← Back to Home

Important Disclosures

Please review the following important information about our firm and services.

Firm Registration

Second 50 Financial, LLC 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, nor does it constitute an endorsement by the SEC. Forms ADV Part 2A and 2B are available upon request or via adviserinfo.sec.gov.

General Investment Risks

All investments involve risk, including the possible loss of principal. Past performance is not indicative of future results. Investment values and income can go down as well as up. Exchange rates may affect value.

Alternative Investments & Private Markets

These investments are speculative and involve a high degree of risk. Characteristics include illiquidity, limited transparency, potential leverage, less regulatory oversight, and high fees. Generally available only to accredited investors and qualified purchasers.

Forward-Looking Statements

Terms like "may," "will," "should," "expect," and "anticipate" indicate forward-looking language. Actual events or results may differ materially. No assurance exists regarding goals or projections.

Third-Party Information

Information from external sources is believed to be reliable but accuracy is not guaranteed. Opinions or estimates expressed herein are subject to change without notice.

No Offer or Solicitation

This website does not constitute an offer to sell, a solicitation of an offer to buy, or a recommendation. Clients should consult tax, legal, or accounting advisors independently.

Geographic Limitations

Services are limited to states where properly registered or exempt. Not all products are available everywhere.

Performance & Testimonials

Testimonials reflect individual experiences and may not be representative of all client experiences.

Custody & Safekeeping

Assets are held at qualified custodians like Charles Schwab, with quarterly client statements provided directly.

Fiduciary Duty

As a registered adviser, the firm maintains fiduciary obligations including best-interest advice and conflict-of-interest disclosure.

Contact: (424) 260-1551

CRD#: 318626

Last Updated: January 2026