DEBRA GAYE ROBINSON


Licensee: CARNBREA & CO. LTD.

DEBRA GAYE ROBINSON (Adviser# 001001990) is a financial adviser registered with Australian Securities and Investments Commission (ASIC), Financial Advisers Register. The adviser role status is Current. The adviser start date is November 8, 2014.

Adviser Overview

Register Name Financial Advisers
Adviser Name DEBRA GAYE ROBINSON
Adviser Number 001001990
Adviser Role Financial Adviser
Adviser Role Status Current
Adviser First Advice Year 2002
Financial Service (AFS) Licence Licence# 000233763
CARNBREA & CO. LTD.
Licence ABN 33004739655
Licence Controlled By BENNELONG WEALTH HOLDINGS PTY. LTD. [Date Ceased: 03/07/2018]
The Trustee for Carnbrea Securities Trust
Adviser Start Date 2014-11-08
Appointing Representative Name CARNBREA & CO. LTD.
Appointing Representative Number 000233763
Appointing Representative ABN 33004739655

Authorisations to provide financial product advice

  • DEBRA GAYE ROBINSON
  • ·
  • Deposit Payment Non Basic Deposit
  • ·
  • Derivative
  • ·
  • Government Debenture
  • ·
  • Life Product Investment Life Insurance
  • ·
  • Managed Investment Schemes Including IDPS
  • ·
  • Securities

Qualifications and training history

Qualification / Degree Institute / School
Derivatives Accreditation Program Level 1 Deakin Prime
Professional Diploma in Stockbroking Deakin Prime
RG 146 Foreign Exchange Kaplan Professional
RG 146 Securities, Futures Markets & Managed Investments Deakin Prime
RG 146 Superannuation RMIT University

Adviser employment history

Licence Number Licence Name Adviser Date Appointing Representative
000233763 CARNBREA & CO. LTD.
Licence controlled by: BENNELONG WEALTH HOLDINGS PTY. LTD. [Date Ceased: 03/07/2018] ~ The Trustee for Carnbrea Securities Trust
2014-11-08 - CARNBREA & CO. LTD.
000456235 SOVEREIGN CAPITAL PTY LTD
Licence controlled by: BENNELONG WEALTH HOLDINGS PTY. LTD. [Date Ceased: 17/08/2018] ~ WTF Management Pty Ltd ATF Sovereign Partners Trust
2014-11-08 - 2017-05-30 SOVEREIGN CAPITAL PTY LTD
000231127 CRESTONE WEALTH MANAGEMENT LIMITED
Licence controlled by: CRESTONE HOLDINGS LIMITED ~ UBS HOLDINGS PTY LTD [Date Ceased: 10/06/2016] ~ UBS HOLDINGS PTY LTD [Date Ceased: 10/06/2016]
2009-06-15 - 2014-08-07

Licensee Information

Licence Name CARNBREA & CO. LTD.
Licence Number 000233763
Licence ABN 33004739655

Financial advisers with the same licensee

Adviser Name Licensee Status Start Date
MENGQI LIU Carnbrea & Co. Ltd. Current 2018-06-29
JOHN MCCARTHY Carnbrea & Co. Ltd. Current 2017-05-15
DAVID JOHN KELLY Carnbrea & Co. Ltd. Current 2016-08-16
RIVEE DYLAN TAI TAO Carnbrea & Co. Ltd. Current 2016-05-30
ANDREW PEARCE Carnbrea & Co. Ltd. Ceased 2015-10-26
BEN MEIKLE Carnbrea & Co. Ltd. Current 2015-09-23

Financial advisers with the same licensee

Adviser Name Licensee Status Start Date
MENGQI LIU Carnbrea & Co. Ltd. Current 2018-06-29
JOHN MCCARTHY Carnbrea & Co. Ltd. Current 2017-05-15
DAVID JOHN KELLY Carnbrea & Co. Ltd. Current 2016-08-16
RIVEE DYLAN TAI TAO Carnbrea & Co. Ltd. Current 2016-05-30
ANDREW PEARCE Carnbrea & Co. Ltd. Ceased 2015-10-26
BEN MEIKLE Carnbrea & Co. Ltd. Current 2015-09-23

Competitor

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Dataset Information


Data Provider Australian Securities and Investments Commission (ASIC), Financial Advisers Register
Jurisdiction Australia
Related Datasets Australian Businesses, Australian Companies

This dataset includes 33 thousand financial advisers registered with Australian Securities and Investments Commission (ASIC), Financial Advisers Register. Australian Financial Services Licensees are required to keep the details of their financial advisers up to date on ASIC's Financial Advisers Register. Each financial adviser is registered with name, number, role status, ABN, first advice year, licence name and number, licence ABN, adviser start date and end date, appointing representative, disciplinary action, product authorisations, qualifications and training, memberships, etc.