I am not a rookie to investing but I am looking to begin managing other people's money in Forex in the united states. I am looking for the regulations in order to begin doing this.
From what I can see so far, anything above 15 people's accounts I want to be controlled in the US. It appears that I want to Series 34 licenses and the Series 3. Can anyone confirm that?
If I had been to handle an account using the SP Emini Futures then would I Want to include the Series 7?
Can I enroll using the NFA?
The pricing seems to be a bit confusing to me can someone help me through knowing what's needed?