DEPARTMENT OF INSURANCE
Licensee Search Details
NameU.S. Bancorp Investments, Inc.DOIID546907NAIC NPN660969
License - Line of Authority Information
StatusResidencyClassLine of AuthorityActive DateInactive DateLicense Expiration DateDesignated Home State
InactiveNon ResidentAgentVariable Life and Variable Annuities3/20/20023/31/2006  
InactiveNon ResidentAgentHealth3/20/20023/31/2006  
InactiveNon ResidentAgentLife3/20/20023/31/2006  
*If a status is Pending, Pending Replacement,or the record displays Affidavit on File, click on them for more details.
Notice: The Department verifies, at the time of application for a Variable Life and Variable Annuity line of authority, that an agent is registered with the Financial Industry Regulatory Authority (FINRA) and the applicant has passed the Series 6 or greater exam. The Department does not verify registration with FINRA after the agent is qualified by the Department to receive the Variable Life and Variable Annuity line of authority. If you have questions about a broker’s FINRA registration status, you should check this status directly with FINRA.
No License Renewal Information
NOTE: Licensee may renew up to 6 months prior to Next Compliance Date.
Address Information
TypeAddress
Business / Home Office60 Livingston Ave Suite #300St Paul, MN 551071419
Mailing1420 5th Ave Suite #600Seattle, WA 98101
Phone Information
TypePhone
Business / Home Office(206) 344-4529

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