R.l.k. Advisory Group

SEC-regulated
Registered investment advisor
R.L.K. Advisory Group, established in April 2001, is a registered investment adviser based in Port Orange, FL. The firm is primarily owned by Robbie L. Kennerson and offers discretionary portfolio management services tailored to clients' needs and investment objectives. Clients grant discretionary authority to manage their accounts, allowing the firm to formulate investment strategies and execute transactions without prior approval. Non-discretionary portfolio management services are also available, where clients must approve transactions before execution. The firm provides financial planning services, including comprehensive financial analysis and goal setting. Retirement plan advisory services are offered to employee benefit plans, focusing on fund selection, investment options, and educational services. R.L.K. Advisory Group acts as a fiduciary under ERISA, ensuring services are in clients' best interests. Fees for portfolio management services are based on a percentage of assets under management, with fees billed quarterly in advance. Financial planning services are charged hourly, with fees negotiable based on complexity. Retirement plan advisory services are billed quarterly in arrears. The firm follows a Code of Ethics, ensuring professional conduct and fair dealing with clients. Investment strategies include charting analysis, technical analysis, fundamental analysis, long-term and short-term purchases, margin transactions, and trading. Clients are responsible for voting on securities, and the firm does not vote proxies on their behalf. R.L.K. Advisory Group does not have any disciplinary information to disclose and does not participate in performance-based fees or side-by-side management. The firm offers services to individuals, high net worth individuals, pension and profit sharing plans, and charitable organizations. Clients are encouraged to consult with a tax professional regarding investments.
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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