Why GreenWave
GreenWave looks forward to assisting all traders from those brand new to the markets to the most experienced professionals.
GreenWave provides for the trading of futures contracts, future options, forex e-micro futures and participation in Professionally Managed Futures. As fellow traders and investors with financial and trading experience, GreenWave fully understands your need to be up to date in this ever changing market place. As a result, you will be provided with the essential resources and powerful tools to make your trading endeavors potentially successful.
Furthermore, GreenWave realizes that customer service can be as important as the tools you utilize and as such, takes pride in giving you prompt friendly attention. GreenWave truly appreciates your business and looks forward to being your full service broker.
Steven E. Freed, President
Mr. Freed founded GreenWave Financial Markets in September 2009 for the purpose of offering trading advice and resources to a wide range of customers from the inexperienced to the most seasoned professional. Early in his career, he spent nine years in Audit, Litigation and Consulting Services for several major public accounting firms including KPMG Peat Marwick and Rachlin Cohen and Holtz. His audits of Hedge Funds and public companies led him to being an active trader in the equities and futures markets where he made trading decisions based on both technical and fundamental analysis. His most recent position was as a Supervising Securities, Futures and Forex Broker for more than five years at TradeStation Securities, a leading trading software and brokerage firm for active traders.
Mr. Freed earned a Bachelor of Science and Management degree in Accounting and Finance from Tulane University in New Orleans, Louisiana and Masters of Accounting from St. Thomas University in Miami, Florida. He is a licensed Commodities Futures Representative and Registered Investment Adviser as well as a Certified Public Accountant in the State of Florida.
Mr. Freed holds the following FINRA qualifications: Registered Commodity Representative (Series 3); General Securities Representative (Series 7); General Securities Principal (Series 24); Equity Trader Limited Representative (Series 55); Uniform Securities Agent (Series 63); and Uniform Investment Advisor (Series 65).
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TRADING FUTURES AND OPTIONS INVOLVES SUBSTANTIAL RISK OF LOSS AND IS NOT SUITABLE FOR ALL INVESTORS. PAST PERFORMANCE IS NOT NECESSARILY INDICATIVE OF FUTURE RESULTS.