DISCLOSURE

OneSeven is a registered investment adviser with the U.S. Securities and Exchange Commission (SEC). Registration with the SEC does not imply a certain level of skill or training. Services are provided under the name One Seven, a DBA of OneSeven. Investment products are not FDIC insured, offer no bank guarantee, and may lose value.

This website is intended to provide general information about Investment Adviser Representatives of OneSeven and their team. It is not intended to offer investment advice or to recommend the purchase or sale of any investment product. Information is provided to learn about our advisory services and our people as well as to contact us for further information.

Market data, articles and other content on this website are based on generally available information and are believed to be reliable. OneSeven does not guarantee the accuracy of the information contained on this website. The information is of a general nature and should not be construed as investment advice.

OneSeven will provide all prospective clients with a copy of our current Form ADV, Part 2A (“Disclosure Brochure”) and the Brochure Supplement for each advisory person supporting a particular client. You may obtain a copy of these disclosures on the SEC website at https://adviserinfo.sec.gov or you may contact us to request a free copy.

If you have any questions regarding Compliance and Regulatory information, please contact us.

The Top 100 People in Finance

Top 100 Magazine selections do not pay to win or to be considered for the magazine. Individuals appearing in four, two, full, or half page editorials, however, may have paid a fee for additional exposure. Top 100 selects candidates utilizing proprietary software, which employs an algorithm to search a variety of online resources for industry-specific terms and key words. These resources include social media, blog posts, peer reviews, and Google indices. Once the software has compiled a preliminary list of qualified candidates, our R&D department manually analyzes the results in order to make their final selections.

For those selections who are financial advisors or wealth managers, certain additional criteria must be met. They include: 1. Registered with the SEC as a registered investment adviser or a registered investment adviser representative; 2. Not more than 1 filed complaint and never been convicted of a felony. Those selected for the magazine may purchase additional profile ad space or promotional products. Their selection is not indicative of the wealth manager’s future performance or an endorsement by this publication. Working with a Top 100 Magazine advisor or wealth manager is no guarantee as to future investment success, nor is there any guarantee that the selected wealth managers will be awarded this accomplishment in the future.