Our firm and its professionals value every client relationship so we always put our clients' interests first. You can be further reassured because we are required to do so by law. Not all advisers are. As a registered investment adviser subject to the Investment Advisers Act of 1940, Runnymede is a fiduciary bound by law to place the interest of its clients first - before the fiduciary's own interest.
Runnymede is a Registered Investment Adviser (RIA) registered with the U.S. Securities and Exchange Commission (SEC). Runnymede conducts business as a fiduciary and manages assets for high net-worth individuals and institutional investors. It is our job to provide clients with the best advice possible. Runnymede is compensated on assets under management. We do not receive commissions or any other form of indirect payment. By removing potential conflicts of interest, our clients are ensured that they are always our top priority.
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