegisINTERIM CHIEF COMPLIANCE OFFICER
Andrew Foster VilesCHIEF COMPLIANCE OFFICER
VILES ANDREW FOSTERCHIEF COMPLIANCE OFFICER
DALY DIANE MOTTOLACHIEF COMPLIANCE OFFICER
MARANDA BRUCE JEFFREYVP, CHIEF COMPLIANCE OFFICER
MACFAYDEN DONALD DUNCANCFO; CFO, FINANCIAL PRINCIPAL; OPERATIONS PRINCIPAL
VAN KOLL MARK JASONVICE PRESIDENT, COMPLIANCE OFFICER
COX THOMAS WILLIAM JRPRESIDENT

Disclosures (108)

Showing 10 of 14 distinct disclosure events.

InitiatedTypeAllegationsStatusAmount
2009-06-10regulatorySPECIFICALLY, CANACCORD GENUITY CORP. ADMITTED TO THE FOLLOWING VIOLATION: A) FAILING TO ADEQUATELY SUPERVISE RETAIL CLIENT ACCOUNT ACTIVITY CONTRARY TO IIROC DEALER MEMBER RULES 2500 AND 1300.2 (PRIOR TO JUNE 2008, IDA POLICY 2 AND IDA REGULATION 1300.2) (I) FROM 2005 THROUGH 2010, BY FAILING TO MO…Final$750K
2005-07-11regulatoryFIRM FAILED TO MAINTAIN REQUIRED NET CAPITAL WHILE USING INSTRUMENTALITIES OF INTERSTAE COMMERCE TO EFFECT TRANSACTIONS IN SECURITIESFinal$8K
1997-06-22regulatoryEQUITY EFFECTED 7 NON-INSTITUTIONAL TRANSACTIONS DURING A 21-MONTH PERIOD WHILE UNREGISTERED AS A BROKER/DEALER IN MASSACHUSETTS.Final$194
1997-01-01regulatoryVIOLATION OF MSRB RULE G-17. DID NOT INCLUDE ALL REPORTABLE CONTRIBUTIONS.Final$2K
1996-12-16regulatoryCONTRAVENED VSE RULE F.1.02 BY ACCEPTING ORDERS FROM THIRD PARTY WITHOUT HAVING ON FILE A TRADING AUTHORIZATION SIGNED BY THE CLIENT, AND CONTRAVENED VSE BY-LAW 5.01(2) BY PROVIDING INACCURATE INFORMATION TO THE VSE DURING THE COURSE OF AN INVESTIGATION.Final$10K
1996-09-18regulatoryVIOLATION OF MSRB RULE G37/G-38.Final$250
1995-05-19regulatoryALLEGED VIOLATIONS OF ARTICLE III, SECTIONS 1 AND 27 OF THE RULES OF FAIR PRACTICE, SALE OF SHARES TO RESTRICTED PERSONS, FAILURE TO ADEQUATELY SUPERVISE ACTIVITIES OF SALES REPRESENATIVE,Final$5K
1994-03-03regulatoryALLEGED VIOLATIONS OF ARTICLE III, SECTIONS 1, 2, 19(E) AND 27 OF THE RULES OF FAIR PRACTICE CONCERNING SUITABILITY AGAINST RESPONDENT O'BRIEN. RESPNDENT MEMBER, THROUGH RESPONDENT NEWMAN FAILED TO PROPERLY SUPERVISE O'BRIEN.Final$5K
1986-02-03regulatoryALLEGED VIOLATION OF FREE RIDING AND WITHHOLDING THRU THE SALE OF HOT ISSUES RESTRICTED TO AN INDIVIDUALFinal$2K
1984-01-01regulatoryALLEGED VIOLATIONS OF CUSTOMER CONTRACTS WITH NO APPROVAL BY PRINCIPAL, NON DISSENINATION OF BASIC OPTION DISCLOSURE DOCUMENTS TO CUSTOMERS AND NO MARK TO MARKET PRICING & MV PROVIDED TO CUSTOMERS WITH MARGIN ACCOUNTS FOR OPTION POSITIONS.Final$500

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