Every investment advisor registered with the U.S. Securities & Exchange Commission (SEC) is required to file Form ADV-Part 2A, or the Firm Brochure.  In this document the investment advisor discloses the details of their qualifications and business practices including fee structure and any conflicts of interests.  We promote transparency in the industry and keep a link to our most recently filed Firm Brochure on our website for the convenience of all constituents.