Gencap Portfolio Management

SEC-regulated
Registered investment advisor
Front Row Advisors LLC, also known as GenCap Portfolio Management, is a Limited Liability Company established in California in July 2015. The firm's principal owner is GenCap Partners LLC. They offer portfolio management services tailored to individual client goals, risk tolerance, and time horizons. Services include investment strategy, asset allocation, and regular portfolio monitoring. Clients may grant discretionary authority for securities selection and transactions. The firm aims to make investment decisions in line with fiduciary duties, avoiding practices that favor certain clients. They may act as a subadviser to unaffiliated advisers and offer financial planning services covering various aspects like investment, tax, and retirement planning. Front Row Advisors LLC primarily advises on equities but may recommend other securities for diversification. Clients can impose restrictions on investments based on personal values. The firm does not participate in wrap fee programs and has assets under management totaling $357,989,583 for discretionary amounts and $38,264,076 for non-discretionary amounts as of December 2024. Fees for portfolio management are asset-based and range from 0.65% to 1.10% based on total assets under management. Clients are responsible for third-party fees, and fees are paid in advance or invoiced quarterly. Front Row Advisors LLC does not accept compensation for the sale of securities to clients and does not engage in performance-based fees. The firm serves individuals, high-net-worth individuals, and other investment advisers with no minimum account size requirement. Their investment strategies include fundamental analysis, modern portfolio theory, long-term trading, short-term trading, margin transactions, and options trading. Clients' accounts are reviewed quarterly, and proxy voting is conducted in the best interest of clients. The firm has no financial conditions impairing its ability to meet contractual commitments and has not filed for bankruptcy in the last ten years. For more information, visit www.frontrowadvisors.com.
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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