Peter John Hine

CE No. ADR773 Ceased

This page summarises the Hong Kong Securities and Futures Commission (SFC) public register record for Peter John Hine, a licensed former licensee with CE reference ADR773. This person has 2.4 years of SFC licence history. Total licence records on file: 5.

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Licence history

FirmRoleRegulated activityFromTo
GFI (HK) Securities L.L.C. RO Type 1 - Dealing in securities 2005-03-23 2005-09-08
GFI (HK) Securities L.L.C. Rep Type 1 - Dealing in securities Pre-2003 2005-03-23
GFI (HK) Securities L.L.C. Rep Type 4 - Advising on securities Pre-2003 2004-12-01
GFI (HK) Securities L.L.C. Rep Type 6 - Advising on corporate finance Pre-2003 2004-12-01
GFI (HK) Securities L.L.C. Rep Type 9 - Asset management Pre-2003 2004-12-01

Worked alongside

The 11 closest colleagues, strongest tie first — individuals licensed at the same firm as Peter John Hine during overlapping periods. Ranked by how long they overlapped and how similar their regulated activities were, with shared time at a smaller firm weighted more than at a large one. See the detailed formula.

NameShared firmOverlap
Timothy Charles Mariano GFI (HK) Securities L.L.C. 2003–2005
Brady Seth Halper GFI (HK) Securities L.L.C. 2003–2004
Jonathan Michael Nesbitt GFI (HK) Securities L.L.C. 2004–2005
Philip Guy Chew GFI (HK) Securities L.L.C. 2004–2005
Andrew Davis Lozada Peard GFI (HK) Securities L.L.C. 2004–2005
David John Bradford GFI (HK) Securities L.L.C. 2004–2005
Paul George White GFI (HK) Securities L.L.C. 2005
Tomomi Kosaka GFI (HK) Securities L.L.C. 2005
Jon Hall GFI (HK) Securities L.L.C. 2005
Robert Emmit Crossan GFI (HK) Securities L.L.C. 2003
Robert Roy Charles Simpson GFI (HK) Securities L.L.C. 2005
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