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Madden Advisory Services, Inc.
SEC-regulated
Registered investment advisor
Madden Advisory Services, Inc. is a registered investment adviser based in Jacksonville, Florida, providing wealth management services since 1998. The firm offers personalized financial planning and consulting services, investment management services, F.O.C.U.S. Wealth Management, S.A.I.L. Asset Management, and pension consulting services. Financial planning services involve advisory services tailored to individual needs, with fees typically ranging from $200 to $400 per hour. Investment management services include discretionary asset management with fees based on a tiered schedule ranging from 1.00% to 2.00% annually, with a minimum investment of $250,000 for F.O.C.U.S. Wealth Management. The S.A.I.L. Asset Management Program offers managed investment strategies with an annual fee of 0.50% of assets under management and a $500 minimum fee per year. Clients have investment discretion, and the firm does not accept performance-based fees or engage in side-by-side management. Madden Advisory Services does not have any material disciplinary information, and the firm does not receive compensation for client referrals. Clients' assets are held with a qualified custodian, and the firm does not have custody of client funds. The firm's investment strategies include charting analysis, fundamental analysis, technical analysis, and cyclical analysis. Clients are encouraged to consult with a tax professional before making investment decisions. Madden Advisory Services prioritizes client privacy and does not disclose nonpublic personal information to third parties. The firm does not vote proxies on behalf of clients and does not participate in class action lawsuits on behalf of clients. Clients are responsible for exercising their proxy voting rights. The firm does not have any financial conditions that would prevent meeting client commitments. Madden Advisory Services does not have any affiliations with other financial industry entities and is a federally registered investment adviser.
This firm is a Regulated Investment Advisor
Fiduciary duty to act in the best interests of your finances
Regulated by The Securities and Exchange Commission (SEC)
Transparent about fees and never take commission when recommending a financial product
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