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Temecula Financial Resources, Inc.

SEC Advisory • Securities and Exchange Commission • Advisories

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2013 SEC ADVISORY In response to queries on whether or not TEMECULA FINANCIAL RESOURCES, INC., who has ties with TEMECULA INVESTMENT LTD., British Virgin Islands, has the proper license to offer securities to the public, the public is hereby informed that TEMECULA FINANCIAL RESOURCES, INC. is a corporation registered with the Securities and Exchange Commission (SEC) whose primary purpose is to provide financial advisory on investment opportunities and to provide assistance on trade processing and trade execution services. Based on the records on file with the SEC, TEMECULA FINANCIAL RESOURCES, INC. is not a registered issuer of securities under Sections 8 and 12 of the Securities Regulation Code and therefore not licensed to issue or offer securities to the public. Further, TEMECULA FINANCIAL RESOURCES, INC. was not issued a secondary license as a Broker and/or Dealer of securities, Dealer in Government Securities, Investment Adviser or an Investment Company, Investment House and Transfer Agent. The incorporators, directors, and/or stockholders of the company were likewise not issued a Certificate of Registration as registered Associated Person, Compliance Officer, Salesman and/or Certified Investment Solicitor of a Broker Dealer in Securities, Investment House, Underwriter of Securities, Investment Company Adviser, and/or Mutual Fund Distributor. For the guidance of the public. DAcSIC

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