Disclaimer

WARRANTIES & DISCLAIMERS

There are no warranties implied. Prosperity Wealth Management, LLC ("PWM") is a registered investment adviser offering advisory services in the State of South Dakota and other jurisdictions where exempted. Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, CERTIFIED FINANCIAL PLANNERTM and in the U.S., which it awards to individuals who successfully complete CFP Board’s initial and ongoing certification requirements.

 

WEBSITE CONTENT

All written content on this website site is provided for guidance and information purposes only. Opinions expressed herein are solely those of PWM, unless otherwise specifically cited. Material presented is believed to be from reliable sources and no representations are made by our firm as to other parties’ informational accuracy or completeness. This website and information are not intended to provide investment, tax, or legal advice. Investments involve risk and unless otherwise stated are not guaranteed. All information or ideas provided should be discussed in detail with an advisor, accountant or legal counsel prior to implementation. This website may provide links to others for the convenience of our users. Our firm has no control over the accuracy or content of these other websites.

 

REGISTRATION INFORMATION

For information pertaining to the registration status of PWM please contact the state securities regulators for those states in which PWM maintains a registration filing. The presence of this website on the Internet shall not be directly or indirectly interpreted as a solicitation of investment advisory services to persons of another jurisdiction unless otherwise permitted by statue. Follow-up or individualized responses to consumers in a particular state by our firm in the rendering of personalized investment advice for compensation shall not be made without our first complying with the jurisdiction requirements or pursuant an applicable state exemption. For information concerning the status or disciplinary history of a broker-dealer, investment advisor, or their representatives, a consumer should contact their state securities administrator.

 

Updated as of: 3/16/2020