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UNITED STATES OF AMERICA before the SECURITIES AND EXCHANGE COMMISSION SECURITIES EXCHANGE ACT OF 1934 Release No[removed]August 12, 2014 Admin. Proc. File No[removed]
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Document Date: 2014-08-12 17:46:50


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File Size: 38,98 KB

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Company

Woodward / Troszak CPA Group / Millenia Hope Inc. / NORTH WOODWARD FINANCIAL CORP. / FINRA North Woodward Financial Corp. / CMG Institutional Trading LLC / Troszak Capital Corp. / Intelispan Inc. Securities Exchange / barring Troszak / /

Country

United States / /

Currency

USD / /

Event

Funding / Business Partnership / /

IndustryTerm

federal law / bank / brokerage-related services / /

Organization

Internal Revenue Service / FINRA's Department of Enforcement / office of the General / FINRA's National Adjudicatory Council / Securities and Exchange Commission / NASD / /

Person

Michael A. Rooms / Mitchell T. Toland / Robert J. Prager / Morton Bruce Erenstein / Elliot M. Hershberg / Gregory Evan Goldstein / Doug Troszak / Lynn M. Powalski / Joseph Ricupero / Jay Alan Ochanpaugh / Hans N. Beerbaum / DOUGLAS A. TROSZAK / /

Position

certified public accountant / broker-dealer / Counsel / president / C.P.A. / an accounting business / registered representative / General / Deputy Secretary / chief financial officer / chief compliance officer / president / chief financial officer / /

ProvinceOrState

Michigan / /

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